Oil and Natural Gas Corporation Limited
ONGC.NS
NSE
241.56
INR-0.25(-0.10%)
As of today
Oil and Natural Gas Corporation Limited fundamentals
ONGC.NS Cash Flow
Period Ending | Mar 31, 2025 | Mar 31, 2024 | Mar 31, 2023 | Mar 31, 2022 | Mar 31, 2021 | Mar 31, 2020 | Mar 31, 2019 | Mar 31, 2018 | Mar 31, 2017 | Mar 31, 2016 | Mar 31, 2015 | Mar 31, 2014 | Mar 31, 2013 | Mar 31, 2012 | Mar 31, 2011 | Mar 31, 2010 | Mar 31, 2009 | Mar 31, 2008 | Mar 31, 2007 | Mar 31, 2006 | Mar 31, 2005 | Mar 31, 2004 | |
---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
Net Income | 362,256,100,000 | 492,213,780,000 | 340,464,610,000 | 492,940,570,000 | 213,434,460,000 | 114,562,590,000 | 339,380,080,000 | 260,679,860,000 | 244,192,500,000 | 131,015,530,000 | 273,703,650,000 | 394,134,060,000 | 367,421,650,000 | 428,035,060,000 | 343,163,170,000 | 304,413,640,000 | 311,037,170,000 | 310,140,810,000 | 285,475,850,000 | 213,923,670,000 | 196,477,020,000 | 149,051,390,000 | |
Depreciation & Amortization | 428,120,700,000 | 322,165,410,000 | 258,876,870,000 | 260,189,910,000 | 255,384,710,000 | 266,348,810,000 | 240,262,320,000 | 230,886,860,000 | 202,192,010,000 | 163,840,590,000 | 180,329,650,000 | 165,809,040,000 | 120,942,320,000 | 131,865,360,000 | 113,527,670,000 | 88,628,330,000 | 87,791,330,000 | 90,775,690,000 | 78,642,850,000 | 83,021,720,000 | 0 | 0 | |
Deferred Income Tax | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | |
Stock-Based Compensation | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | |
Change in Working Capital | -83,227,500,000 | -95,034,720,000 | 87,090,040,000 | 36,707,030,000 | -39,397,210,000 | 127,024,120,000 | -98,166,920,000 | 2,542,550,000 | -26,729,320,000 | 71,864,370,000 | -115,767,650,000 | 42,031,200,000 | -60,066,020,000 | -70,505,750,000 | 69,576,740,000 | -16,194,760,000 | 4,824,670,000 | -3,903,700,000 | 19,940,230,000 | 12,258,010,000 | -4,093,620,000 | 2,068,320,000 | |
Accounts Receivable Change | -9,064,700,000 | -10,851,300,000 | 6,152,520,000 | -30,670,490,000 | -66,661,370,000 | 61,446,520,000 | -22,516,440,000 | -14,340,300,000 | -21,284,030,000 | 78,352,030,000 | -60,395,740,000 | 5,713,050,000 | -44,305,250,000 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | |
Inventory Change | -51,770,000,000 | -81,346,100,000 | 92,354,640,000 | -96,723,760,000 | -116,818,800,000 | 9,569,060,000 | -46,698,490,000 | -7,421,180,000 | -13,638,250,000 | 4,910,540,000 | 44,624,370,000 | -22,016,150,000 | 2,921,880,000 | -46,882,430,000 | -3,925,270,000 | -17,271,390,000 | 7,626,640,000 | -15,023,530,000 | -13,274,410,000 | -6,543,310,000 | -8,321,480,000 | -10,008,790,000 | |
Accounts Payable Change | 0 | 96,391,400,000 | -46,388,830,000 | 183,582,780,000 | 134,064,590,000 | 61,608,720,000 | 94,410,710,000 | 59,495,830,000 | -62,141,480,000 | 5,786,840,000 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | |
Other Working Capital Change | -22,392,800,000 | -99,228,720,000 | 34,971,710,000 | -19,481,500,000 | 10,018,370,000 | -5,600,180,000 | -123,362,700,000 | -35,191,800,000 | 70,334,440,000 | -17,185,040,000 | -99,996,280,000 | 58,334,300,000 | -18,682,650,000 | -23,623,320,000 | 73,502,010,000 | 1,076,630,000 | -2,801,970,000 | 11,119,830,000 | 33,214,640,000 | 18,801,320,000 | 4,227,860,000 | 12,077,110,000 | |
Other Non-Cash Items | 201,532,500,000 | 273,282,470,000 | 174,189,490,000 | -7,355,050,000 | 42,429,950,000 | 197,994,260,000 | 133,100,510,000 | 73,811,680,000 | 38,149,570,000 | 96,204,370,000 | 1,238,590,000 | -69,270,510,000 | -29,556,170,000 | -28,100,470,000 | -106,469,050,000 | -89,016,650,000 | -113,676,370,000 | -106,724,260,000 | -106,156,980,000 | -102,961,090,000 | -11,939,240,000 | -9,883,770,000 | |
Net Cash Provided by Operating Activities | 908,681,800,000 | 992,626,940,000 | 860,621,010,000 | 782,482,460,000 | 471,851,910,000 | 705,929,780,000 | 614,575,990,000 | 567,920,950,000 | 457,804,760,000 | 462,924,860,000 | 339,504,240,000 | 532,703,790,000 | 398,741,780,000 | 461,294,200,000 | 419,798,530,000 | 287,830,560,000 | 289,976,800,000 | 290,288,540,000 | 277,901,950,000 | 206,242,310,000 | 180,444,160,000 | 141,235,940,000 | |
Investments in Property, Plant & Equipment | -556,762,100,000 | -519,015,930,000 | -509,302,520,000 | -445,265,120,000 | -429,843,270,000 | -549,849,260,000 | -427,922,230,000 | -449,426,650,000 | -363,288,210,000 | -301,244,550,000 | -354,337,870,000 | -615,654,940,000 | -422,802,050,000 | -395,690,510,000 | -277,046,570,000 | -123,123,390,000 | -216,389,840,000 | -168,144,240,000 | -135,663,190,000 | -78,106,280,000 | -104,030,500,000 | -58,244,500,000 | |
Net Acquisitions | -13,342,700,000 | -35,304,500,000 | -34,065,100,000 | -24,466,650,000 | -25,256,870,000 | -8,375,310,000 | -14,678,380,000 | -402,827,030,000 | -124,787,900,000 | 0 | 0 | -4,664,610,000 | 78,500,000 | -533,540,000 | -958,500,000 | -430,590,000 | -150,000,000 | -73,500,000 | -20,893,850,000 | -39,701,160,000 | -20,008,090,000 | -13,322,480,000 | |
Purchases of Investments | -71,470,900,000 | 0 | 0 | -8,360,900,000 | -3,272,930,000 | -50,092,420,000 | -23,559,830,000 | 69,255,300,000 | -6,307,970,000 | -102,935,280,000 | 0 | 0 | -825,500,000 | -29,230,000 | -12,506,820,000 | -31,840,930,000 | -774,760,000 | -12,669,680,000 | -1,302,750,000 | -8,988,740,000 | -98,140,000 | -2,576,000,000 | |
Sales & Maturities of Investments | 136,650,000,000 | 0 | 0 | 15,706,650,000 | 16,727,800,000 | 0 | 8,235,170,000 | 120,895,130,000 | 5,779,250,000 | 2,788,540,000 | 310,770,000 | 651,490,000 | 8,791,860,000 | 1,619,760,000 | 47,014,910,000 | 19,908,820,000 | 9,792,680,000 | 22,567,890,000 | 15,931,880,000 | 7,893,400,000 | 3,862,500,000 | 3,163,730,000 | |
Other Investing Activities | 138,114,300,000 | -18,347,800,000 | -207,581,770,000 | 49,089,790,000 | 50,726,230,000 | 73,333,850,000 | 84,608,050,000 | -9,008,930,000 | 38,044,380,000 | 18,563,840,000 | 3,069,900,000 | -16,657,530,000 | 2,558,380,000 | 10,882,450,000 | -656,820,000 | -75,532,680,000 | -74,189,080,000 | -4,536,250,000 | 57,823,230,000 | -3,100,100,000 | 35,768,340,000 | 9,149,210,000 | |
Net Cash Used for Investing Activities | -527,465,500,000 | -572,668,230,000 | -750,949,390,000 | -413,296,230,000 | -390,919,040,000 | -534,983,140,000 | -373,317,220,000 | -671,112,180,000 | -450,560,450,000 | -382,827,450,000 | -350,957,200,000 | -636,325,590,000 | -412,198,810,000 | -383,751,070,000 | -244,153,800,000 | -211,018,770,000 | -281,711,000,000 | -162,855,780,000 | -84,104,680,000 | -122,002,880,000 | -84,505,890,000 | -61,830,040,000 | |
Debt Repayment | -278,809,800,000 | -154,208,520,000 | 174,342,020,000 | -129,944,600,000 | -4,421,030,000 | 24,113,210,000 | -31,322,050,000 | 240,607,000,000 | 159,934,520,000 | -1,944,340,000 | 19,643,280,000 | 247,223,400,000 | 45,677,590,000 | 91,523,460,000 | 400,400,000 | -164,310,000 | 49,675,610,000 | -5,983,440,000 | -6,633,650,000 | -8,969,680,000 | -16,701,420,000 | -2,327,800,000 | |
Common Stock Issued | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 24,981,160,000 | 0 | 0 | 0 | 574,680,000 | 0 | 0 | 190,000 | 0 | 1,664,770,000 | 7,027,800,000 | 430,000 | 350,000 | 1,360,000 | |
Common Stock Repurchased | 0 | 0 | 0 | 0 | 0 | -162,010,000 | -40,354,060,000 | -2,282,930,000 | 0 | -4,856,330,000 | 0 | 0 | 0 | -45,930,000 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | |
Dividends Paid | -169,847,400,000 | -128,949,010,000 | -176,089,650,000 | -129,238,270,000 | -30,962,940,000 | -82,972,420,000 | -100,860,230,000 | -94,958,850,000 | -153,501,280,000 | -49,168,680,000 | -79,203,670,000 | -83,453,450,000 | -94,960,300,000 | -73,657,150,000 | -101,427,320,000 | -69,377,540,000 | -69,373,970,000 | -66,929,140,000 | -67,550,330,000 | -64,170,290,000 | -42,691,530,000 | -38,502,580,000 | |
Other Financing Activities | -30,418,200,000 | -173,345,390,000 | -127,014,660,000 | -98,717,280,000 | -47,010,790,000 | -108,242,420,000 | -60,708,630,000 | -46,554,540,000 | -50,084,890,000 | -33,750,620,000 | -46,847,370,000 | -11,523,730,000 | -20,562,240,000 | -16,804,940,000 | -16,575,740,000 | -13,185,540,000 | -13,193,830,000 | -12,404,530,000 | -10,992,100,000 | -17,640,290,000 | -4,959,360,000 | -7,084,090,000 | |
Net Cash Used/Provided by Financing Activities | -479,075,400,000 | -456,502,920,000 | -128,762,290,000 | -357,900,150,000 | -82,394,760,000 | -167,263,640,000 | -233,244,970,000 | 99,093,610,000 | -18,670,490,000 | -89,719,970,000 | -106,407,760,000 | 152,246,220,000 | -69,270,270,000 | 1,015,440,000 | -117,602,660,000 | -82,727,200,000 | -32,892,190,000 | -83,652,340,000 | -78,148,280,000 | -90,779,830,000 | -64,351,960,000 | -47,913,110,000 | |
Effect of Forex Changes on Cash | 1,203,500,000 | 633,990,000 | 4,050,840,000 | 1,324,780,000 | -492,460,000 | 3,392,670,000 | 2,000,920,000 | 3,130,770,000 | 12,414,910,000 | 268,750,000 | 2,613,300,000 | 0 | 230,000 | 2,670,000 | 895,460,000 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | |
Net Change in Cash | 681,270,000 | -35,910,220,000 | -15,039,830,000 | 12,610,860,000 | -1,954,350,000 | 7,075,660,000 | 10,014,720,000 | -966,860,000 | -17,810,140,000 | -38,851,250,000 | -67,486,770,000 | 48,624,420,000 | -82,727,070,000 | 78,561,240,000 | 58,937,530,000 | -5,915,410,000 | -24,626,390,000 | 43,780,420,000 | 115,648,990,000 | -6,540,400,000 | 7,252,160,000 | 31,492,790,000 | |
Cash at End of Period | -22,975,600,000 | -23,656,800,000 | 12,253,400,000 | 27,293,180,000 | 14,682,320,000 | 16,636,670,000 | 9,561,010,000 | -453,700,000 | 513,130,000 | 18,323,270,000 | 57,174,520,000 | 244,632,410,000 | 196,008,000,000 | 278,735,070,000 | 278,904,240,000 | 219,966,710,000 | 225,860,410,000 | 250,486,620,000 | 206,662,530,000 | 88,128,210,000 | 94,668,610,000 | 96,219,130,000 | |
Cash at Beginning of Period | -23,656,870,000 | 12,253,400,000 | 27,293,200,000 | 14,682,320,000 | 16,636,670,000 | 9,561,010,000 | -453,710,000 | 513,150,000 | -475,590,000 | 27,677,090,000 | 124,661,290,000 | 196,007,990,000 | 278,735,070,000 | 200,173,830,000 | 219,966,710,000 | 225,883,480,000 | 250,486,800,000 | 206,706,200,000 | 91,013,540,000 | 94,668,610,000 | 87,416,450,000 | 64,726,340,000 | |
Operating Cash Flow | 908,681,800,000 | 992,626,940,000 | 860,621,010,000 | 782,482,460,000 | 471,851,910,000 | 705,929,780,000 | 614,575,990,000 | 567,920,950,000 | 457,804,760,000 | 462,924,860,000 | 339,504,240,000 | 532,703,790,000 | 398,741,780,000 | 461,294,200,000 | 419,798,530,000 | 287,830,560,000 | 289,976,800,000 | 290,288,540,000 | 277,901,950,000 | 206,242,310,000 | 156,110,010,000 | 141,235,940,000 | |
Capital Expenditure | -556,762,100,000 | -519,015,930,000 | -509,302,520,000 | -445,265,120,000 | -430,005,290,000 | -549,849,260,000 | -427,922,230,000 | -449,426,650,000 | -363,288,210,000 | -301,244,550,000 | -354,337,870,000 | -615,654,940,000 | -422,802,050,000 | -395,690,510,000 | -277,046,570,000 | -212,531,220,000 | -216,389,840,000 | -168,144,240,000 | -135,663,190,000 | -78,106,280,000 | -81,011,910,000 | -58,244,500,000 | |
Free Cash Flow | 351,919,700,000 | 473,611,010,000 | 351,318,490,000 | 337,217,340,000 | 42,008,640,000 | 156,080,520,000 | 186,653,760,000 | 118,494,300,000 | 94,516,550,000 | 161,680,310,000 | -14,252,140,000 | -82,951,150,000 | -24,060,270,000 | 65,603,690,000 | 142,751,960,000 | 75,299,340,000 | 73,586,960,000 | 122,144,300,000 | 142,238,760,000 | 128,136,030,000 | 76,413,660,000 | 82,991,440,000 |