Feedback
Make this your Home
News Markets Mutual Funds IPO Commodities Wealth Portfolio Messages Videos Mail CNBC-TV18
CNBC-TV18 Matrix SENSEX 17198.95 67.87 NIFTY 5108.15 17.60
 

Brigade Enterprises Cash Flow, Brigade Enterprises Financial Statement & Accounts

Brigade Enterprises

BSE: 532929  |  NSE: BRIGADE  |  ISIN: INE791I01019  |  Construction & Contracting - Real Estate

Print/Copy to Excel :
« Previous Years  

Cash Flow of Brigade Enterprises

------------------- in Rs. Cr. -------------------
Mar '06 Mar '07 Mar '08 Mar '09
12 mths 12 mths 12 mths 12 mths
Net Profit Before Tax 46.87 106.84 137.41 58.56
Net Cash From Operating Activities 52.32 -61.18 -140.17 -88.70
Net Cash (used in)/from
Investing Activities
-25.73 -56.06 -585.71 54.98
Net Cash (used in)/from Financing Activities -19.70 115.12 720.33 57.78
Net (decrease)/increase In Cash and Cash Equivalents 6.90 -2.12 -5.54 24.06
Opening Cash & Cash Equivalents 12.73 19.63 17.50 11.96
Closing Cash & Cash Equivalents 19.63 17.50 11.96 36.02
Source : Religare Technova
Explore Brigade Enterp connections