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Rain Calcining Ltd. - Research Center

532153 RAINCALCIN Group (N.A.) BSE data
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Results

Statement

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Cash Flow
(Rs crore)
Mar ' 07 Mar ' 06 Mar ' 05 Mar ' 04 Mar ' 03

Profit before tax

68.50 38.38 11.15 41.33 42.91

Net cashflow-operating activity

76.19 98.23 27.99 60.93 73.21

Net cash used in investing activity

-4.83 -71.11 -96.76 -0.73 0.04

Netcash used in fin. activity

-80.81 -67.46 116.40 -55.22 -59.84

Net inc/dec in cash and equivlnt

-9.46 -40.34 47.63 4.98 13.41

Cash and equivalnt begin of year

34.39 74.73 27.10 22.12 8.71

Cash and equivalnt end of year

24.93 34.39 74.73 27.10 22.12
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