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Star Cement Ltd. - Research Center

540575 STARCEMENT 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 338.94 248.84 170.38 172.54 251.00
Net cashflow-operating activity 407.44 303.90 259.91 286.61 452.97
Net cash used in investing activity -531.40 -139.88 -80.43 -270.20 -114.58
Netcash used in fin. activity 36.16 -52.38 -210.69 -38.36 -179.93
Net inc/dec in cash and equivlnt -87.81 111.64 -31.22 -21.95 158.47
Cash and equivalnt begin of year 116.41 4.77 35.99 236.24 77.77
Cash and equivalnt end of year 28.61 116.41 4.77 214.28 236.24
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