Results
Statement
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Mar ' 15 | Mar ' 14 | Mar ' 13 | Mar ' 12 | Mar ' 11 |
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Profit before tax
-247.21 | -1,171.82 | 256.08 | 297.30 | 266.05 |
Net cashflow-operating activity
-4.48 | -1,363.37 | 175.19 | 199.06 | -182.57 |
Net cash used in investing activity
-1.82 | -18.28 | -65.36 | -73.80 | -230.45 |
Netcash used in fin. activity
-172.89 | 631.17 | 15.56 | 54.41 | 397.60 |
Net inc/dec in cash and equivlnt
-179.19 | -750.48 | 125.39 | 179.67 | -15.42 |
Cash and equivalnt begin of year
197.74 | 948.22 | 822.84 | 643.16 | 658.59 |
Cash and equivalnt end of year
18.55 | 197.74 | 948.22 | 822.84 | 643.16 |