Cash Flow | KSK Energy Ventures Ltd. | R Wadiwala Securities Pvt Ltd

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Cash Flow

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ParticularsMar2019Mar2018Mar2017Mar2016Mar2015
Profit Before Tax-3558.61-18617.64-8288.35-5918.69-8318.75
Adjustment4339.5727384.3428400.5622451.9914961.93
Changes In working Capital-420.42-6358.10-10041.66-11711.03-1373.03
Cash Flow after changes in Working Capital360.542408.6010070.554822.275270.15
Cash Flow from Operating Activities370.642528.3210339.204791.125053.37
Cash Flow from Investing Activities-302.91-10580.46-12725.26-2255.01-14740.17
Cash Flow from Financing Activities-260.596980.733079.67-4216.5310178.68
Net Cash Inflow / Outflow-192.86-1071.41693.61-1680.42491.88
Opening Cash & Cash Equivalents167.491229.94537.612217.931729.79
Cash & Cash Equivalent on Amalgamation / Take over / MergerNANANANANA
Cash & Cash Equivalent of Subsidiaries under liquidationsNANANANANA
Translation adjustment on reserves / op cash balalces frgn subsidiariesNANANANANA
Effect of Foreign Exchange Fluctuations72.608.96-1.280.09-3.74
Closing Cash & Cash Equivalent47.23167.491229.94537.602217.93