Markets

Market Nav

CASH FLOW

You can view the cash flow for the last 5 years.
K. V. Toys India Ltd.
( in Crs.)

ParticularsMar 25Mar 24
Months1212
Source Of Info (AR = Annual Report, PR = Press Release)ARAR
FaceValue10.0010.00
   
Net Profit/Loss Before Extraordinary Items And Tax1.66-0.14
   
Net CashFlow From Operating Activities-3.55-0.14
Net Cash Used In Investing Activities1.79-8.90
Net Cash Used From Financing Activities3.589.27
   
Net Inc/Dec In Cash And Cash Equivalents1.820.23
Cash And Cash Equivalents Begin of Year0.040.00
Cash And Cash Equivalents End Of Year1.860.23
ParticularsMar 25
Months12
Source Of Info (AR = Annual Report, PR = Press Release)AR
FaceValue10.00
  
Net Profit/Loss Before Extraordinary Items And Tax1.66
Net CashFlow From Operating Activities-3.55
Net Cash Used In Investing Activities1.79
Net Cash Used From Financing Activities3.58
Net Inc/Dec In Cash And Cash Equivalents1.82
Cash And Cash Equivalents Begin of Year0.04
Cash And Cash Equivalents End Of Year1.86