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Rane Brake Lining Ltd. - Research Center

532987 RBL Group (T) BSE data
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Results

Statement

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Cash Flow
(Rs crore)
Mar ' 24 Mar ' 23 Mar ' 22 Mar ' 21 Mar ' 20

Profit before tax

54.43 44.58 34.67 46.94 44.68

Net cashflow-operating activity

29.29 49.34 11.33 46.59 73.39

Net cash used in investing activity

-12.65 -47.96 -18.12 -10.53 -35.26

Netcash used in fin. activity

-19.53 -15.64 -21.71 -24.12 -14.53

Net inc/dec in cash and equivlnt

-2.89 -14.26 -28.49 11.96 23.67

Cash and equivalnt begin of year

6.75 21.01 49.50 37.54 13.87

Cash and equivalnt end of year

3.86 6.75 21.01 49.50 37.54
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