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IBP Company Ltd. - Research Center

500198 IBP Group (N.A.) BSE data
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Results

Statement

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Cash Flow
(Rs crore)
Mar ' 06 Mar ' 05 Mar ' 04 Mar ' 03 Mar ' 02

Profit before tax

32.40 82.93 332.60 140.74 289.95

Net cashflow-operating activity

-434.19 336.68 586.25 310.38 495.85

Net cash used in investing activity

-516.83 -211.80 -190.61 -87.85 27.25

Netcash used in fin. activity

300.14 -62.24 -59.66 -22.54 -494.58

Net inc/dec in cash and equivlnt

650.88 63.31 335.98 199.99 28.52

Cash and equivalnt begin of year

76.89 664.46 328.48 128.49 99.97

Cash and equivalnt end of year

727.77 727.77 664.46 328.48 128.49
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