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Hyundai Motor India Ltd.

₹1,653.45
NSE
--   ( -- %) 1D



Earnings Per Share

Earnings Per Share (EPS) is calculated by dividing a company’s net income by its average number of outstanding shares.
Created with Highcharts 7.2.2EPSEPSDec 2023Mar 2024Jun 2024Sep 2024Dec 202412.51517.52022.5

Income Statement

Also called a Profit & Loss statement, an Income Statement shows how a company has performed financially over a specific accounting period. It focuses on revenue, expenses, profits, and losses.
Created with Highcharts 7.2.2RevenueNet IncomeProfit Margin05.0 K10.0 K15.0 K20.0 K4.8%6.4%8%9.6%11.2%
Dec 2023Mar 2024Jun 2024Sep 2024Dec 2024
Particulars (In Cr)Dec 2024Y/Y Change
Operating Revenue16,647.99-3.55%
Other Income244.46+27.15%
Total Income16,892.46-3.21%
Total Expenditure14,772.46-1.88%
EBIDT2,119.99-11.58%
Depreciation527.38+1.70%
Interest29.89+2.47%
Tax401.99-15.26%
Net Profit1,160.73-15.61%

Balance Sheet

A financial statement that provides details about a company’s assets, liabilities, and shareholders’ equity at a given point in time.
Created with Highcharts 7.2.2Total AssetsTotal LiabilitiesTotal Debt to Equity010.0 K20.0 K30.0 K40.0 K4.8%5.4%6%6.6%7.2%
Mar 2022Mar 2023Mar 2024
Particulars (In Cr)Mar 2024Y/Y Change
Total Current Assets16,124.04-36.42%
Total Non-Current Assets10,225.20+11.01%
Fixed assets8,267.27+10.42%
Total assets26,349.24-23.79%
Total Current Liabilities12,997.19+8.26%
Total Non-Current Liabilities2,686.40+6.90%
Total Capital Plus Liabilities26,349.24-23.79%
Total Shareholder Funds10,665.66-46.82%
Total Debt to Equity0.07+16.67%

Cash Flow

The net amount of cash or cash equivalents being transferred in and out of a company for a specified period of time. Cashflow stems from operating, investing and financing activities.
Created with Highcharts 7.2.2OperatingInvestingFinancing-48.0 K-32.0 K-16.0 K016.0 K
Mar 2022Mar 2023Mar 2024
Particulars (In Cr)Mar 2024Y/Y Change
Cash from Operating Activity9,251.96+40.94%
Cash from Financing Activities-15,930.07+908.72%
Cash from Investing Activities-10,090.47+614.81%
Net Cash Flow-16,768.59-569.26%
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