Particulars
Mar 2025
Mar 2024
Mar 2023
Profit Before Tax
215.98
43.34
-13.04
Adjustment
128.99
97.96
5.85
Changes In working Capital
-465.64
-91.88
-97.56
Cash Flow after changes in Working Capital
-120.66
49.42
-104.75
Cash Flow from Operating Activities
-123.16
49.42
-104.75
Cash Flow from Investing Activities
-875.28
-339.12
-366.15
Cash Flow from Financing Activities
1091.09
294.58
466.83
Net Cash Inflow / Outflow
92.66
4.88
-4.07
Opening Cash & Cash Equivalents
4.98
0.10
4.17
Cash & Cash Equivalent on Amalgamation / Take over / Merger
NA
NA
NA
Cash & Cash Equivalent of Subsidiaries under liquidations
NA
NA
NA
Translation adjustment on reserves / op cash balalces frgn subsidiaries
NA
NA
NA
Effect of Foreign Exchange Fluctuations
NA
NA
NA
Closing Cash & Cash Equivalent
97.64
4.98
0.10