Aaron Industries Ltd
NSE: AARON BSE: 535103
₹131.08
(-0.06%)
Sun, 24 May 2026, 05:44 pm
Market Cap2.75B
PE Ratio37.98
Dividend0.46
Aaron Industries Cashflow
| Particulars | 2013 | 2014 | 2015 | 2016 | 2017 | 2018 | 2019 | 2020 | 2021 | 2022 | 2023 | 2024 |
|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Deprecation and amortization | -43.00K | -46.00K | -93.00K | -127.00K | -787.00K | -2.02M | -5.54M | -6.33M | -8.50M | -11.54M | -14.25M | -18.07M |
| Accumulated depreciation, total | — | — | — | — | — | -3.08M | -8.52M | -14.71M | -23.05M | -33.31M | -47.13M | -64.88M |
| Cash from operating activities | 475.00K | -2.87M | -8.68M | -2.20M | -2.57M | -1.12M | 14.29M | 33.48M | 12.10M | 40.71M | 56.27M | 88.44M |
| Funds from operations | 120.00K | 436.00K | 506.00K | 657.00K | 11.94M | 14.52M | 21.83M | 26.93M | 47.83M | 68.41M | 80.24M | 113.89M |
| Net income (cash flow) | 84.00K | 366.00K | 386.00K | 494.00K | 10.70M | 10.59M | 13.44M | 19.27M | 37.09M | 54.04M | 63.31M | 82.43M |
| Depreciation & amortization (cash flow) | 7.00K | 46.00K | 93.00K | 127.00K | 787.00K | 2.02M | 5.54M | 6.33M | 8.50M | 11.54M | 14.25M | 18.07M |
| Depreciation/depletion | 7.00K | 46.00K | 93.00K | 127.00K | 787.00K | 1.93M | 5.45M | 6.24M | 8.42M | 11.43M | 14.05M | 17.87M |
| Amortization | 0 | 0 | 0 | 0 | 0 | 89.74K | 95.00K | 87.00K | 76.00K | 105.00K | 194.00K | 196.00K |
| Deferred taxes (cash flow) | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 |
| Non-cash items | -25.00K | -143.00K | -146.00K | -185.00K | -3.60M | -3.24M | -3.33M | -3.96M | -9.28M | -17.47M | -19.00M | -22.81M |
| Changes in working capital | 355.00K | -3.30M | -9.18M | -2.85M | -14.51M | -15.64M | -7.54M | 6.55M | -35.73M | -27.70M | -23.98M | -25.45M |
| Cash from investing activities | -586.00K | -280.00K | -252.00K | -370.00K | -15.27M | -77.48M | -15.35M | -43.60M | -31.11M | -48.36M | -333.56M | -80.04M |
| Capital expenditures | -566.00K | -280.00K | -252.00K | -370.00K | -14.27M | -74.61M | -14.98M | -46.32M | -30.93M | -48.70M | -333.43M | -79.89M |
| Capital expenditures - fixed assets | -566.00K | -280.00K | -252.00K | -370.00K | -14.27M | -74.61M | -14.98M | -46.32M | -30.93M | -48.70M | -333.43M | -79.89M |
| Capital expenditures - other assets | 0 | 0 | 0 | 0 | 0 | 0 | — | — | — | — | — | — |
| Cash from financing activities | 439.00K | 3.61M | 8.97M | 1.93M | 18.58M | 82.35M | -6.54M | 9.96M | 19.14M | 7.78M | 277.69M | -7.96M |
| Free cash flow | -91.00K | -3.15M | -8.93M | -2.57M | -16.84M | -75.73M | -695.00K | -12.84M | -18.83M | -7.99M | -277.17M | 8.55M |
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Pocketful Fintech Capital Private Limited (CIN U65999DL2021PTC390548) | The SEBI Registration No. allotted to us is INZ000313732. NSE Member Code: 90326 | BSE Member Code: 6808 | MCX Member Code: 57120 DP | CDSL: 12099800