Torrent Pharmaceuticals Cash Flow Annual

Trade
BSE: 500420 | NSE: TORNTPHARM | ISIN: INE685A01028 | Sector: Biotechnology & Drugs
3,088.00 -60.40 (-1.92%)Updated : 25 Jul 2024
Fiscal Period2024202320222021
Period End DateMar 24Mar 23Mar 22Mar 21
Net Income/ Starting Line 2,352.001,847.161,225.911,526.26
Depreciation/ Depletion 808.00706.59662.16657.79
Non- Cash Items 186.00230.65687.79335.05
Changesin Working Capital -80.00-357.44-772.87-513.75
Cashfrom Operating Activities 3,266.002,426.961,802.992,005.35
Capital Expenditures -433.00-573.94-202.57-335.15
Other Investing Cash Flow Items Total 265.00-1,841.375.94-114.27
Cashfrom Investing Activities -168.00-2,415.31-196.63-449.42
Financing Cash Flow Items -371.00-303.02-257.72-356.05
Total Cash Dividends Paid -1,015.00-863.04-676.89-338.45
Issuance( Retirement)of Debt Net -1,393.001,243.42-846.44-956.29
Cashfrom Financing Activities -2,779.0077.36-1,781.05-1,650.79
Foreign Exchange Effects 8.0021.120.535.60
Net Changein Cash 327.00110.13-174.16-89.26
Cash Interest Paid 371.00303.02257.72356.05
Cash Taxes Paid 498.00398.07421.02175.50
*All figures in crores except per share values
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