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Asian Paints Ltd Cash Flow Statement

2,450
(-0.04%)
Apr 30, 2025|09:07:43 AM

Invest wise with Expert advice

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Invest wise with Expert advice

By continuing, I accept the T&C and agree to receive communication on Whatsapp

Asian Paints FINANCIALS

Y/e 31 Mar( In .Cr)Mar-2022Mar-2021Mar-2020Mar-2019

Profit before tax

4,247.87

4,089.67

3,446.23

3,170.25

Depreciation

-721.56

-697.47

-689.97

-540.77

Tax paid

-1,059.43

-1,037.87

-759.08

-1,038.08

Working capital

2,757.69

11.04

1,151.75

121.34

Other operating items

Operating

5,224.57

2,365.37

3,148.93

1,712.74

Capital expenditure

565.58

138.75

263.9

3,184.59

Free cash flow

5,790.16

2,504.12

3,412.83

4,897.33

Equity raised

22,111.73

18,620.17

15,450.46

14,317.11

Investing

-1,368.74

2,521.4

-306.07

386.66

Financing

1,317.93

1,262.4

1,255.59

603.03

Dividends paid

0

321.33

0

0

Net in cash

27,851.08

25,229.42

19,812.81

20,204.13

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