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Vesuvius India Ltd Cash Flow Statement

4,117.55
(1.33%)
Jan 20, 2025|03:31:15 PM

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

Vesuvius India FINANCIALS

Y/e 31 Mar( In .Cr)Dec-2021Dec-2020Dec-2019Dec-2017

Profit before tax

91.56

71.55

123.41

149.35

Depreciation

-27.34

-26.24

-26.55

-29.78

Tax paid

-23.51

-18.5

-37.86

-50.46

Working capital

39.8

48.25

130.14

64.43

Other operating items

Operating

80.51

75.06

189.14

133.54

Capital expenditure

20.03

18.84

47.2

18.5

Free cash flow

100.54

93.9

236.34

152.04

Equity raised

1,629.45

1,552.6

1,339.21

1,121.36

Investing

0

0

0

0

Financing

0

0

0

0

Dividends paid

0

0

0

13.7

Net in cash

1,729.99

1,646.5

1,575.55

1,287.1

Vesuvius India : related Articles

No Record Found

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