Hindustan Construction Company Cash Flow Annual

Trade
BSE: 500185 | NSE: HCC | ISIN: INE549A01026 | Sector: Construction Services
37.44 +1.34 (3.71%)Updated : 25 Nov 2024
Fiscal Period2024202320222021
Period End DateMar 24Mar 23Mar 22Mar 21
Net Income/ Starting Line 726.37-90.16641.33-867.35
Depreciation/ Depletion 105.10128.55138.34135.51
Non- Cash Items -516.19291.42849.751,151.20
Changesin Working Capital -538.56-312.90-682.79-71.46
Cashfrom Operating Activities -223.2816.91946.63347.90
Capital Expenditures -18.63-215.37-89.25-74.81
Other Investing Cash Flow Items Total 843.48640.07-135.780.24
Cashfrom Investing Activities 824.85424.70-225.03-74.57
Financing Cash Flow Items -462.03-391.90-426.01-423.39
Issuance( Retirement)of Stock Net 15.25---
Issuance( Retirement)of Debt Net -363.06-211.20-233.94524.21
Cashfrom Financing Activities -809.84-603.10-659.95100.82
Foreign Exchange Effects 25.0922.4317.19-8.13
Net Changein Cash -183.18-139.0678.84366.02
Cash Interest Paid 462.03391.90426.01423.39
Cash Taxes Paid 38.90-4.9884.38-113.93
*All figures in crores except per share values
Recommended For You
Trending Stocks
3,753.25+148.70(4.13%)
1,784.60+38.65(2.21%)
1,733.95-13.75 (-0.79%)
2,460.60-18.40 (-0.74%)
HomeMarketsPremiumInstant LoanMint Shorts