IL&FS Engineering and Construction Company Ltd. Income Statement

Quarterly

Yearly

home icon
The current prices are delayed, login to your account to see live prices.
LOGIN
20212022
EBITDA-176NA
EBIT-243NA
Earning Per Share-21-29
Expenses554526
Net Profit-286-386
Net Profit Margin-86-126
Operating Profit Margin-53-48
Profit Before Tax-286-386
Dividends Per Share0NA
Operation Revenue378379

Peer Comparison (in ₹.Cr.)

CompanyYearEBITEBITDANet ProfitNet WorthProfit Before Tax
2022714.52846.55354.902,262.96551.80
20230015.58NA17.76
2022202.36304.9236.301,113.9960.70
2022315.14191.0646.903,224.97112
202300-1,174.96NA-1,178.74
The EBITDA of IL&FS Engineering and Construction Company Ltd. is NA as of 12/10/2023
home icon
The current prices are delayed, login to your account to see live prices.
LOGIN
20172019202020212023
Operating Activities51229216358
Investing Activities40-22-116955
Financing Activities-106-206-49-44-19
Others00000
Net Cash Flow-15151043

Peer Comparison (in ₹.Cr.)

CompanyYearOperating ActivitiesInvesting ActivitiesFinancing ActivitiesNet Cash Flow
20231,194.1366.81-1,217.3543.60
2021-3.506.59-4.60-1.50
2019-134.12-133.13243.53-23.71
202334.21-30.1727.8831.92
2021200.98409.21-853.25-243.06
The cash flow from Operating Activities of IL&FS Engineering and Construction Company Ltd. is 8 as of 12/10/2023