Results
Statement
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Mar ' 14 | Mar ' 12 | Mar ' 11 |
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Profit before tax
90.26 | 49.21 | 20.74 |
Net cashflow-operating activity
-72.84 | -70.37 | 65.65 |
Net cash used in investing activity
-7.57 | -13.31 | 6.68 |
Netcash used in fin. activity
-0.11 | 405.77 | 135.64 |
Net inc/dec in cash and equivlnt
-80.52 | 322.09 | 207.97 |
Cash and equivalnt begin of year
273.30 | 396.17 | 188.20 |
Cash and equivalnt end of year
192.78 | 718.25 | 396.17 |