12 Nov, EOD - Indian

SENSEX 78675.18 (-1.03)

Nifty 50 23883.45 (-1.07)

Nifty Bank 51157.8 (-1.39)

Nifty IT 42609.55 (0.05)

Nifty Midcap 100 55257.5 (-1.07)

Nifty Next 50 68448.9 (-2.18)

Nifty Pharma 22151.6 (-0.86)

Nifty Smallcap 100 17991.6 (-1.28)

12 Nov, EOD - Global

NIKKEI 225 39376.09 (-0.40)

HANG SENG 19846.88 (-2.84)

S&P 6001.78 (-0.08)

LOGIN HERE

AAVAS Financiers Ltd

You are Here : Home > Markets > Company Information > Cash Flow
BSE Code : 541988 | NSE Symbol : AAVAS | ISIN : INE216P01012 | Industry : Finance |


Cash Flow
Particulars (₹ Cr)Mar 2024Mar 2023Mar 2022Mar 2021Mar 2020
Cash and Cash Equivalents at Begining of the year176.6742.3121.89350.22159.66
Net Cash from Operating Activities-1,986.59-1,919.82-1,135.91-1,070.70-1,172.26
Net Cash Used In Investing Activities-646.80195.93-467.11-265.22-341.74
Net Cash Used In Financing Activities2,477.281,858.261,623.431,007.591,704.56
Net Inc/(Dec) In Cash And Cash Equivalent-156.11134.3620.42-328.33190.56
Cash And Cash Equivalents At End Of The Year20.56176.6742.3121.89350.22