Refresh

Aavas Financiers Ltd. - Research Center

541988 AAVAS Group (A) BSE data
Back to Company

Results

Statement

More

Cash Flow
(Rs crore)
Mar ' 23 Mar ' 22 Mar ' 21 Mar ' 20 Mar ' 19

Profit before tax

549.00 454.86 353.33 302.05 257.69

Net cashflow-operating activity

-1,910.20 -1,135.91 -1,070.70 -1,172.26 -1,276.08

Net cash used in investing activity

186.31 -467.11 -265.22 -341.74 -327.19

Netcash used in fin. activity

1,858.26 1,623.43 1,007.59 1,704.56 1,404.44

Net inc/dec in cash and equivlnt

134.36 20.42 -328.33 190.56 -198.82

Cash and equivalnt begin of year

42.31 21.89 350.22 159.66 358.49

Cash and equivalnt end of year

176.67 42.31 21.89 350.22 159.66
Sectoral Indices Market Indicators Listed Companies Gainers Losers Mutual Funds Portfolio Watchlist
© 2024 Rediff.com