Results | |
Statement |
Cash flow
|
More |
Mar ' 23 | |
---|---|
Profit before tax | 255.05 |
Net cashflow-operating activity | 453.75 |
Net cash used in investing activity | -333.50 |
Netcash used in fin. activity | -101.51 |
Net inc/dec in cash and equivlnt | 18.74 |
Cash and equivalnt begin of year | 12.30 |
Cash and equivalnt end of year | 31.03 |