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SRF Ltd. - Research Center
503806 SRF Group (A) BSE data
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Results
Statement
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Cash flow
(Rs crore)
Mar ' 23 Mar ' 22 Mar ' 21 Mar ' 20 Mar ' 19
Profit before tax 2,655.86 2,155.04 1,309.97 1,022.30 693.11
Net cashflow-operating activity 2,788.10 1,637.61 1,421.60 1,216.41 594.78
Net cash used in investing activity -2,328.16 -1,279.58 -1,789.81 -422.07 -847.22
Netcash used in fin. activity -252.33 -125.11 356.67 -858.88 347.58
Net inc/dec in cash and equivlnt 207.61 232.92 -11.54 -64.54 95.14
Cash and equivalnt begin of year 319.64 86.72 98.26 162.80 67.66
Cash and equivalnt end of year 527.25 319.64 86.72 98.26 162.80
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