P&G Hygiene & Health Care Cash Flow Annual

Trade
BSE: 500459 | NSE: PGHH | ISIN: INE179A01014 | Sector: Personal & Household Prods.
15,888.55 +51.40 (0.32%)Updated : 25 Nov 2024
Fiscal Period2024202320222021
Period End DateJun 24Jun 23Jun 22Jun 21
Net Income/ Starting Line 939.20839.47790.14869.89
Depreciation/ Depletion 56.5058.3652.8847.66
Non- Cash Items -1.34-8.04-3.93-11.12
Changesin Working Capital -523.84-64.02-265.99-43.31
Cashfrom Operating Activities 470.52825.77573.10863.12
Capital Expenditures -44.68-44.44-49.80-31.60
Other Investing Cash Flow Items Total 45.7434.5322.9538.54
Cashfrom Investing Activities 1.06-9.91-26.856.94
Financing Cash Flow Items -0.59-5.26-2.51-1.19
Total Cash Dividends Paid -860.21-470.68-568.06-1,103.67
Issuance( Retirement)of Debt Net -0.95-1.071.63-1.57
Cashfrom Financing Activities -861.75-477.01-568.94-1,106.43
Net Changein Cash -390.17338.85-22.69-236.37
Cash Interest Paid 0.595.262.511.19
Cash Taxes Paid 278.22229.54249.36253.40
*All figures in crores except per share values
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