Carysil Cash Flow Annual

Trade
BSE: 524091 | NSE: CARYSIL | ISIN: INE482D01024 | Sector: Constr. - Supplies & Fixtures
751.50 +4.65 (0.62%)Updated : 25 Nov 2024
Fiscal Period2024202320222021
Period End DateMar 24Mar 23Mar 22Mar 21
Net Income/ Starting Line 58.3652.8365.2639.32
Depreciation/ Depletion 32.4526.3617.7212.66
Non- Cash Items 45.8331.4033.3626.01
Changesin Working Capital -78.80-39.43-64.70-32.58
Cashfrom Operating Activities 57.8471.1651.6445.42
Capital Expenditures -93.12-57.88-77.22-36.55
Other Investing Cash Flow Items Total -8.45-78.594.711.80
Cashfrom Investing Activities -101.58-136.46-72.51-34.76
Financing Cash Flow Items -21.00-14.38-9.17-7.30
Total Cash Dividends Paid -5.50-3.14-6.42-5.29
Issuance( Retirement)of Stock Net 0.260.46-0.00
Issuance( Retirement)of Debt Net 74.6281.1833.993.75
Cashfrom Financing Activities 48.3964.1218.41-8.85
Net Changein Cash 4.65-1.18-2.461.81
Cash Interest Paid 21.0014.389.547.30
Cash Taxes Paid 19.3613.7519.0712.44
*All figures in crores except per share values
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