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Heidelberg Cement India Ltd. - Research Center

500292 HEIDELBERG Group (A) BSE data
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Results

Statement

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Cash Flow
(Rs crore)
Mar ' 23 Mar ' 22 Mar ' 21 Mar ' 20 Mar ' 19

Profit before tax

135.77 335.13 391.22 398.06 341.61

Net cashflow-operating activity

226.11 301.85 439.45 457.23 392.87

Net cash used in investing activity

144.39 -35.00 -173.19 -14.10 -26.33

Netcash used in fin. activity

-266.54 -328.17 -303.88 -312.31 -241.65

Net inc/dec in cash and equivlnt

103.96 -61.32 -37.62 130.82 124.89

Cash and equivalnt begin of year

368.95 430.27 467.89 337.07 212.18

Cash and equivalnt end of year

472.91 368.95 430.27 467.89 337.07
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