Tata Steel Cash Flow Annual

Trade
BSE: 500470 | NSE: TATASTEEL | ISIN: INE081A01020 | Sector: Iron & Steel
157.15 -3.15 (-1.97%)Updated : 25 Jul 2024
Fiscal Period2024202320222021
Period End DateMar 24Mar 23Mar 22Mar 21
Net Income/ Starting Line -1,147.0418,235.1250,226.8713,843.69
Depreciation/ Depletion 9,882.169,335.209,100.879,233.64
Non- Cash Items 13,501.533,338.026,572.655,462.36
Changesin Working Capital -1,935.98-9,225.26-21,519.4015,786.99
Cashfrom Operating Activities 20,300.6721,683.0844,380.9944,326.68
Capital Expenditures -18,206.60-14,142.49-10,522.20-6,978.59
Other Investing Cash Flow Items Total 3,955.16-4,537.35-359.03-2,344.29
Cashfrom Investing Activities -14,251.44-18,679.84-10,881.23-9,322.88
Financing Cash Flow Items -7,897.96-6,117.56-5,475.97-8,517.54
Total Cash Dividends Paid -4,428.80-6,292.63-3,020.12-1,150.53
Issuance( Retirement)of Stock Net 0.001.37325.743,238.95
Issuance( Retirement)of Debt Net 1,229.775,428.13-15,230.74-30,660.55
Cashfrom Financing Activities -11,096.99-6,980.69-23,401.09-37,089.67
Foreign Exchange Effects -1.30500.39-23.79-114.39
Net Changein Cash -5,049.06-3,477.0610,074.88-2,200.26
Cash Interest Paid 8,144.586,119.724,686.676,803.69
Cash Taxes Paid 5,319.725,518.7611,901.70704.32
*All figures in crores except per share values
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