Astral OCF Margin
The Operating Cash Flow Margin of Astral (ASTRAL.NS) as of Jul 26, 2026 is 10.79 %. In the previous year, Operating Cash Flow Margin was 14.60 % — a change of -26.04% (lower).
Get this data via API
Financial Data API
OCF Margin
10.79 %
YoY
-26.04%
Last updated:
Operating Cash Flow Margin of Astral is 2026 10.79 % . Operating Cash Flow Margin of Astral was 2025 14.60 % . It decreases by -26.04% lower compared to the previous year.
Access this data via the Eulerpool API
Astral Stock analysis
What does Astral do? Astral Ltd is a British company that was founded in 1928 and is headquartered in Bristol. Originally a family business specializing in the manufacture of rubber and plastic products, Astral Ltd has undergone significant development over the years and has become a major company.
The company's business model is based on the development and manufacture of innovative products for various industries. It operates globally and focuses on various sectors, including marine, defense, engineering, mining, and aerospace.
In the marine sector, the company offers a wide range of marine products, ranging from rubber floats to mooring ropes. These products are used in ports worldwide to facilitate and enhance ship operations.
In the defense sector, Astral Ltd is a major supplier of tactical equipment and high-performance materials for defense and security, including systems to protect troops from ballistic threats.
In the engineering industry, the company produces a variety of high-performance components and materials used in various industrial applications, including in the oil and gas extraction and processing sectors.
In the mining sector, Astral Ltd provides solutions for the extraction and processing of raw materials, including conveyor belts, belt connectors, and geotextiles.
Lastly, the company also offers products for aerospace technology. In addition to advanced hose and connection systems, Astral Ltd produces special insulation materials that can withstand extremely high temperatures.
Astral Ltd is also known for its extensive research and development department. The company invests significant amounts in the development of new products and technologies, allowing it to consistently bring innovative products to market and expand into new sectors.
Furthermore, the company places a strong emphasis on the high quality of its products. This includes the ability to reject products that do not meet the company's high quality standards. The quality of Astral's products is verified through collaborations with various international quality standard institutions, ensuring compliance with the highest quality standards.
Astral Ltd has received several awards and accolades in the past, highlighting the quality and innovation of its products and developments. These awards serve as further evidence of the company's success and its business model.
Today, Astral Ltd employs several hundred employees in various countries and maintains international collaborations in order to continue to be successful and innovative in the future. Overall, Astral Ltd is a company known for its high quality, innovation, and wide range of products, establishing itself successfully in various industries. Astral is one of the most popular companies on Eulerpool.
Frequently Asked Questions about Astral stock
Operating Cash Flow Margin of Astral is 10.79 % in 2026.
Access this data via the Eulerpool API
Margins — Astral
All Key Metrics — Astral
Valuation
Income Statement
Margins
Balance Sheet
- Total Assets
- Current Assets
- Cash & Equivalents
- Receivables
- Inventory
- Property, Plant & Equipment
- Goodwill
- Intangible Assets
- Equity
- Liabilities
- Debt
- Current Liabilities
- Long-term Debt
- Short-term Debt
- Retained Earnings
- Book Value per Share
- Tangible Book Value per Share
- Working Capital
- Investments
- Accounts Payable
- Non-Current Assets
- Short-Term Investments
- Long-Term Investments
- Net Debt
- Treasury Stock
- Minority Interest
- Deferred Tax Liabilities
- Net Tangible Assets
- Goodwill/Assets
- Intangibles/Assets
Cash Flow
- Operating Cash Flow
- Capital Expenditures
- Free Cash Flow
- FCF per Share
- Dividends Paid
- Share Buybacks
- Investing Cash Flow
- Financing Cash Flow
- CapEx / Revenue
- Cash Flow per Share
- Stock-Based Compensation
- Change in Working Capital
- Acquisitions (Net)
- Net Change in Cash
- CapEx/OCF
- FCF/Net Income
- FCF Conversion
- Cash Conversion
- Total Shareholder Payout
- CapEx/D&A
Profitability
- ROE
- ROA
- ROCE
- ROIC
- Asset Turnover
- Inventory Turnover
- Receivables Turnover
- Days Sales Outstanding
- Days Inventory Outstanding
- Days Payable Outstanding
- Cash Conversion Cycle
- CROIC
- Gross Profit/Assets
- Fixed Asset Turnover
- Equity Turnover
- Working Capital Turnover
- Payables Turnover
- Capital Intensity
- Receivables/Revenue
- Inventory/Revenue
- EBIT/Assets
Leverage
Growth
- Revenue Growth
- Revenue CAGR 3Y
- Revenue CAGR 5Y
- Revenue CAGR 10Y
- Earnings Growth
- EPS Growth
- EBIT Growth
- EBIT CAGR 3Y
- EBIT CAGR 5Y
- EBIT CAGR 10Y
- Dividend Growth
- FCF Growth
- Book Value Growth
- Earnings CAGR 3Y
- Earnings CAGR 5Y
- Earnings CAGR 10Y
- EPS CAGR 3Y
- EPS CAGR 5Y
- EBITDA Growth YoY
- EBITDA CAGR 3Y
- EBITDA CAGR 5Y
- Gross Profit Growth
- OCF Growth YoY
- Employee Growth
- Dividend CAGR 3Y
- Dividend CAGR 5Y
- Dividend CAGR 10Y
- Asset Growth
- Equity Growth
- Debt Growth
- CapEx Growth
- FCF CAGR 3Y
- FCF CAGR 5Y
- Market Cap Growth
- Share Count Growth