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Borosil Renewables Ltd Cash Flow Statement

588.25
(4.03%)
Jun 10, 2025|12:00:00 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

Borosil Renew. FINANCIALS

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

Profit before tax

219.76

152.68

1.27

70.15

Depreciation

-42.44

-42.08

-32.1

-4.95

Tax paid

-53.91

-63.03

-0.82

-23.2

Working capital

-15.11

47.14

0.26

-68.38

Other operating items

Operating

108.29

94.7

-31.38

-26.38

Capital expenditure

-5.21

17.55

242.67

57.17

Free cash flow

103.08

112.25

211.28

30.78

Equity raised

1,207.57

828.5

639.7

1,102.32

Investing

-66.6

273.24

-38.66

-463.08

Financing

78.36

-13.42

51.68

42.41

Dividends paid

0

0

0

0

Net in cash

1,322.41

1,200.57

864

712.43

Borosil Renew. : related Articles

No Record Found

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