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C & C Constructions Ltd. - Research Center

532813 CANDC Group (Z) BSE data
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Results

Statement

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Cash Flow
(Rs crore)
Mar ' 18 Mar ' 17 Mar ' 16 Jun ' 15 Jun ' 14

Profit before tax

41.69 47.84 -22.89 -183.07 -60.10

Net cashflow-operating activity

283.01 54.35 203.74 89.34 247.66

Net cash used in investing activity

3.93 15.85 -3.17 5.01 18.91

Netcash used in fin. activity

-295.39 -88.83 -194.53 -133.28 -223.21

Net inc/dec in cash and equivlnt

-8.45 -18.63 6.05 -38.92 43.35

Cash and equivalnt begin of year

22.35 40.98 54.39 69.97 26.62

Cash and equivalnt end of year

13.90 22.35 60.44 31.04 69.97
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