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IIFL Capital Services Ltd. - Research Center

542773 IIFLCAPS Group (A) BSE data
 
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Statement:

Cash flow

(Rs crore)
Mar ' 24 Mar ' 23 Mar ' 22 Mar ' 21 Mar ' 20
Profit before tax 692.35 366.55 358.77 222.33 198.67
Net cashflow-operating activity -185.93 -809.82 724.72 37.61 69.47
Net cash used in investing activity -24.60 79.24 4.79 77.90 -47.19
Netcash used in fin. activity 438.62 -204.29 87.42 -172.15 -119.32
Net inc/dec in cash and equivlnt 228.09 -934.87 816.93 -56.64 -97.04
Cash and equivalnt begin of year 138.32 1,073.19 256.25 312.89 409.93
Cash and equivalnt end of year 366.41 138.32 1,073.19 256.25 312.89
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