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RDZN Roadzen

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  • 1.380
  • -0.110-7.38%
Close Feb 14 16:00 ET
  • 1.390
  • +0.010+0.72%
Post 20:01 ET
102.38MMarket Cap-0.95P/E (TTM)

Roadzen Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Dec 31, 2024
(Q2)Sep 30, 2024
(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-681.99%-3.18M
54.24%-5.58M
-93.85%-5.67M
-104.43%-15.43M
-47.07%-846.14K
123.61%546.42K
-12.2M
-2.92M
-85.60%-7.55M
-1.81%-575.33K
Net income from continuing operations
91.56%-2.58M
29.85%-21.83M
-1,091.35%-48.45M
-603.18%-99.86M
-655.36%-34.06M
-7,859.16%-30.61M
---31.12M
---4.07M
-44.81%-14.2M
-244.55%-4.51M
Operating gains losses
-112.82%-84.27K
360.00%104.77K
-129.77%-3.4K
-29,985.91%-2.56M
-500,315.07%-3.19M
5,119.30%657.32K
---40.3K
--11.41K
-62.78%8.56K
-96.26%637
Depreciation and amortization
-33.61%299.95K
-53.21%193.37K
30.69%480.35K
34.58%2.19M
188.50%953.23K
-13.38%451.77K
--413.32K
--367.54K
18.54%1.62M
-30.49%330.41K
Deferred tax
105.56%2.38K
-277.29%-186.33K
-42.99%-37.19K
34.52%-86.02K
-37.96%-122.3K
-191.52%-42.81K
--105.1K
---26.01K
-254.21%-131.38K
27.63%-88.65K
Change In working capital
-88.96%444.13K
72.46%-2.45M
-219.77%-986.47K
-81.45%598.52K
66.14%4.63M
472.15%4.02M
---8.88M
--823.61K
449.99%3.23M
817.74%2.79M
-Change in receivables
110.50%203.66K
-109.13%-657.48K
136.40%1.04M
721.70%5.87M
546.97%3.45M
-470.15%-1.94M
--7.2M
---2.85M
-195.87%-943.47K
-661.74%-772.48K
-Change in inventory
-124.16%-25.06K
74.39%-14.03K
64.06%-6.8K
-24.98%-11.69K
-311.39%-41.7K
620.55%103.75K
---54.8K
---18.93K
83.30%-9.35K
-25.57%19.73K
-Change in prepaid assets
-182.49%-4.46M
103.35%971.58K
178.10%1.05M
-4,404.78%-23.86M
41.15%1.07M
915.86%5.41M
---29M
---1.34M
57.19%-529.69K
207.25%760.69K
-Change in payables and accrued expense
301.69%2.21M
-89.13%1.21M
-134.80%-2.77M
361.30%19.34M
-112.68%-312.18K
-70.97%549.72K
--11.16M
--7.95M
109.80%4.19M
894.20%2.46M
-Change in other current liabilities
2,595.11%2.52M
-317.63%-3.96M
89.89%-296.98K
-217.95%-674.09K
12.68%545.32K
68.96%-100.95K
--1.82M
---2.94M
404.56%571.52K
-22.97%483.96K
-Change in other working capital
----
----
----
-15.20%-64.24K
49.51%-83.53K
-100.01%-11
---65
--19.36K
-164.17%-55.77K
-313.82%-165.45K
Cash from discontinued investing activities
Operating cash flow
-681.99%-3.18M
54.24%-5.58M
-93.85%-5.67M
-104.43%-15.43M
-47.07%-846.14K
123.61%546.42K
---12.2M
---2.92M
-85.60%-7.55M
-1.81%-575.33K
Investing cash flow
Cash flow from continuing investing activities
123.93%188.67K
100.20%6.7K
148.75%1.23M
-696.94%-6.71M
93.73%-32.35K
-304.38%-788.56K
-3.37M
-2.52M
27.00%-841.36K
34.69%-515.48K
Net PPE purchase and sale
68.73%-89.86K
101.97%6.7K
-83.97%32.75K
45.81%-455.92K
93.72%-32.35K
-174.48%-287.36K
---340.55K
--204.33K
22.13%-841.36K
34.69%-515.48K
Net business purchase and sale
--0
--0
--0
---5.75M
--3
---1.2K
---3.03M
---2.72M
--0
--0
Net investment purchase and sale
155.71%278.53K
--0
--1.19M
---500K
--0
---500K
--0
--0
--0
--0
Cash from discontinued investing activities
Investing cash flow
123.93%188.67K
100.20%6.7K
148.75%1.23M
-696.94%-6.71M
93.73%-32.35K
-304.38%-788.56K
---3.37M
---2.52M
27.00%-841.36K
34.69%-515.48K
Financing cash flow
Cash flow from continuing financing activities
169.55%2.77M
-33.97%3.43M
-91.65%1.03M
158.01%21.57M
2,484.76%2.98M
-60.80%1.03M
5.19M
12.38M
881.38%8.36M
-58.00%115.14K
Net issuance payments of debt
-73.87%268.82K
-2.72%3.43M
-86.97%1.03M
95.95%15.47M
945.12%2.98M
-60.80%1.03M
--3.52M
--7.93M
2,464.52%7.89M
-228.72%-352.86K
Net preferred stock issuance
--0
--0
--0
1,227.38%6.08M
--0
--0
--1.63M
--4.45M
--458K
--458K
Proceeds from stock option exercised by employees
----
----
----
--0
----
----
----
----
-98.16%10K
----
Net other financing activities
----
----
----
--26.82K
---5.95K
--0
----
----
----
----
Cash from discontinued financing activities
Financing cash flow
169.55%2.77M
-33.97%3.43M
-91.65%1.03M
158.01%21.57M
2,484.76%2.98M
-60.80%1.03M
--5.19M
--12.38M
881.38%8.36M
-58.00%115.14K
Net cash flow
Beginning cash position
-33.19%6.01M
-57.57%8.15M
921.80%11.57M
4.18%1.13M
410.88%9.83M
584.69%9M
--19.22M
--1.13M
-77.14%1.09M
-11.20%1.93M
Current changes in cash
-127.83%-218.84K
79.29%-2.15M
-149.11%-3.41M
-1,951.60%-560.91K
314.99%2.1M
13.18%786.44K
---10.38M
--6.94M
99.37%-27.34K
9.68%-975.67K
Effect of exchange rate changes
-24.92%39.16K
-93.32%5.89K
88.94%-3.52K
-436.00%-244.44K
-293.41%-352.98K
162.32%52.16K
--88.19K
---31.82K
2,690.88%72.75K
17,957.05%182.5K
End cash Position
-40.72%5.83M
-33.19%6.01M
-57.57%8.15M
921.80%11.57M
921.80%11.57M
410.88%9.83M
--9M
--19.22M
4.18%1.13M
4.18%1.13M
Free cash flow
-1,346.99%-3.23M
54.75%-5.58M
-93.85%-5.67M
-89.34%-15.88M
19.43%-878.49K
113.42%259.06K
---12.34M
---2.92M
-62.97%-8.39M
19.36%-1.09M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
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 with Explanatory Notes
--
--
--
--
--
--
(Q3)Dec 31, 2024(Q2)Sep 30, 2024(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -681.99%-3.18M54.24%-5.58M-93.85%-5.67M-104.43%-15.43M-47.07%-846.14K123.61%546.42K-12.2M-2.92M-85.60%-7.55M-1.81%-575.33K
Net income from continuing operations 91.56%-2.58M29.85%-21.83M-1,091.35%-48.45M-603.18%-99.86M-655.36%-34.06M-7,859.16%-30.61M---31.12M---4.07M-44.81%-14.2M-244.55%-4.51M
Operating gains losses -112.82%-84.27K360.00%104.77K-129.77%-3.4K-29,985.91%-2.56M-500,315.07%-3.19M5,119.30%657.32K---40.3K--11.41K-62.78%8.56K-96.26%637
Depreciation and amortization -33.61%299.95K-53.21%193.37K30.69%480.35K34.58%2.19M188.50%953.23K-13.38%451.77K--413.32K--367.54K18.54%1.62M-30.49%330.41K
Deferred tax 105.56%2.38K-277.29%-186.33K-42.99%-37.19K34.52%-86.02K-37.96%-122.3K-191.52%-42.81K--105.1K---26.01K-254.21%-131.38K27.63%-88.65K
Change In working capital -88.96%444.13K72.46%-2.45M-219.77%-986.47K-81.45%598.52K66.14%4.63M472.15%4.02M---8.88M--823.61K449.99%3.23M817.74%2.79M
-Change in receivables 110.50%203.66K-109.13%-657.48K136.40%1.04M721.70%5.87M546.97%3.45M-470.15%-1.94M--7.2M---2.85M-195.87%-943.47K-661.74%-772.48K
-Change in inventory -124.16%-25.06K74.39%-14.03K64.06%-6.8K-24.98%-11.69K-311.39%-41.7K620.55%103.75K---54.8K---18.93K83.30%-9.35K-25.57%19.73K
-Change in prepaid assets -182.49%-4.46M103.35%971.58K178.10%1.05M-4,404.78%-23.86M41.15%1.07M915.86%5.41M---29M---1.34M57.19%-529.69K207.25%760.69K
-Change in payables and accrued expense 301.69%2.21M-89.13%1.21M-134.80%-2.77M361.30%19.34M-112.68%-312.18K-70.97%549.72K--11.16M--7.95M109.80%4.19M894.20%2.46M
-Change in other current liabilities 2,595.11%2.52M-317.63%-3.96M89.89%-296.98K-217.95%-674.09K12.68%545.32K68.96%-100.95K--1.82M---2.94M404.56%571.52K-22.97%483.96K
-Change in other working capital -------------15.20%-64.24K49.51%-83.53K-100.01%-11---65--19.36K-164.17%-55.77K-313.82%-165.45K
Cash from discontinued investing activities
Operating cash flow -681.99%-3.18M54.24%-5.58M-93.85%-5.67M-104.43%-15.43M-47.07%-846.14K123.61%546.42K---12.2M---2.92M-85.60%-7.55M-1.81%-575.33K
Investing cash flow
Cash flow from continuing investing activities 123.93%188.67K100.20%6.7K148.75%1.23M-696.94%-6.71M93.73%-32.35K-304.38%-788.56K-3.37M-2.52M27.00%-841.36K34.69%-515.48K
Net PPE purchase and sale 68.73%-89.86K101.97%6.7K-83.97%32.75K45.81%-455.92K93.72%-32.35K-174.48%-287.36K---340.55K--204.33K22.13%-841.36K34.69%-515.48K
Net business purchase and sale --0--0--0---5.75M--3---1.2K---3.03M---2.72M--0--0
Net investment purchase and sale 155.71%278.53K--0--1.19M---500K--0---500K--0--0--0--0
Cash from discontinued investing activities
Investing cash flow 123.93%188.67K100.20%6.7K148.75%1.23M-696.94%-6.71M93.73%-32.35K-304.38%-788.56K---3.37M---2.52M27.00%-841.36K34.69%-515.48K
Financing cash flow
Cash flow from continuing financing activities 169.55%2.77M-33.97%3.43M-91.65%1.03M158.01%21.57M2,484.76%2.98M-60.80%1.03M5.19M12.38M881.38%8.36M-58.00%115.14K
Net issuance payments of debt -73.87%268.82K-2.72%3.43M-86.97%1.03M95.95%15.47M945.12%2.98M-60.80%1.03M--3.52M--7.93M2,464.52%7.89M-228.72%-352.86K
Net preferred stock issuance --0--0--01,227.38%6.08M--0--0--1.63M--4.45M--458K--458K
Proceeds from stock option exercised by employees --------------0-----------------98.16%10K----
Net other financing activities --------------26.82K---5.95K--0----------------
Cash from discontinued financing activities
Financing cash flow 169.55%2.77M-33.97%3.43M-91.65%1.03M158.01%21.57M2,484.76%2.98M-60.80%1.03M--5.19M--12.38M881.38%8.36M-58.00%115.14K
Net cash flow
Beginning cash position -33.19%6.01M-57.57%8.15M921.80%11.57M4.18%1.13M410.88%9.83M584.69%9M--19.22M--1.13M-77.14%1.09M-11.20%1.93M
Current changes in cash -127.83%-218.84K79.29%-2.15M-149.11%-3.41M-1,951.60%-560.91K314.99%2.1M13.18%786.44K---10.38M--6.94M99.37%-27.34K9.68%-975.67K
Effect of exchange rate changes -24.92%39.16K-93.32%5.89K88.94%-3.52K-436.00%-244.44K-293.41%-352.98K162.32%52.16K--88.19K---31.82K2,690.88%72.75K17,957.05%182.5K
End cash Position -40.72%5.83M-33.19%6.01M-57.57%8.15M921.80%11.57M921.80%11.57M410.88%9.83M--9M--19.22M4.18%1.13M4.18%1.13M
Free cash flow -1,346.99%-3.23M54.75%-5.58M-93.85%-5.67M-89.34%-15.88M19.43%-878.49K113.42%259.06K---12.34M---2.92M-62.97%-8.39M19.36%-1.09M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion with Explanatory Notes------------

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