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Aavas Financiers Ltd. - Research Center
541988 AAVAS 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 549.00 454.86 353.33 302.05 257.69
Net cashflow-operating activity -1,910.20 -1,135.91 -1,070.70 -1,172.26 -1,276.08
Net cash used in investing activity 186.31 -467.11 -265.22 -341.74 -327.19
Netcash used in fin. activity 1,858.26 1,623.43 1,007.59 1,704.56 1,404.44
Net inc/dec in cash and equivlnt 134.36 20.42 -328.33 190.56 -198.82
Cash and equivalnt begin of year 42.31 21.89 350.22 159.66 358.49
Cash and equivalnt end of year 176.67 42.31 21.89 350.22 159.66
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