US Stock MarketDetailed Quotes

RDY Dr. Reddy's Laboratories

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  • 14.620
  • -0.178-1.20%
Trading Nov 5 11:51 ET
60.90BMarket Cap92.53P/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
(Q3)Dec 31, 2022
(Q2)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-24.48%8.5B
-22.83%45.43B
-41.46%11.52B
-79.63%4.74B
93.15%17.93B
69.05%11.25B
109.46%58.88B
3,218.55%19.68B
-10.04%23.26B
81.77%9.28B
Net income from continuing operations
-0.75%13.92B
23.56%55.68B
36.26%13.07B
10.57%13.79B
33.00%14.8B
18.10%14.03B
91.22%45.07B
996.23%9.59B
76.52%12.47B
12.18%11.13B
Operating gains losses
126.61%161M
-43.60%-1.58B
60.50%-158M
250.53%286M
-135.23%-1.1B
83.40%-605M
57.46%-1.1B
14.89%-400M
-30.14%-190M
330.27%3.13B
Depreciation and amortization
6.75%3.81B
17.45%14.84B
16.43%3.71B
15.26%3.77B
21.21%3.79B
17.02%3.57B
6.87%12.64B
7.81%3.19B
9.91%3.27B
4.72%3.13B
Deferred tax
10.43%4.9B
5.79%16.19B
-19.57%2.95B
15.30%4.47B
-13.02%4.33B
59.70%4.44B
75.26%15.3B
127.80%3.66B
46.56%3.88B
80.48%4.98B
Other non cash items
-447.62%-146M
-328.63%-567M
55.00%-54M
-230.34%-189M
-493.55%-366M
-67.69%42M
3,642.86%248M
-101.40%-120M
101.69%145M
3,200.00%93M
Change In working capital
-60.77%-13.14B
-156.93%-20.18B
-142.05%-2.76B
-354.13%-11.86B
123.12%2.61B
-4.77%-8.17B
57.54%-7.86B
144.81%6.57B
-69.27%4.67B
-62.50%-11.29B
-Change in receivables
83.09%-786M
-40.02%-8.05B
-177.11%-1.92B
-561.61%-8.83B
297.68%7.34B
27.83%-4.65B
66.19%-5.75B
159.98%2.49B
-68.98%1.91B
50.86%-3.71B
-Change in inventory
-36.33%-6.32B
-594.99%-18.45B
-3,124.79%-3.9B
-216.68%-5.2B
-471.70%-4.7B
-115.22%-4.64B
73.22%-2.65B
99.15%-121M
-119.21%-1.64B
18.11%1.27B
-Change in payables and accrued expense
11.47%2.48B
14,943.48%3.46B
-290.10%-1.5B
-85.88%390M
228.65%2.34B
516.48%2.22B
-99.48%23M
-138.59%-384M
282.14%2.76B
-1,339.46%-1.82B
-Change in other working capital
-664.69%-8.51B
441.10%2.86B
-0.72%4.56B
9.25%1.78B
66.25%-2.37B
-183.94%-1.11B
-86.85%528M
72.16%4.59B
-17.65%1.63B
-1,046.90%-7.02B
Cash from discontinued investing activities
Operating cash flow
-24.48%8.5B
-22.83%45.43B
-41.46%11.52B
-79.63%4.74B
93.15%17.93B
69.05%11.25B
109.46%58.88B
115.80%19.68B
34.21%23.26B
81.77%9.28B
Investing cash flow
Cash flow from continuing investing activities
-145.85%-20.25B
2.63%-40.28B
28.04%-11.35B
38.74%-16.18B
-178.79%-4.52B
-67.30%-8.24B
-56.79%-41.37B
28.27%-15.77B
-856.54%-26.41B
44.44%5.73B
Capital expenditure reported
----
----
----
-62.70%-5.04B
----
----
----
----
30.73%-3.1B
53.83%-3.33B
Net PPE purchase and sale
-35.64%-4.91B
-36.46%-15.34B
-44.73%-16.35B
6,450.00%524M
3,235.11%4.11B
-2,122.35%-3.62B
21.34%-11.24B
21.99%-11.3B
-78.38%8M
-222.43%-131M
Net intangibles purchase and sale
84.60%-1.31B
-45.98%-11.01B
-46.25%-11.03B
--0
--8.55B
---8.53B
-422.73%-7.54B
-71.86%-7.54B
--0
----
Net business purchase and sale
----
---12M
--0
----
----
----
--0
--0
----
----
Net investment purchase and sale
-507.03%-14.47B
32.79%-15.7B
54.80%-5.55B
49.05%-11.96B
-119.68%-1.75B
1.43%3.56B
-108.61%-23.37B
31.87%-12.27B
-1,759.36%-23.48B
11.50%8.88B
Cash from discontinued investing activities
Investing cash flow
-145.85%-20.25B
2.63%-40.28B
28.04%-11.35B
38.74%-16.18B
-178.79%-4.52B
-67.30%-8.24B
-56.79%-41.37B
28.27%-15.77B
-856.54%-26.41B
44.44%5.73B
Financing cash flow
Cash flow from continuing financing activities
746.41%9.54B
85.99%-3.76B
87.60%-533M
806.00%5.28B
43.01%-7.04B
86.33%-1.48B
-1,009.04%-26.86B
-184.32%-4.3B
122.70%583M
-71.19%-12.35B
Net issuance payments of debt
1,135.92%10.27B
121.31%4.35B
102.64%109M
431.54%5.82B
91.70%-587M
90.37%-991M
-845.78%-20.4B
-176.45%-4.13B
149.80%1.09B
-141.66%-7.07B
Net common stock issuance
-75.95%19M
118.75%805M
-85.97%31M
-88.89%9M
1,860.00%686M
154.84%79M
10.18%368M
2,662.50%221M
80.00%81M
-73.88%35M
Cash dividends paid
--0
-33.52%-6.65B
--0
--0
-33.52%-6.65B
--0
-20.09%-4.98B
--0
--0
-20.09%-4.98B
Cash from discontinued financing activities
Financing cash flow
746.41%9.54B
85.99%-3.76B
87.60%-533M
806.00%5.28B
43.01%-7.04B
86.33%-1.48B
-1,009.04%-26.86B
-184.32%-4.3B
122.70%583M
-71.19%-12.35B
Net cash flow
Beginning cash position
22.98%7.11B
-61.09%5.78B
20.39%7.54B
48.85%13.54B
14.78%7.23B
-61.09%5.78B
0.22%14.85B
-71.52%6.26B
-8.89%9.09B
-22.91%6.3B
Current changes in cash
-243.76%-2.21B
114.82%1.39B
7.40%-363M
-140.01%-6.16B
138.87%6.37B
116.96%1.54B
-1,235.09%-9.36B
94.96%-392M
-121.39%-2.57B
43.21%2.67B
Effect of exchange rate changes
119.10%17M
-120.63%-59M
26.14%-65M
160.30%161M
-151.56%-66M
-117.35%-89M
-60.98%286M
-113.58%-88M
-4,350.00%-267M
350.98%128M
End cash Position
-32.03%4.91B
22.98%7.11B
22.98%7.11B
20.39%7.54B
48.85%13.54B
14.78%7.23B
-61.09%5.78B
-61.09%5.78B
-71.52%6.26B
-8.89%9.09B
Free cash flow
324.97%2.07B
-55.02%18B
-67.13%5.24B
-101.51%-305M
135.00%13.99B
54.74%-921M
341.65%40.01B
212.86%15.93B
56.81%20.16B
382.76%5.95B
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(Q3)Dec 31, 2022(Q2)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -24.48%8.5B-22.83%45.43B-41.46%11.52B-79.63%4.74B93.15%17.93B69.05%11.25B109.46%58.88B3,218.55%19.68B-10.04%23.26B81.77%9.28B
Net income from continuing operations -0.75%13.92B23.56%55.68B36.26%13.07B10.57%13.79B33.00%14.8B18.10%14.03B91.22%45.07B996.23%9.59B76.52%12.47B12.18%11.13B
Operating gains losses 126.61%161M-43.60%-1.58B60.50%-158M250.53%286M-135.23%-1.1B83.40%-605M57.46%-1.1B14.89%-400M-30.14%-190M330.27%3.13B
Depreciation and amortization 6.75%3.81B17.45%14.84B16.43%3.71B15.26%3.77B21.21%3.79B17.02%3.57B6.87%12.64B7.81%3.19B9.91%3.27B4.72%3.13B
Deferred tax 10.43%4.9B5.79%16.19B-19.57%2.95B15.30%4.47B-13.02%4.33B59.70%4.44B75.26%15.3B127.80%3.66B46.56%3.88B80.48%4.98B
Other non cash items -447.62%-146M-328.63%-567M55.00%-54M-230.34%-189M-493.55%-366M-67.69%42M3,642.86%248M-101.40%-120M101.69%145M3,200.00%93M
Change In working capital -60.77%-13.14B-156.93%-20.18B-142.05%-2.76B-354.13%-11.86B123.12%2.61B-4.77%-8.17B57.54%-7.86B144.81%6.57B-69.27%4.67B-62.50%-11.29B
-Change in receivables 83.09%-786M-40.02%-8.05B-177.11%-1.92B-561.61%-8.83B297.68%7.34B27.83%-4.65B66.19%-5.75B159.98%2.49B-68.98%1.91B50.86%-3.71B
-Change in inventory -36.33%-6.32B-594.99%-18.45B-3,124.79%-3.9B-216.68%-5.2B-471.70%-4.7B-115.22%-4.64B73.22%-2.65B99.15%-121M-119.21%-1.64B18.11%1.27B
-Change in payables and accrued expense 11.47%2.48B14,943.48%3.46B-290.10%-1.5B-85.88%390M228.65%2.34B516.48%2.22B-99.48%23M-138.59%-384M282.14%2.76B-1,339.46%-1.82B
-Change in other working capital -664.69%-8.51B441.10%2.86B-0.72%4.56B9.25%1.78B66.25%-2.37B-183.94%-1.11B-86.85%528M72.16%4.59B-17.65%1.63B-1,046.90%-7.02B
Cash from discontinued investing activities
Operating cash flow -24.48%8.5B-22.83%45.43B-41.46%11.52B-79.63%4.74B93.15%17.93B69.05%11.25B109.46%58.88B115.80%19.68B34.21%23.26B81.77%9.28B
Investing cash flow
Cash flow from continuing investing activities -145.85%-20.25B2.63%-40.28B28.04%-11.35B38.74%-16.18B-178.79%-4.52B-67.30%-8.24B-56.79%-41.37B28.27%-15.77B-856.54%-26.41B44.44%5.73B
Capital expenditure reported -------------62.70%-5.04B----------------30.73%-3.1B53.83%-3.33B
Net PPE purchase and sale -35.64%-4.91B-36.46%-15.34B-44.73%-16.35B6,450.00%524M3,235.11%4.11B-2,122.35%-3.62B21.34%-11.24B21.99%-11.3B-78.38%8M-222.43%-131M
Net intangibles purchase and sale 84.60%-1.31B-45.98%-11.01B-46.25%-11.03B--0--8.55B---8.53B-422.73%-7.54B-71.86%-7.54B--0----
Net business purchase and sale -------12M--0--------------0--0--------
Net investment purchase and sale -507.03%-14.47B32.79%-15.7B54.80%-5.55B49.05%-11.96B-119.68%-1.75B1.43%3.56B-108.61%-23.37B31.87%-12.27B-1,759.36%-23.48B11.50%8.88B
Cash from discontinued investing activities
Investing cash flow -145.85%-20.25B2.63%-40.28B28.04%-11.35B38.74%-16.18B-178.79%-4.52B-67.30%-8.24B-56.79%-41.37B28.27%-15.77B-856.54%-26.41B44.44%5.73B
Financing cash flow
Cash flow from continuing financing activities 746.41%9.54B85.99%-3.76B87.60%-533M806.00%5.28B43.01%-7.04B86.33%-1.48B-1,009.04%-26.86B-184.32%-4.3B122.70%583M-71.19%-12.35B
Net issuance payments of debt 1,135.92%10.27B121.31%4.35B102.64%109M431.54%5.82B91.70%-587M90.37%-991M-845.78%-20.4B-176.45%-4.13B149.80%1.09B-141.66%-7.07B
Net common stock issuance -75.95%19M118.75%805M-85.97%31M-88.89%9M1,860.00%686M154.84%79M10.18%368M2,662.50%221M80.00%81M-73.88%35M
Cash dividends paid --0-33.52%-6.65B--0--0-33.52%-6.65B--0-20.09%-4.98B--0--0-20.09%-4.98B
Cash from discontinued financing activities
Financing cash flow 746.41%9.54B85.99%-3.76B87.60%-533M806.00%5.28B43.01%-7.04B86.33%-1.48B-1,009.04%-26.86B-184.32%-4.3B122.70%583M-71.19%-12.35B
Net cash flow
Beginning cash position 22.98%7.11B-61.09%5.78B20.39%7.54B48.85%13.54B14.78%7.23B-61.09%5.78B0.22%14.85B-71.52%6.26B-8.89%9.09B-22.91%6.3B
Current changes in cash -243.76%-2.21B114.82%1.39B7.40%-363M-140.01%-6.16B138.87%6.37B116.96%1.54B-1,235.09%-9.36B94.96%-392M-121.39%-2.57B43.21%2.67B
Effect of exchange rate changes 119.10%17M-120.63%-59M26.14%-65M160.30%161M-151.56%-66M-117.35%-89M-60.98%286M-113.58%-88M-4,350.00%-267M350.98%128M
End cash Position -32.03%4.91B22.98%7.11B22.98%7.11B20.39%7.54B48.85%13.54B14.78%7.23B-61.09%5.78B-61.09%5.78B-71.52%6.26B-8.89%9.09B
Free cash flow 324.97%2.07B-55.02%18B-67.13%5.24B-101.51%-305M135.00%13.99B54.74%-921M341.65%40.01B212.86%15.93B56.81%20.16B382.76%5.95B
Currency Unit INRINRINRINRINRINRINRINRINRINR
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------

Analysis

Analyst Rating

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Price Target

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