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Pyramid Saimira Theatre Cash Flow, Pyramid Saimira Theatre Financial Statement & Accounts

Pyramid Saimira Theatre

BSE: 532791  |  NSE: PSTL  |  ISIN: INE165H01018  |  Media & Entertainment

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« Previous Years  

Cash Flow of Pyramid Saimira Theatre

------------------- in Rs. Cr. -------------------
Mar '05 Mar '06 Mar '07 Mar '08
12 mths 12 mths 12 mths 12 mths
Net Profit Before Tax 0.02 1.41 18.51 94.20
Net Cash From Operating Activities -0.70 -6.70 -70.53 -11.17
Net Cash (used in)/from
Investing Activities
-0.70 -4.41 -12.77 -396.79
Net Cash (used in)/from Financing Activities 1.83 13.21 96.18 402.79
Net (decrease)/increase In Cash and Cash Equivalents 0.42 2.10 12.87 -5.18
Opening Cash & Cash Equivalents 0.00 0.43 2.53 15.40
Closing Cash & Cash Equivalents 0.43 2.53 15.40 10.23
Source : Religare Technova
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