Oberoi Realty Cash Flow Annual

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BSE: 533273 | NSE: OBEROIRLTY | ISIN: INE093I01010 | Sector: Construction Services
1,923.85 -17.65 (-0.91%)Updated : 25 Nov 2024
Fiscal Period2024202320222021
Period End DateMar 24Mar 23Mar 22Mar 21
Net Income/ Starting Line 2,475.732,223.881,353.58924.42
Depreciation/ Depletion 47.5239.7539.7841.19
Non- Cash Items -92.77-146.26-210.0633.37
Changesin Working Capital 379.38-4,500.42-114.57-302.97
Cashfrom Operating Activities 2,809.86-2,383.041,068.73696.01
Capital Expenditures -677.02-601.82-1,206.33-1,324.12
Other Investing Cash Flow Items Total 32.711,737.48-183.63733.17
Cashfrom Investing Activities -644.311,135.66-1,389.96-590.95
Financing Cash Flow Items -303.96-263.74-162.83-147.96
Total Cash Dividends Paid -290.88-109.08--
Issuance( Retirement)of Debt Net -1,439.631,081.651,305.0431.58
Cashfrom Financing Activities -2,034.47708.841,142.21-116.38
Net Changein Cash 131.08-538.55820.98-11.33
Cash Interest Paid 303.96263.74162.83147.96
Cash Taxes Paid 473.55477.94291.05203.13
*All figures in crores except per share values
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