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ReNew Energy Global (RNW)

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  • 5.200
  • +0.020+0.39%
Close Apr 24 15:59 ET
  • 5.200
  • 0.0000.00%
Post 20:01 ET
1.89BMarket Cap14.57P/E (TTM)

ReNew Energy Global (RNW) Cash Flow

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Dec 31, 2025
(Q2)Sep 30, 2025
(Q1)Jun 30, 2025
(FY)Mar 31, 2025
(Q4)Mar 31, 2025
(Q3)Dec 31, 2024
(Q2)Sep 30, 2024
(Q1)Jun 30, 2024
(FY)Mar 31, 2024
(Q4)Mar 31, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
22.52%22.65B
42.93%28.81B
19.80%11.88B
-1.98%67.57B
7.50%19.01B
-1.93%18.49B
6.51%20.16B
-26.42%9.91B
5.12%68.93B
10.23%17.68B
Net income from continuing operations
82.86%-505M
-25.26%5.59B
210.48%7.73B
23.24%10.03B
44.74%3.02B
9.47%-2.95B
58.40%7.48B
-45.80%2.49B
429.64%8.14B
388.90%2.08B
Operating gains losses
75.85%-64M
57.44%-143M
-68.83%24M
12.52%-3.68B
26.86%-3.16B
-144.99%-265M
12.95%-336M
181.91%77M
-210.47%-4.21B
-4,419.00%-4.32B
Depreciation and amortization
23.37%6.46B
20.38%6.28B
24.86%6.05B
17.56%20.67B
18.58%5.37B
18.26%5.23B
17.75%5.22B
15.50%4.84B
10.58%17.58B
12.12%4.53B
Other non cash items
4.95%11.28B
32.49%14.41B
23.27%13.43B
7.38%47.14B
26.71%14.62B
5.45%10.75B
-14.67%10.88B
15.65%10.9B
-8.25%43.9B
41.61%11.53B
Change In working capital
12.37%6.76B
227.74%3.67B
-62.47%-16.84B
-209.42%-5.65B
-74.74%1.57B
-7.26%6.01B
-4.67%-2.87B
-115.26%-10.37B
-10.60%5.16B
24.55%6.23B
-Change in receivables
62.01%6.69B
77.50%-562M
-64.36%-5.6B
-264.37%-3.98B
-85.21%-2.2B
-0.91%4.13B
-147.82%-2.5B
-848.57%-3.41B
-55.21%2.42B
-21.80%-1.19B
-Change in inventory
-837.78%-7.02B
294.15%1.39B
-675.59%-3.68B
-217.22%-2.4B
-2,711.67%-1.57B
-71.00%-749M
-1,382.14%-718M
247.58%639M
27.40%-755M
107.87%60M
-Change in payables and accrued expense
606.73%10.71B
452.03%2.99B
120.65%627M
-79.10%730M
-15.52%1.71B
259.24%1.52B
885.45%542M
-405.84%-3.04B
148.79%3.49B
638.32%2.02B
-Change in other current assets
-812.80%-3.01B
105.00%68M
-237.98%-4.36B
----
----
-80.90%422M
-29.31%-1.36B
56.64%-1.29B
3.09%-1.45B
-78.47%371M
-Change in other current liabilities
-187.39%-610M
-119.50%-227M
-17.12%-3.83B
----
----
453.97%698M
246.78%1.16B
-14.57%-3.27B
----
----
Cash from discontinued investing activities
Operating cash flow
22.52%22.65B
42.93%28.81B
19.80%11.88B
-1.98%67.57B
7.50%19.01B
-1.93%18.49B
6.51%20.16B
-26.42%9.91B
5.12%68.93B
10.23%17.68B
Investing cash flow
Cash flow from continuing investing activities
6.20%-19.82B
-88.26%-37.63B
63.51%-14.76B
54.37%-74.16B
125.32%7.41B
47.69%-21.13B
57.94%-19.99B
10.81%-40.46B
-116.78%-162.54B
-62.58%-29.26B
Net PPE purchase and sale
-57.03%-29.66B
-53.40%-31.61B
85.96%-5.1B
39.12%-93.66B
48.85%-17.86B
56.30%-18.89B
49.47%-20.61B
-3.98%-36.31B
-78.24%-153.84B
-45.65%-34.91B
Net business purchase and sale
11,465.57%7.06B
--0
---1.15B
-12.34%3.59B
39.40%4.77B
131.94%61M
-195.48%-1.25B
--0
234.86%4.09B
--3.42B
Net investment purchase and sale
162.54%1.95B
-1,246.10%-6.17B
-66.52%-8.42B
166.05%11.42B
1,612.31%19.06B
-243.36%-3.12B
106.35%538M
58.22%-5.06B
-240.45%-17.29B
-80.93%1.11B
Net other investing changes
-12.50%-27M
-218.15%-371M
-234.63%-276M
-60.76%350M
-26.09%-145M
---24M
195.15%314M
-77.02%205M
2,577.78%892M
-109.09%-115M
Cash from discontinued investing activities
Investing cash flow
6.20%-19.82B
-88.26%-37.63B
63.51%-14.76B
54.37%-74.16B
125.32%7.41B
47.69%-21.13B
57.94%-19.99B
10.81%-40.46B
-116.78%-162.54B
-62.58%-29.26B
Financing cash flow
Cash flow from continuing financing activities
-62.15%2.33B
1,084.85%14.86B
-121.23%-4.26B
-75.75%19.98B
56.73%-7.49B
-88.42%6.14B
-96.19%1.25B
45.51%20.08B
331.21%82.42B
-153.12%-17.32B
Net issuance payments of debt
-16.92%15.14B
30.47%21.77B
-49.64%15.77B
-42.63%76.32B
394.90%10.09B
-72.49%18.23B
-61.44%16.69B
45.91%31.31B
127.89%133.04B
-95.87%2.04B
Net common stock issuance
-88.59%112M
21,554.35%9.96B
72.16%167M
100.42%20M
84.54%-1.11B
186.44%982M
-95.94%46M
-95.87%97M
63.79%-4.8B
64.01%-7.15B
Cash dividends paid
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Proceeds from stock option exercised by employees
----
----
----
----
----
----
----
----
-2.04%-1B
----
Net other financing activities
----
----
----
-76.55%1.49B
----
----
----
----
-61.94%6.37B
-57.72%7.51B
Cash from discontinued financing activities
Financing cash flow
-62.15%2.33B
1,084.85%14.86B
-121.23%-4.26B
-75.75%19.98B
56.73%-7.49B
-88.42%6.14B
-96.19%1.25B
45.51%20.08B
331.21%82.42B
-153.12%-17.32B
Net cash flow
Beginning cash position
118.72%39.34B
100.94%33.27B
49.58%40.42B
-29.23%27.02B
-61.58%21.48B
-26.39%17.99B
-17.60%16.56B
-29.23%27.02B
34.54%38.18B
640.54%55.91B
Current changes in cash
47.33%5.15B
323.69%6.05B
31.69%-7.15B
219.65%13.39B
165.49%18.92B
-88.89%3.5B
-66.93%1.43B
42.14%-10.46B
-215.25%-11.19B
-194.31%-28.9B
Effect of exchange rate changes
--6M
--19M
--0
-50.00%13M
116.67%13M
--0
--0
--0
-72.92%26M
166.67%6M
End cash Position
107.13%44.5B
118.72%39.34B
100.94%33.27B
49.58%40.42B
49.58%40.42B
-61.58%21.48B
-26.39%17.99B
-17.60%16.56B
-29.23%27.02B
-29.23%27.02B
Free cash flow
-1,637.13%-7.02B
-520.89%-2.79B
125.66%6.77B
69.27%-26.09B
106.67%1.15B
98.34%-404M
97.94%-450M
-23.08%-26.39B
-308.37%-84.91B
-116.81%-17.23B
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
--
(Q3)Dec 31, 2025(Q2)Sep 30, 2025(Q1)Jun 30, 2025(FY)Mar 31, 2025(Q4)Mar 31, 2025(Q3)Dec 31, 2024(Q2)Sep 30, 2024(Q1)Jun 30, 2024(FY)Mar 31, 2024(Q4)Mar 31, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 22.52%22.65B42.93%28.81B19.80%11.88B-1.98%67.57B7.50%19.01B-1.93%18.49B6.51%20.16B-26.42%9.91B5.12%68.93B10.23%17.68B
Net income from continuing operations 82.86%-505M-25.26%5.59B210.48%7.73B23.24%10.03B44.74%3.02B9.47%-2.95B58.40%7.48B-45.80%2.49B429.64%8.14B388.90%2.08B
Operating gains losses 75.85%-64M57.44%-143M-68.83%24M12.52%-3.68B26.86%-3.16B-144.99%-265M12.95%-336M181.91%77M-210.47%-4.21B-4,419.00%-4.32B
Depreciation and amortization 23.37%6.46B20.38%6.28B24.86%6.05B17.56%20.67B18.58%5.37B18.26%5.23B17.75%5.22B15.50%4.84B10.58%17.58B12.12%4.53B
Other non cash items 4.95%11.28B32.49%14.41B23.27%13.43B7.38%47.14B26.71%14.62B5.45%10.75B-14.67%10.88B15.65%10.9B-8.25%43.9B41.61%11.53B
Change In working capital 12.37%6.76B227.74%3.67B-62.47%-16.84B-209.42%-5.65B-74.74%1.57B-7.26%6.01B-4.67%-2.87B-115.26%-10.37B-10.60%5.16B24.55%6.23B
-Change in receivables 62.01%6.69B77.50%-562M-64.36%-5.6B-264.37%-3.98B-85.21%-2.2B-0.91%4.13B-147.82%-2.5B-848.57%-3.41B-55.21%2.42B-21.80%-1.19B
-Change in inventory -837.78%-7.02B294.15%1.39B-675.59%-3.68B-217.22%-2.4B-2,711.67%-1.57B-71.00%-749M-1,382.14%-718M247.58%639M27.40%-755M107.87%60M
-Change in payables and accrued expense 606.73%10.71B452.03%2.99B120.65%627M-79.10%730M-15.52%1.71B259.24%1.52B885.45%542M-405.84%-3.04B148.79%3.49B638.32%2.02B
-Change in other current assets -812.80%-3.01B105.00%68M-237.98%-4.36B---------80.90%422M-29.31%-1.36B56.64%-1.29B3.09%-1.45B-78.47%371M
-Change in other current liabilities -187.39%-610M-119.50%-227M-17.12%-3.83B--------453.97%698M246.78%1.16B-14.57%-3.27B--------
Cash from discontinued investing activities
Operating cash flow 22.52%22.65B42.93%28.81B19.80%11.88B-1.98%67.57B7.50%19.01B-1.93%18.49B6.51%20.16B-26.42%9.91B5.12%68.93B10.23%17.68B
Investing cash flow
Cash flow from continuing investing activities 6.20%-19.82B-88.26%-37.63B63.51%-14.76B54.37%-74.16B125.32%7.41B47.69%-21.13B57.94%-19.99B10.81%-40.46B-116.78%-162.54B-62.58%-29.26B
Net PPE purchase and sale -57.03%-29.66B-53.40%-31.61B85.96%-5.1B39.12%-93.66B48.85%-17.86B56.30%-18.89B49.47%-20.61B-3.98%-36.31B-78.24%-153.84B-45.65%-34.91B
Net business purchase and sale 11,465.57%7.06B--0---1.15B-12.34%3.59B39.40%4.77B131.94%61M-195.48%-1.25B--0234.86%4.09B--3.42B
Net investment purchase and sale 162.54%1.95B-1,246.10%-6.17B-66.52%-8.42B166.05%11.42B1,612.31%19.06B-243.36%-3.12B106.35%538M58.22%-5.06B-240.45%-17.29B-80.93%1.11B
Net other investing changes -12.50%-27M-218.15%-371M-234.63%-276M-60.76%350M-26.09%-145M---24M195.15%314M-77.02%205M2,577.78%892M-109.09%-115M
Cash from discontinued investing activities
Investing cash flow 6.20%-19.82B-88.26%-37.63B63.51%-14.76B54.37%-74.16B125.32%7.41B47.69%-21.13B57.94%-19.99B10.81%-40.46B-116.78%-162.54B-62.58%-29.26B
Financing cash flow
Cash flow from continuing financing activities -62.15%2.33B1,084.85%14.86B-121.23%-4.26B-75.75%19.98B56.73%-7.49B-88.42%6.14B-96.19%1.25B45.51%20.08B331.21%82.42B-153.12%-17.32B
Net issuance payments of debt -16.92%15.14B30.47%21.77B-49.64%15.77B-42.63%76.32B394.90%10.09B-72.49%18.23B-61.44%16.69B45.91%31.31B127.89%133.04B-95.87%2.04B
Net common stock issuance -88.59%112M21,554.35%9.96B72.16%167M100.42%20M84.54%-1.11B186.44%982M-95.94%46M-95.87%97M63.79%-4.8B64.01%-7.15B
Cash dividends paid --0--0--0--0--0--0--0--0--0--0
Proceeds from stock option exercised by employees ---------------------------------2.04%-1B----
Net other financing activities -------------76.55%1.49B-----------------61.94%6.37B-57.72%7.51B
Cash from discontinued financing activities
Financing cash flow -62.15%2.33B1,084.85%14.86B-121.23%-4.26B-75.75%19.98B56.73%-7.49B-88.42%6.14B-96.19%1.25B45.51%20.08B331.21%82.42B-153.12%-17.32B
Net cash flow
Beginning cash position 118.72%39.34B100.94%33.27B49.58%40.42B-29.23%27.02B-61.58%21.48B-26.39%17.99B-17.60%16.56B-29.23%27.02B34.54%38.18B640.54%55.91B
Current changes in cash 47.33%5.15B323.69%6.05B31.69%-7.15B219.65%13.39B165.49%18.92B-88.89%3.5B-66.93%1.43B42.14%-10.46B-215.25%-11.19B-194.31%-28.9B
Effect of exchange rate changes --6M--19M--0-50.00%13M116.67%13M--0--0--0-72.92%26M166.67%6M
End cash Position 107.13%44.5B118.72%39.34B100.94%33.27B49.58%40.42B49.58%40.42B-61.58%21.48B-26.39%17.99B-17.60%16.56B-29.23%27.02B-29.23%27.02B
Free cash flow -1,637.13%-7.02B-520.89%-2.79B125.66%6.77B69.27%-26.09B106.67%1.15B98.34%-404M97.94%-450M-23.08%-26.39B-308.37%-84.91B-116.81%-17.23B
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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