Ajmera Realty & Infra India Cash Flow Annual

Trade
BSE: 513349 | NSE: AJMERA | ISIN: INE298G01027 | Sector: Construction Services
960.90 +37.50 (4.06%)Updated : 25 Nov 2024
Fiscal Period2024202320222021
Period End DateMar 24Mar 23Mar 22Mar 21
Net Income/ Starting Line 138.8196.1961.7341.00
Depreciation/ Depletion 1.711.501.681.78
Non- Cash Items 68.4136.0159.4957.01
Changesin Working Capital 10.823.31-186.51100.92
Cashfrom Operating Activities 219.75137.00-63.61200.70
Capital Expenditures -2.68-4.38-2.37-22.11
Other Investing Cash Flow Items Total -69.07-42.5830.9112.63
Cashfrom Investing Activities -71.75-46.9728.54-9.49
Financing Cash Flow Items -68.53-36.27-59.18-57.71
Total Cash Dividends Paid -10.65-7.980.00-4.97
Issuance( Retirement)of Debt Net -18.15-41.9092.44-111.86
Cashfrom Financing Activities -97.33-86.1533.26-174.54
Net Changein Cash 50.673.88-1.8116.67
Cash Interest Paid 68.5336.2759.1857.71
Cash Taxes Paid 34.8924.6015.399.51
*All figures in crores except per share values
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