Railtel Corporation Of India Cash Flow Annual

Trade
BSE: 543265 | NSE: RAILTEL | ISIN: INE0DD101019 | Sector: Communications Services
397.05 +32.15 (8.81%)Updated : 25 Nov 2024
Fiscal Period2024202320222021
Period End DateMar 24Mar 23Mar 22Mar 21
Net Income/ Starting Line 246.21189.07208.94142.45
Depreciation/ Depletion 157.70145.68147.94159.32
Non- Cash Items -12.60-17.48-61.7457.54
Changesin Working Capital 165.05-87.73-45.38-11.77
Cashfrom Operating Activities 556.36229.54249.76347.54
Capital Expenditures -209.67-177.07-115.82-89.36
Other Investing Cash Flow Items Total -209.4026.90-92.81-33.36
Cashfrom Investing Activities -419.07-150.17-208.63-122.72
Financing Cash Flow Items -0.01---
Total Cash Dividends Paid -65.79-69.00-94.67-100.15
Issuance( Retirement)of Debt Net -11.63-9.51-9.09-9.45
Cashfrom Financing Activities -77.43-78.51-103.76-109.60
Net Changein Cash 59.860.86-62.63115.22
Cash Taxes Paid 26.8031.0048.3344.93
*All figures in crores except per share values
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