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Polaris Consulting & Services Ltd. - Research Center

532254 POLARIS Group (A) BSE data
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Results

Statement

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Cash Flow
(Rs crore)
Mar ' 17 Mar ' 16 Mar ' 15 Mar ' 14 Mar ' 13

Profit before tax

99.34 170.65 184.43 110.47 203.75

Net cashflow-operating activity

77.54 - 42.02 323.37 112.72

Net cash used in investing activity

38.53 - 8.93 -94.33 -114.67

Netcash used in fin. activity

7.67 - -74.74 -167.48 -35.54

Net inc/dec in cash and equivlnt

122.96 -43.07 -24.05 64.62 -38.78

Cash and equivalnt begin of year

38.83 79.23 103.28 39.66 78.44

Cash and equivalnt end of year

161.79 36.16 79.23 104.28 39.66
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