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NPSNY NASPERS LTD ADR

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  • 38.690
  • +1.068+2.84%
15min DelayClose Jul 22 15:52 ET
34.41BMarket Cap13.11P/E (TTM)

NASPERS LTD ADR Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Mar 31, 2024
(FY)Mar 31, 2023
(FY)Mar 31, 2022
(FY)Mar 31, 2021
(FY)Mar 31, 2020
(FY)Mar 31, 2019
(FY)Mar 31, 2018
(FY)Mar 31, 2017
(FY)Mar 31, 2016
(FY)Mar 31, 2015
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations
-27.96%6.99B
-47.72%9.7B
156.84%18.55B
101.62%7.22B
-18.42%3.58B
-60.72%4.39B
363.47%11.18B
91.28%2.41B
--1.26B
----
Other non cash items
-755.77%-341M
-84.05%52M
19.85%326M
1,195.24%272M
111.11%21M
-135.06%-189M
-51.18%539M
239.69%1.1B
--325M
----
Change In working capital
37.62%-131M
64.16%-210M
-236.78%-586M
-443.75%-174M
55.56%-32M
74.29%-72M
-298.58%-280M
269.88%141M
---83M
----
-Change in receivables
96.00%-3M
64.29%-75M
-281.82%-210M
-492.86%-55M
187.50%14M
92.16%-16M
-436.84%-204M
78.16%-38M
---174M
----
-Change in inventory
-57.14%27M
128.51%63M
-82.64%-221M
-365.38%-121M
69.05%-26M
-23.53%-84M
-3,500.00%-68M
105.71%2M
---35M
----
-Change in other current assets
----
----
----
----
----
4.00%-24M
-127.27%-25M
70.27%-11M
---37M
----
Cash from discontinued investing activities
Operating cash flow
684.18%1.03B
74.79%-177M
-1,061.64%-702M
137.24%73M
-147.80%-196M
359.49%410M
-295.00%-158M
-151.28%-40M
-50.94%78M
-48.50%159M
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale
75.78%-62M
-11.30%-256M
-93.28%-230M
-9.17%-119M
18.05%-109M
-17.70%-133M
20.42%-113M
14.97%-142M
42.81%-167M
23.62%-292M
Net intangibles purchase and sale
29.41%-24M
-21.43%-34M
-75.00%-28M
---16M
----
24.00%-19M
19.35%-25M
49.18%-31M
---61M
----
Net business purchase and sale
-40.07%7.4B
22.69%12.34B
700.30%10.06B
-121.11%-1.68B
-1,406.90%-758M
-99.27%58M
167.38%7.98B
362.62%2.99B
-358.47%-1.14B
40.69%-248M
Net investment purchase and sale
-1,467.30%-7.15B
113.42%523M
-402.09%-3.9B
-59.47%1.29B
144.01%3.18B
-103,414.29%-7.23B
600.00%7M
104.76%1M
-75.00%-21M
-223.55%-12M
Net other investing changes
13.64%-19M
---22M
----
----
----
----
----
----
----
----
Cash from discontinued investing activities
Investing cash flow
-98.87%142M
112.58%12.56B
907.93%5.91B
-131.56%-731M
131.61%2.32B
-193.29%-7.33B
179.07%7.85B
303.32%2.81B
-150.72%-1.38B
27.16%-552M
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt
-91.43%12M
-98.24%140M
79.02%7.95B
1,654.15%4.44B
2,200.00%253M
-96.30%11M
1,750.00%297M
93.33%-18M
-144.93%-270M
67.76%601M
Net common stock issuance
61.70%-203M
64.76%-530M
38.79%-1.5B
-4,535.85%-2.46B
55.46%-53M
-440.91%-119M
38.89%-22M
-101.46%-36M
1,344.44%2.47B
14.05%171M
Cash dividends paid
-4.19%-199M
19.75%-191M
-9.17%-238M
-4.31%-218M
-5.03%-209M
-7.57%-199M
-13.50%-185M
-16.43%-163M
48.91%-140M
-90.41%-274M
Net other financing activities
32.13%-7.77B
-118.17%-11.45B
-217.35%-5.25B
-3,475.51%-1.65B
103.14%49M
-483.90%-1.56B
-1,568.75%-267M
-1,700.00%-16M
-98.11%1M
428.68%53M
Cash from discontinued financing activities
Financing cash flow
31.89%-8.24B
-1,453.02%-12.1B
1,586.79%894M
783.33%53M
100.29%6M
-426.55%-2.04B
5.60%-388M
-121.72%-411M
243.38%1.89B
176.40%551M
Net cash flow
Beginning cash position
1.09%9.82B
159.14%9.72B
-12.22%3.75B
87.65%4.27B
-79.98%2.28B
183.99%11.37B
133.68%4B
42.75%1.71B
0.42%1.2B
-10.95%1.2B
Current changes in cash
-2,604.61%-7.06B
-95.38%282M
1,107.93%6.1B
-128.46%-605M
123.73%2.13B
-222.61%-8.96B
209.23%7.31B
303.24%2.36B
270.89%586M
163.27%158M
Effect of exchange rate changes
-120.73%-181M
37.88%-82M
-259.04%-132M
174.11%83M
15.15%-112M
-327.59%-132M
216.00%58M
31.51%-50M
51.01%-73M
-257.85%-149M
End cash Position
-77.31%2.23B
1.09%9.82B
159.14%9.72B
-12.22%3.75B
87.65%4.27B
-79.98%2.28B
183.99%11.37B
133.68%4B
42.75%1.71B
1.13%1.2B
Free cash flow
295.41%936M
51.17%-479M
-1,342.65%-981M
77.70%-68M
-219.61%-305M
180.44%255M
-41.52%-317M
-25.14%-224M
-34.59%-179M
-3.33%-133M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
(FY)Mar 31, 2024(FY)Mar 31, 2023(FY)Mar 31, 2022(FY)Mar 31, 2021(FY)Mar 31, 2020(FY)Mar 31, 2019(FY)Mar 31, 2018(FY)Mar 31, 2017(FY)Mar 31, 2016(FY)Mar 31, 2015
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations -27.96%6.99B-47.72%9.7B156.84%18.55B101.62%7.22B-18.42%3.58B-60.72%4.39B363.47%11.18B91.28%2.41B--1.26B----
Other non cash items -755.77%-341M-84.05%52M19.85%326M1,195.24%272M111.11%21M-135.06%-189M-51.18%539M239.69%1.1B--325M----
Change In working capital 37.62%-131M64.16%-210M-236.78%-586M-443.75%-174M55.56%-32M74.29%-72M-298.58%-280M269.88%141M---83M----
-Change in receivables 96.00%-3M64.29%-75M-281.82%-210M-492.86%-55M187.50%14M92.16%-16M-436.84%-204M78.16%-38M---174M----
-Change in inventory -57.14%27M128.51%63M-82.64%-221M-365.38%-121M69.05%-26M-23.53%-84M-3,500.00%-68M105.71%2M---35M----
-Change in other current assets --------------------4.00%-24M-127.27%-25M70.27%-11M---37M----
Cash from discontinued investing activities
Operating cash flow 684.18%1.03B74.79%-177M-1,061.64%-702M137.24%73M-147.80%-196M359.49%410M-295.00%-158M-151.28%-40M-50.94%78M-48.50%159M
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale 75.78%-62M-11.30%-256M-93.28%-230M-9.17%-119M18.05%-109M-17.70%-133M20.42%-113M14.97%-142M42.81%-167M23.62%-292M
Net intangibles purchase and sale 29.41%-24M-21.43%-34M-75.00%-28M---16M----24.00%-19M19.35%-25M49.18%-31M---61M----
Net business purchase and sale -40.07%7.4B22.69%12.34B700.30%10.06B-121.11%-1.68B-1,406.90%-758M-99.27%58M167.38%7.98B362.62%2.99B-358.47%-1.14B40.69%-248M
Net investment purchase and sale -1,467.30%-7.15B113.42%523M-402.09%-3.9B-59.47%1.29B144.01%3.18B-103,414.29%-7.23B600.00%7M104.76%1M-75.00%-21M-223.55%-12M
Net other investing changes 13.64%-19M---22M--------------------------------
Cash from discontinued investing activities
Investing cash flow -98.87%142M112.58%12.56B907.93%5.91B-131.56%-731M131.61%2.32B-193.29%-7.33B179.07%7.85B303.32%2.81B-150.72%-1.38B27.16%-552M
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt -91.43%12M-98.24%140M79.02%7.95B1,654.15%4.44B2,200.00%253M-96.30%11M1,750.00%297M93.33%-18M-144.93%-270M67.76%601M
Net common stock issuance 61.70%-203M64.76%-530M38.79%-1.5B-4,535.85%-2.46B55.46%-53M-440.91%-119M38.89%-22M-101.46%-36M1,344.44%2.47B14.05%171M
Cash dividends paid -4.19%-199M19.75%-191M-9.17%-238M-4.31%-218M-5.03%-209M-7.57%-199M-13.50%-185M-16.43%-163M48.91%-140M-90.41%-274M
Net other financing activities 32.13%-7.77B-118.17%-11.45B-217.35%-5.25B-3,475.51%-1.65B103.14%49M-483.90%-1.56B-1,568.75%-267M-1,700.00%-16M-98.11%1M428.68%53M
Cash from discontinued financing activities
Financing cash flow 31.89%-8.24B-1,453.02%-12.1B1,586.79%894M783.33%53M100.29%6M-426.55%-2.04B5.60%-388M-121.72%-411M243.38%1.89B176.40%551M
Net cash flow
Beginning cash position 1.09%9.82B159.14%9.72B-12.22%3.75B87.65%4.27B-79.98%2.28B183.99%11.37B133.68%4B42.75%1.71B0.42%1.2B-10.95%1.2B
Current changes in cash -2,604.61%-7.06B-95.38%282M1,107.93%6.1B-128.46%-605M123.73%2.13B-222.61%-8.96B209.23%7.31B303.24%2.36B270.89%586M163.27%158M
Effect of exchange rate changes -120.73%-181M37.88%-82M-259.04%-132M174.11%83M15.15%-112M-327.59%-132M216.00%58M31.51%-50M51.01%-73M-257.85%-149M
End cash Position -77.31%2.23B1.09%9.82B159.14%9.72B-12.22%3.75B87.65%4.27B-79.98%2.28B183.99%11.37B133.68%4B42.75%1.71B1.13%1.2B
Free cash flow 295.41%936M51.17%-479M-1,342.65%-981M77.70%-68M-219.61%-305M180.44%255M-41.52%-317M-25.14%-224M-34.59%-179M-3.33%-133M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD

Analysis

Analyst Rating

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Price Target

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