Indian Oil Corporation Cash Flow Annual

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BSE: 530965 | NSE: IOC | ISIN: INE242A01010 | Sector: Oil & Gas - Integrated
136.45 +3.85 (2.90%)Updated : 25 Nov 2024
Fiscal Period2024202320222021
Period End DateMar 24Mar 23Mar 22Mar 21
Net Income/ Starting Line 57,287.7915,037.6934,288.6230,750.73
Depreciation/ Depletion 15,866.1113,181.0512,347.5810,941.45
Non- Cash Items 3,641.268,583.821,301.343,122.13
Changesin Working Capital -5,696.53-7,158.84-22,190.875,047.42
Cashfrom Operating Activities 71,098.6329,643.7225,746.6749,861.73
Capital Expenditures -37,175.35-32,600.12-23,456.43-23,833.18
Other Investing Cash Flow Items Total 5,711.604,570.562,162.86-411.71
Cashfrom Investing Activities -31,463.75-28,029.56-21,293.57-24,244.89
Financing Cash Flow Items -7,768.86-7,011.58-4,660.13-4,506.30
Total Cash Dividends Paid -10,972.58-3,305.68-10,896.04-8,383.19
Issuance( Retirement)of Debt Net -20,643.208,522.8611,498.47-13,380.72
Cashfrom Financing Activities -39,384.64-1,794.40-4,057.70-26,270.21
Net Changein Cash 250.24-180.24395.40-653.37
Cash Interest Paid 7,768.867,009.514,660.134,506.30
Cash Taxes Paid 11,904.981,477.727,541.054,067.99
*All figures in crores except per share values
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