US Stock MarketDetailed Quotes

RDY Dr. Reddy's Laboratories

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  • 74.270
  • +0.370+0.50%
Close Nov 1 16:00 ET
  • 74.270
  • 0.0000.00%
Post 20:01 ET
61.87BMarket Cap93.66P/E (TTM)

Dr. Reddy's Laboratories Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Jun 30, 2024
(FY)Mar 31, 2024
(Q4)Mar 31, 2024
(Q3)Dec 31, 2023
(Q2)Sep 30, 2023
(Q1)Jun 30, 2023
(FY)Mar 31, 2023
(Q4)Mar 31, 2023
(Q2)Sep 30, 2022
(Q1)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
60.25%94.63B
31.83%81.47B
31.83%81.47B
--72.36B
145.81%67.78B
71.94%59.05B
39.29%61.8B
39.29%61.8B
12.18%27.58B
20.50%34.34B
-Cash and cash equivalents
-18.35%4.91B
22.98%7.11B
22.98%7.11B
--7.34B
47.22%13.39B
-0.02%6.02B
-61.09%5.78B
-61.09%5.78B
-8.86%9.1B
-26.32%6.02B
-Short-term investments
69.17%89.71B
32.75%74.36B
32.75%74.36B
--65.02B
194.33%54.39B
87.23%53.03B
89.81%56.02B
89.81%56.02B
26.56%18.48B
39.31%28.32B
Receivables
4.97%81.09B
14.58%95.34B
14.58%95.34B
--96.08B
12.04%89.69B
0.38%77.25B
3.65%83.2B
3.65%83.2B
11.52%80.05B
21.13%76.96B
-Accounts receivable
5.18%81.09B
10.78%80.3B
10.78%80.3B
--78.42B
-9.44%69.72B
5.30%77.1B
8.57%72.49B
8.57%72.49B
12.21%76.99B
19.98%73.21B
-Taxes receivable
----
----
----
--2.91B
-90.28%298M
-95.91%153M
----
----
-3.43%3.07B
49.22%3.74B
-Other receivables
----
40.32%15.04B
40.32%15.04B
--14.76B
--19.67B
----
13.17%10.72B
13.17%10.72B
----
----
Inventory
30.86%68.57B
30.58%63.55B
30.58%63.55B
--60.8B
15.39%56.59B
1.13%52.4B
-4.35%48.67B
-4.35%48.67B
-1.32%49.04B
2.05%51.81B
Prepaid assets
----
13.72%4.75B
13.72%4.75B
--4.54B
--2.75B
----
266.96%4.18B
266.96%4.18B
----
----
Restricted cash
----
----
----
--193M
--147M
334.05%1.21B
----
----
----
--279M
Other current assets
32.25%24.48B
-46.45%2.77B
-46.45%2.77B
--4.22B
-99.99%1M
14.23%18.51B
57.15%5.18B
57.15%5.18B
15.29%18.33B
7.74%16.21B
Total current assets
28.03%269.19B
21.44%248.05B
21.44%248.05B
--238.48B
23.97%217.7B
17.00%210.26B
12.32%204.25B
12.32%204.25B
7.55%175.61B
13.18%179.71B
Non current assets
Net PPE
19.55%80.34B
15.68%76.89B
15.68%76.89B
--72.8B
10.44%70.48B
5.30%67.21B
6.91%66.46B
6.91%66.46B
5.96%63.82B
8.85%63.83B
-Gross PPE
----
11.74%170.14B
11.74%170.14B
----
----
----
7.24%152.27B
7.24%152.27B
----
----
-Accumulated depreciation
----
-8.68%-93.26B
-8.68%-93.26B
----
----
----
-7.50%-85.81B
-7.50%-85.81B
----
----
Goodwill and other intangible assets
-2.20%41.37B
17.41%41.2B
17.41%41.2B
--41.19B
14.39%41.28B
16.83%42.31B
10.83%35.09B
10.83%35.09B
-3.02%36.08B
-8.89%36.21B
-Goodwill
0.12%4.24B
0.19%4.25B
0.19%4.25B
--4.29B
-2.43%4.22B
-3.26%4.24B
-3.92%4.25B
-3.92%4.25B
-5.42%4.33B
-5.07%4.38B
-Other intangible assets
-2.46%37.13B
19.78%36.95B
19.78%36.95B
--36.91B
16.69%37.06B
19.59%38.07B
13.22%30.85B
13.22%30.85B
-2.68%31.76B
-9.39%31.83B
Investments and advances
6.22%5.21B
-2.00%5.26B
-2.00%5.26B
--8.33B
-3.00%5.92B
-5.95%4.9B
-32.86%5.36B
-32.86%5.36B
-18.45%6.11B
-45.09%5.21B
Non current accounts receivable
--2.62B
38.37%3.72B
38.37%3.72B
----
----
----
4,875.93%2.69B
4,875.93%2.69B
----
-52.38%60M
Non current deferred assets
56.14%14.9B
49.72%10.77B
49.72%10.77B
--10.92B
43.34%10.84B
4.45%9.54B
-12.29%7.2B
-12.29%7.2B
-19.77%7.56B
-13.74%9.14B
Non current prepaid assets
----
11.83%747M
11.83%747M
--689M
--679M
----
-0.30%668M
-0.30%668M
----
----
Other non current assets
102.07%1.66B
570.45%885M
570.45%885M
--439M
-92.62%133M
-54.82%821M
-41.07%132M
-41.07%132M
117.78%1.8B
115.80%1.82B
Total non current assets
17.09%146.11B
18.60%139.47B
18.60%139.47B
--134.37B
12.10%129.33B
7.32%124.78B
5.97%117.6B
5.97%117.6B
0.12%115.37B
-2.65%116.27B
Total assets
23.95%415.3B
20.40%387.52B
20.40%387.52B
--372.84B
19.26%347.02B
13.20%335.04B
9.91%321.85B
9.91%321.85B
4.48%290.97B
6.38%295.98B
Liabilities
Current liabilities
Payables
21.34%38.97B
9.21%44.37B
9.21%44.37B
--45.09B
79.30%43.09B
19.67%32.11B
11.25%40.63B
11.25%40.63B
-10.53%24.04B
-10.45%26.84B
-accounts payable
23.22%34.11B
20.66%21.55B
20.66%21.55B
--31.11B
33.84%30.49B
10.50%27.68B
11.81%17.86B
11.81%17.86B
-10.86%22.78B
-12.43%25.05B
-Total tax payable
9.61%4.86B
9.24%2.34B
9.24%2.34B
--4.17B
217.02%3.99B
148.57%4.43B
32.76%2.14B
32.76%2.14B
-4.12%1.26B
31.01%1.78B
-Other payable
----
-0.71%20.49B
-0.71%20.49B
--9.81B
--8.62B
----
8.94%20.63B
8.94%20.63B
----
----
Current accrued expenses
----
13.45%24.78B
13.45%24.78B
--23.95B
--22.54B
----
8.92%21.84B
8.92%21.84B
----
----
Current provisions
1.48%5.47B
-1.30%5.38B
-1.30%5.38B
--5.33B
11.71%5.24B
19.09%5.39B
28.09%5.45B
28.09%5.45B
25.27%4.69B
30.16%4.53B
Current debt and capital lease obligation
222.08%24.45B
15.06%14.03B
15.06%14.03B
--13.7B
-53.61%7.19B
-66.66%7.59B
-56.60%12.19B
-56.60%12.19B
-36.23%15.49B
-16.33%22.76B
-Current debt
258.15%23.17B
13.70%12.72B
13.70%12.72B
--12.34B
-59.85%5.85B
-70.19%6.47B
-58.68%11.19B
-58.68%11.19B
-37.67%14.57B
-17.48%21.7B
-Current capital lease obligation
14.17%1.28B
30.18%1.31B
30.18%1.31B
--1.36B
45.06%1.34B
5.65%1.12B
-1.28%1B
-1.28%1B
0.55%921M
16.96%1.06B
Current deferred liabilities
----
-27.56%1.44B
-27.56%1.44B
--2.27B
--3B
----
-23.10%1.98B
-23.10%1.98B
----
----
Other current liabilities
3.13%36.79B
61.38%6.03B
61.38%6.03B
--3.26B
-91.29%3.12B
-2.71%35.67B
49.38%3.74B
49.38%3.74B
15.53%35.81B
18.77%36.67B
Current liabilities
30.84%105.67B
11.87%96.04B
11.87%96.04B
--93.6B
5.19%84.18B
-11.04%80.77B
-8.69%85.85B
-8.69%85.85B
-6.83%80.03B
-0.80%90.79B
Non current liabilities
Long term provisions
1.67%61M
3.39%61M
3.39%61M
--61M
13.46%59M
9.09%60M
3.51%59M
3.51%59M
-10.34%52M
-6.78%55M
Long term debt and capital lease obligation
26.35%6.23B
368.70%5.99B
368.70%5.99B
--6.15B
236.66%6.04B
159.06%4.93B
-77.76%1.28B
-77.76%1.28B
-69.97%1.8B
-69.14%1.9B
-Long term debt
0.00%3.8B
--3.8B
--3.8B
--3.8B
--3.8B
--3.8B
----
----
----
----
-Long term capital lease obligation
114.96%2.43B
71.36%2.19B
71.36%2.19B
--2.35B
24.96%2.24B
-40.62%1.13B
-34.33%1.28B
-34.33%1.28B
-17.55%1.8B
-19.57%1.9B
Non current deferred liabilities
645.33%4.79B
-11.98%2.1B
-11.98%2.1B
--2.43B
3,376.09%1.6B
1,067.27%642M
44.12%2.39B
44.12%2.39B
-53.54%46M
-17.91%55M
Other non current liabilities
15.97%3.92B
114.69%2.78B
114.69%2.78B
--2.75B
-27.36%2.05B
21.57%3.38B
56.73%1.29B
56.73%1.29B
11.40%2.83B
21.86%2.78B
Total non current liabilities
66.37%15B
117.80%10.93B
117.80%10.93B
--11.39B
106.72%9.75B
87.99%9.01B
-39.43%5.02B
-39.43%5.02B
-45.58%4.72B
-44.08%4.8B
Total liabilities
34.40%120.67B
17.72%106.97B
17.72%106.97B
--104.99B
10.84%93.94B
-6.07%89.78B
-11.18%90.86B
-11.18%90.86B
-10.39%84.75B
-4.51%95.59B
Shareholders'equity
Share capital
0.12%834M
0.12%834M
0.12%834M
--834M
0.24%834M
0.12%833M
0.12%833M
0.12%833M
0.00%832M
0.00%832M
-common stock
0.12%834M
0.12%834M
0.12%834M
--834M
0.24%834M
0.12%833M
0.12%833M
0.12%833M
0.00%832M
0.00%832M
Retained earnings
21.41%279.26B
23.04%265.26B
23.04%265.26B
--252.08B
22.69%238.23B
22.47%230.02B
22.70%215.59B
22.70%215.59B
15.70%194.17B
16.11%187.81B
Paid-in capital
10.12%11B
6.81%10.94B
6.81%10.94B
--10.9B
8.93%10.8B
1.65%9.99B
4.96%10.24B
4.96%10.24B
-4.59%9.91B
-6.93%9.82B
Less: Treasury stock
-17.70%972M
-21.91%991M
-21.91%991M
--1.01B
-33.40%1.02B
-24.78%1.18B
-20.74%1.27B
-20.74%1.27B
-7.65%1.53B
-13.55%1.57B
Gains losses not affecting retained earnings
-34.49%566M
-26.30%653M
-26.30%653M
--762M
147.71%810M
63.33%864M
17.35%886M
17.35%886M
--327M
--529M
Other equity interest
-16.88%3.94B
-18.02%3.86B
-18.02%3.86B
--4.29B
36.41%3.44B
60.07%4.74B
-7.20%4.71B
-7.20%4.71B
-61.49%2.52B
-56.35%2.96B
Total stockholders'equity
20.13%294.63B
21.45%280.55B
21.45%280.55B
--267.85B
22.72%253.09B
22.39%245.26B
21.24%230.99B
21.24%230.99B
12.12%206.23B
12.51%200.39B
Total equity
20.13%294.63B
21.45%280.55B
21.45%280.55B
--267.85B
22.72%253.09B
22.39%245.26B
21.24%230.99B
21.24%230.99B
12.12%206.23B
12.51%200.39B
Currency Unit
INR
INR
INR
INR
INR
INR
INR
INR
INR
INR
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
(Q1)Jun 30, 2024(FY)Mar 31, 2024(Q4)Mar 31, 2024(Q3)Dec 31, 2023(Q2)Sep 30, 2023(Q1)Jun 30, 2023(FY)Mar 31, 2023(Q4)Mar 31, 2023(Q2)Sep 30, 2022(Q1)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments 60.25%94.63B31.83%81.47B31.83%81.47B--72.36B145.81%67.78B71.94%59.05B39.29%61.8B39.29%61.8B12.18%27.58B20.50%34.34B
-Cash and cash equivalents -18.35%4.91B22.98%7.11B22.98%7.11B--7.34B47.22%13.39B-0.02%6.02B-61.09%5.78B-61.09%5.78B-8.86%9.1B-26.32%6.02B
-Short-term investments 69.17%89.71B32.75%74.36B32.75%74.36B--65.02B194.33%54.39B87.23%53.03B89.81%56.02B89.81%56.02B26.56%18.48B39.31%28.32B
Receivables 4.97%81.09B14.58%95.34B14.58%95.34B--96.08B12.04%89.69B0.38%77.25B3.65%83.2B3.65%83.2B11.52%80.05B21.13%76.96B
-Accounts receivable 5.18%81.09B10.78%80.3B10.78%80.3B--78.42B-9.44%69.72B5.30%77.1B8.57%72.49B8.57%72.49B12.21%76.99B19.98%73.21B
-Taxes receivable --------------2.91B-90.28%298M-95.91%153M---------3.43%3.07B49.22%3.74B
-Other receivables ----40.32%15.04B40.32%15.04B--14.76B--19.67B----13.17%10.72B13.17%10.72B--------
Inventory 30.86%68.57B30.58%63.55B30.58%63.55B--60.8B15.39%56.59B1.13%52.4B-4.35%48.67B-4.35%48.67B-1.32%49.04B2.05%51.81B
Prepaid assets ----13.72%4.75B13.72%4.75B--4.54B--2.75B----266.96%4.18B266.96%4.18B--------
Restricted cash --------------193M--147M334.05%1.21B--------------279M
Other current assets 32.25%24.48B-46.45%2.77B-46.45%2.77B--4.22B-99.99%1M14.23%18.51B57.15%5.18B57.15%5.18B15.29%18.33B7.74%16.21B
Total current assets 28.03%269.19B21.44%248.05B21.44%248.05B--238.48B23.97%217.7B17.00%210.26B12.32%204.25B12.32%204.25B7.55%175.61B13.18%179.71B
Non current assets
Net PPE 19.55%80.34B15.68%76.89B15.68%76.89B--72.8B10.44%70.48B5.30%67.21B6.91%66.46B6.91%66.46B5.96%63.82B8.85%63.83B
-Gross PPE ----11.74%170.14B11.74%170.14B------------7.24%152.27B7.24%152.27B--------
-Accumulated depreciation -----8.68%-93.26B-8.68%-93.26B-------------7.50%-85.81B-7.50%-85.81B--------
Goodwill and other intangible assets -2.20%41.37B17.41%41.2B17.41%41.2B--41.19B14.39%41.28B16.83%42.31B10.83%35.09B10.83%35.09B-3.02%36.08B-8.89%36.21B
-Goodwill 0.12%4.24B0.19%4.25B0.19%4.25B--4.29B-2.43%4.22B-3.26%4.24B-3.92%4.25B-3.92%4.25B-5.42%4.33B-5.07%4.38B
-Other intangible assets -2.46%37.13B19.78%36.95B19.78%36.95B--36.91B16.69%37.06B19.59%38.07B13.22%30.85B13.22%30.85B-2.68%31.76B-9.39%31.83B
Investments and advances 6.22%5.21B-2.00%5.26B-2.00%5.26B--8.33B-3.00%5.92B-5.95%4.9B-32.86%5.36B-32.86%5.36B-18.45%6.11B-45.09%5.21B
Non current accounts receivable --2.62B38.37%3.72B38.37%3.72B------------4,875.93%2.69B4,875.93%2.69B-----52.38%60M
Non current deferred assets 56.14%14.9B49.72%10.77B49.72%10.77B--10.92B43.34%10.84B4.45%9.54B-12.29%7.2B-12.29%7.2B-19.77%7.56B-13.74%9.14B
Non current prepaid assets ----11.83%747M11.83%747M--689M--679M-----0.30%668M-0.30%668M--------
Other non current assets 102.07%1.66B570.45%885M570.45%885M--439M-92.62%133M-54.82%821M-41.07%132M-41.07%132M117.78%1.8B115.80%1.82B
Total non current assets 17.09%146.11B18.60%139.47B18.60%139.47B--134.37B12.10%129.33B7.32%124.78B5.97%117.6B5.97%117.6B0.12%115.37B-2.65%116.27B
Total assets 23.95%415.3B20.40%387.52B20.40%387.52B--372.84B19.26%347.02B13.20%335.04B9.91%321.85B9.91%321.85B4.48%290.97B6.38%295.98B
Liabilities
Current liabilities
Payables 21.34%38.97B9.21%44.37B9.21%44.37B--45.09B79.30%43.09B19.67%32.11B11.25%40.63B11.25%40.63B-10.53%24.04B-10.45%26.84B
-accounts payable 23.22%34.11B20.66%21.55B20.66%21.55B--31.11B33.84%30.49B10.50%27.68B11.81%17.86B11.81%17.86B-10.86%22.78B-12.43%25.05B
-Total tax payable 9.61%4.86B9.24%2.34B9.24%2.34B--4.17B217.02%3.99B148.57%4.43B32.76%2.14B32.76%2.14B-4.12%1.26B31.01%1.78B
-Other payable -----0.71%20.49B-0.71%20.49B--9.81B--8.62B----8.94%20.63B8.94%20.63B--------
Current accrued expenses ----13.45%24.78B13.45%24.78B--23.95B--22.54B----8.92%21.84B8.92%21.84B--------
Current provisions 1.48%5.47B-1.30%5.38B-1.30%5.38B--5.33B11.71%5.24B19.09%5.39B28.09%5.45B28.09%5.45B25.27%4.69B30.16%4.53B
Current debt and capital lease obligation 222.08%24.45B15.06%14.03B15.06%14.03B--13.7B-53.61%7.19B-66.66%7.59B-56.60%12.19B-56.60%12.19B-36.23%15.49B-16.33%22.76B
-Current debt 258.15%23.17B13.70%12.72B13.70%12.72B--12.34B-59.85%5.85B-70.19%6.47B-58.68%11.19B-58.68%11.19B-37.67%14.57B-17.48%21.7B
-Current capital lease obligation 14.17%1.28B30.18%1.31B30.18%1.31B--1.36B45.06%1.34B5.65%1.12B-1.28%1B-1.28%1B0.55%921M16.96%1.06B
Current deferred liabilities -----27.56%1.44B-27.56%1.44B--2.27B--3B-----23.10%1.98B-23.10%1.98B--------
Other current liabilities 3.13%36.79B61.38%6.03B61.38%6.03B--3.26B-91.29%3.12B-2.71%35.67B49.38%3.74B49.38%3.74B15.53%35.81B18.77%36.67B
Current liabilities 30.84%105.67B11.87%96.04B11.87%96.04B--93.6B5.19%84.18B-11.04%80.77B-8.69%85.85B-8.69%85.85B-6.83%80.03B-0.80%90.79B
Non current liabilities
Long term provisions 1.67%61M3.39%61M3.39%61M--61M13.46%59M9.09%60M3.51%59M3.51%59M-10.34%52M-6.78%55M
Long term debt and capital lease obligation 26.35%6.23B368.70%5.99B368.70%5.99B--6.15B236.66%6.04B159.06%4.93B-77.76%1.28B-77.76%1.28B-69.97%1.8B-69.14%1.9B
-Long term debt 0.00%3.8B--3.8B--3.8B--3.8B--3.8B--3.8B----------------
-Long term capital lease obligation 114.96%2.43B71.36%2.19B71.36%2.19B--2.35B24.96%2.24B-40.62%1.13B-34.33%1.28B-34.33%1.28B-17.55%1.8B-19.57%1.9B
Non current deferred liabilities 645.33%4.79B-11.98%2.1B-11.98%2.1B--2.43B3,376.09%1.6B1,067.27%642M44.12%2.39B44.12%2.39B-53.54%46M-17.91%55M
Other non current liabilities 15.97%3.92B114.69%2.78B114.69%2.78B--2.75B-27.36%2.05B21.57%3.38B56.73%1.29B56.73%1.29B11.40%2.83B21.86%2.78B
Total non current liabilities 66.37%15B117.80%10.93B117.80%10.93B--11.39B106.72%9.75B87.99%9.01B-39.43%5.02B-39.43%5.02B-45.58%4.72B-44.08%4.8B
Total liabilities 34.40%120.67B17.72%106.97B17.72%106.97B--104.99B10.84%93.94B-6.07%89.78B-11.18%90.86B-11.18%90.86B-10.39%84.75B-4.51%95.59B
Shareholders'equity
Share capital 0.12%834M0.12%834M0.12%834M--834M0.24%834M0.12%833M0.12%833M0.12%833M0.00%832M0.00%832M
-common stock 0.12%834M0.12%834M0.12%834M--834M0.24%834M0.12%833M0.12%833M0.12%833M0.00%832M0.00%832M
Retained earnings 21.41%279.26B23.04%265.26B23.04%265.26B--252.08B22.69%238.23B22.47%230.02B22.70%215.59B22.70%215.59B15.70%194.17B16.11%187.81B
Paid-in capital 10.12%11B6.81%10.94B6.81%10.94B--10.9B8.93%10.8B1.65%9.99B4.96%10.24B4.96%10.24B-4.59%9.91B-6.93%9.82B
Less: Treasury stock -17.70%972M-21.91%991M-21.91%991M--1.01B-33.40%1.02B-24.78%1.18B-20.74%1.27B-20.74%1.27B-7.65%1.53B-13.55%1.57B
Gains losses not affecting retained earnings -34.49%566M-26.30%653M-26.30%653M--762M147.71%810M63.33%864M17.35%886M17.35%886M--327M--529M
Other equity interest -16.88%3.94B-18.02%3.86B-18.02%3.86B--4.29B36.41%3.44B60.07%4.74B-7.20%4.71B-7.20%4.71B-61.49%2.52B-56.35%2.96B
Total stockholders'equity 20.13%294.63B21.45%280.55B21.45%280.55B--267.85B22.72%253.09B22.39%245.26B21.24%230.99B21.24%230.99B12.12%206.23B12.51%200.39B
Total equity 20.13%294.63B21.45%280.55B21.45%280.55B--267.85B22.72%253.09B22.39%245.26B21.24%230.99B21.24%230.99B12.12%206.23B12.51%200.39B
Currency Unit INRINRINRINRINRINRINRINRINRINR
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------

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