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You can view the cash flow for the last 5 years.
Religare Enterprises Ltd.
( in Crs.)

ParticularsMar 25Mar 24Mar 23Mar 22Mar 21
Months1212121212
Source Of Info (AR = Annual Report, PR = Press Release)PRARARARAR
FaceValue10.0010.0010.0010.0010.00
      
Net Profit/Loss Before Extraordinary Items And Tax243.30447.693258.63-1031.05-497.46
      
Net CashFlow From Operating Activities1571.921499.621505.961596.011393.65
Net Cash Used In Investing Activities-1184.71-1348.03-938.79-689.04-1186.83
Net Cash Used From Financing Activities-285.48-155.85-2078.83559.04-328.56
Foreign Exchange Gains / Losses0.000.000.140.02-0.02
Adjustments On Amalgamation / Merger / Demerger And Others0.000.060.000.000.00
      
Net Inc/Dec In Cash And Cash Equivalents101.72-4.20-1511.521466.02-121.76
Cash And Cash Equivalents Begin of Year200.95205.151716.67250.65372.40
Cash And Cash Equivalents End Of Year302.67200.95205.151716.67250.65
ParticularsMar 25
Months12
Source Of Info (AR = Annual Report, PR = Press Release)PR
FaceValue10.00
  
Net Profit/Loss Before Extraordinary Items And Tax243.30
Net CashFlow From Operating Activities1571.92
Net Cash Used In Investing Activities-1184.71
Net Cash Used From Financing Activities-285.48
Foreign Exchange Gains / Losses0.00
Adjustments On Amalgamation / Merger / Demerger And Others0.00
Net Inc/Dec In Cash And Cash Equivalents101.72
Cash And Cash Equivalents Begin of Year200.95
Cash And Cash Equivalents End Of Year302.67