Results
Statement
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Mar ' 24 | Mar ' 23 | Mar ' 22 |
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Profit before tax
131.26 | -10.83 | -30.91 |
Net cashflow-operating activity
-61.75 | 266.06 | 142.20 |
Net cash used in investing activity
-629.16 | -434.89 | -376.52 |
Netcash used in fin. activity
478.47 | 167.22 | 418.65 |
Net inc/dec in cash and equivlnt
-212.44 | -1.61 | 184.33 |
Cash and equivalnt begin of year
288.04 | 289.65 | 105.32 |
Cash and equivalnt end of year
75.60 | 288.04 | 289.65 |