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Godrej Properties Ltd Cash Flow Statement

2,145.2
(2.76%)
Sep 19, 2025|12:00:00 AM

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Invest wise with Expert advice

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

Godrej Propert. FINANCIALS

Y/e 31 Mar( In .Cr)Mar-2022Mar-2021Mar-2020Mar-2018

Profit before tax

713.55

82.9

512.19

373.54

Depreciation

-17.77

-16.21

-16.67

-14.53

Tax paid

-187.57

-126.12

-199.37

-132.69

Working capital

1,600.67

1,549.03

1,799.02

-1,282.23

Other operating items

Operating

2,108.88

1,489.61

2,095.17

-1,055.91

Capital expenditure

28.34

63.24

27.9

25.75

Free cash flow

2,137.22

1,552.85

2,123.07

-1,030.16

Equity raised

17,235.49

13,652.23

6,024.57

2,980.66

Investing

-161.71

1,888.03

2,050.49

574.77

Financing

7,665.9

6,259.65

5,530.27

4,683.8

Dividends paid

0

0

0

0

Net in cash

26,876.9

23,352.76

15,728.4

7,209.07

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