GAIL (India)
NSEI:GAIL
Rp 139,20
+ Rp1,53 (1,11%)
139,20 Rp
+Rp1,53 (1,11%)
End-of-day quote: 03/26/2026

Quick Analysis
The traffic-light system summarizes key characteristics and shows the investment’s quality at a glance.

Rp14,37
Earnings Per Share
Rp208,80
Revenue Per Share
17,75%
Gross Margin %
Rp905,19 B
Market Cap
Rp107,81 B
Long-Term Debt
Earnings Per Share
Rp14,37
Revenue Per Share
Rp208,80
Gross Margin %
17,75%
Market Cap
Rp905,19 B
Long-Term Debt
Rp107,81 B

Financials

Year Year 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006
EPS Earnings Per Share Rp14,37 Rp13,44 Rp8,04 Rp15,56 Rp7,23 Rp9,91 Rp9,23 Rp6,80 Rp5,46 Rp3,40 Rp4,43 Rp6,12 Rp5,95 Rp5,40 Rp5,26 Rp4,64 Rp4,14 Rp3,84 Rp3,03 Rp3,41
Earnings Earnings Rp94,48B Rp88,37B Rp52,86B Rp103,64B Rp48,16B Rp67,04B Rp62,44B Rp46,00B Rp36,94B Rp23,00B Rp29,97B Rp41,40B Rp40,25B Rp36,53B Rp35,59B Rp31,39B Rp28,01B Rp25,98B Rp20,50B Rp23,07B
RPS Revenue Per Share Rp208,80 Rp198,69 Rp219,47 Rp137,59 Rp85,18 Rp106,24 Rp111,05 Rp80,78 Rp72,26 Rp76,74 Rp83,87 Rp85,01 Rp70,25 Rp59,71 Rp47,98 Rp37,11 Rp35,14 Rp26,62 Rp23,72 Rp21,37
Revenue Revenue Rp1,37T Rp1,31T Rp1,44T Rp916,46B Rp567,38B Rp718,76B Rp751,27B Rp546,49B Rp488,83B Rp519,14B Rp567,42B Rp575,08B Rp475,23B Rp403,98B Rp324,59B Rp251,03B Rp237,76B Rp180,08B Rp160,47B Rp144,59B
OCF Operating Cash Flow Rp155,68B Rp118,48B Rp28,08B Rp89,55B Rp80,64B Rp68,88B Rp78,76B Rp86,63B Rp56,29B Rp48,35B Rp24,99B Rp44,73B Rp50,33B Rp44,88B Rp30,77B Rp46,77B Rp25,78B Rp0,00M Rp0,00M Rp0,00M
FCF Free Cash Flow Rp86,58B Rp47,97B Rp-46,11B Rp30,04B Rp30,74B Rp14,26B Rp6,37B Rp57,17B Rp39,35B Rp33,39B Rp6,32B Rp6,18B Rp-4,67B Rp-21,93B Rp-15,55B Rp0,00M Rp0,00M Rp0,00M Rp0,00M Rp0,00M
OM Operating Margin 8,31% 8,27% 3,43% 13,90% 9,18% 10,13% 10,98% 11,96% 10,84% 6,05% 6,87% 10,53% 12,84% 13,68% 16,44% 17,20% 15,12% 19,57% 15,86% 21,50%
GM % Gross Margin % 17,75% 18,48% 11,14% 23,80% 23,79% 21,59% 22,12% 25,08% 24,88% 18,99% 20,74% 17,93% 19,82% 21,73% 23,49% 26,23% 24,10% 28,78% 25,15% 25,83%
FCFS Free Cash Flow Per Share Rp13,17 Rp0,13 Rp-8,53 Rp3,68 Rp4,87 Rp-1,36 Rp0,28 Rp7,93 Rp5,89 Rp3,70 Rp1,96 Rp-0,97 Rp-3,53 Rp-7,00 Rp-3,90 Rp-0,48 Rp-0,13 Rp3,22 Rp-4,55 Rp4,03
LT Debt Long-Term Debt Rp107,81B Rp128,06B Rp88,80B Rp54,68B Rp52,37B Rp37,73B Rp10,27B Rp11,18B Rp31,79B Rp58,65B Rp147,52B Rp160,61B Rp131,68B Rp93,41B Rp58,24B Rp50,17B Rp37,46B Rp37,21B Rp35,92B Rp20,17B
Sha. Stocks 6.575,1M 6.575,1M 6.575,1M 6.660,58M 6.660,58M 6.765,21M 6.765,21M 6.765,21M 6.765,21M 6.765,21M 6.765,21M 6.765,21M 6.765,21M 6.765,21M 6.765,21M 6.765,21M 6.765,21M 6.765,21M 6.765,21M 6.765,21M
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