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CMC Ltd.[Merged] - Research Center

517326 CMC Group (A) BSE data
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Results

Statement

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Cash Flow
(Rs crore)
Mar ' 15 Mar ' 14 Mar ' 13 Mar ' 12 Mar ' 11

Profit before tax

204.80 385.81 237.73 190.05 174.03

Net cashflow-operating activity

171.98 125.72 30.40 25.07 171.59

Net cash used in investing activity

-86.83 -66.45 21.33 -1.72 -92.37

Netcash used in fin. activity

-79.75 -62.02 -44.01 -35.19 -35.07

Net inc/dec in cash and equivlnt

5.41 -2.77 7.77 -11.70 44.19

Cash and equivalnt begin of year

26.76 29.41 21.64 33.88 215.85

Cash and equivalnt end of year

32.17 26.64 29.41 22.17 260.05
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