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Standard Industries Ltd

NSE: SIL BSE: 530017

15.90

(0.51%)

Sat, 14 Feb 2026, 11:56 am

Standard Industries Cashflow

Particulars20042005200720082009201020112012201320142015201620172018201920202021202220232024
Deprecation and amortization-132.17M-106.43M-288.05M-244.77M-11.70M-47.67M-66.41M-153.58M-146.12M-15.96M-12.39M-9.03M-8.80M-12.79M-30.02M-33.00M-23.77M-26.29M-27.17M-26.68M
Accumulated depreciation, total-1.99B-1.86B-157.89M-73.26M-75.86M-106.40M-158.66M-311.42M-457.49M-473.29M-480.39M-6.79M-12.32M-22.40M-44.83M-44.42M-55.50M-68.85M-81.94M-80.30M
Cash from operating activities-32.51M134.30M-294.61M-542.52M-68.88M-122.32M83.92M-166.01M-229.49M-79.90M35.52M192.80M-16.25M925.96M636.02M280.19M580.06M-1.08B-76.22M-15.61M
Funds from operations-211.94M106.69M-370.28M-661.35M-36.59M-68.28M-61.33M-49.01M-99.28M-84.96M-135.14M-210.23M159.09M-314.15M-211.98M-245.56M2.33B-450.59M-144.13M-96.36M
Net income (cash flow)92.56M66.23M-662.32M1.22B85.75M-68.33M-101.46M-205.63M-247.06M-66.19M-141.84M-226.47M112.44M-234.19M-401.20M31.06M1.85B216.58M-1.31M-135.10M
Depreciation & amortization (cash flow)132.17M52.88M161.94M26.78M11.67M47.12M66.41M153.58M146.12M15.96M12.39M9.03M8.80M12.79M30.02M33.00M23.77M26.29M23.21M23.73M
Depreciation/depletion132.17M52.88M149.30M13.85M11.67M47.12M66.41M153.58M146.12M15.96M12.39M9.03M8.80M12.69M29.94M32.91M23.68M26.21M23.16M23.69M
Amortization12.64M12.92M00000000100.00K88.00K90.00K87.00K85.00K49.00K40.00K
Deferred taxes (cash flow)0000000
Non-cash items126.86M-2.22B-152.57M-45.97M-23.60M12.71M1.65M-35.15M-5.84M7.29M37.91M-92.75M159.19M-309.62M96.61M-713.47M-110.51M14.35M
Changes in working capital75.67M118.84M-32.28M-54.04M145.26M-117.00M-130.20M5.07M170.66M403.03M-175.34M1.24B848.00M525.75M-1.75B-629.52M67.90M80.75M
Cash from investing activities483.53M-87.92M526.18M1.80B-650.44M421.25M-258.55M-542.51M389.82M131.50M-217.24M-72.61M-782.55M-847.72M-661.25M845.25M-182.44M574.33M202.44M151.39M
Capital expenditures-53.19M-57.42M-4.40M-103.67M-1.30B-122.94M-245.35M-253.60M-1.16M-1.92M-75.11M-60.29M-80.68M-479.85M-264.79M-90.13M-379.87M-78.87M-13.60M-18.65M
Capital expenditures - fixed assets-53.19M-57.42M-4.40M-103.67M-1.30B-122.94M-245.35M-253.60M-1.16M-1.92M-75.11M-60.29M-80.39M-479.73M-264.71M-90.08M-379.87M-78.87M-13.60M-18.65M
Capital expenditures - other assets0000-288.00K-121.00K-74.00K-58.00K0000
Cash from financing activities-363.69M-64.87M-138.38M-93.51M-37.29M-9.25M12.84M187.28M-350.51M-55.81M191.72M-120.19M835.09M270.47M-329.09M-608.32M-273.11M-181.86M-113.80M-162.26M
Free cash flow-85.70M76.88M-299.00M-646.19M-1.37B-245.25M-161.43M-419.61M-230.64M-81.81M-39.59M132.51M-96.64M446.22M371.31M190.11M200.19M-1.16B-89.82M-34.26M

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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