23 Jul, EOD - Indian

SENSEX 80429.04 (-0.09)

Nifty 50 24479.05 (-0.12)

Nifty Bank 51778.3 (-0.96)

Nifty IT 40044.7 (0.68)

Nifty Midcap 100 56285.25 (-0.60)

Nifty Next 50 71632.2 (-0.88)

Nifty Pharma 20755.35 (0.55)

Nifty Smallcap 100 18400.5 (-0.88)

23 Jul, EOD - Global

NIKKEI 225 39508.84 (-0.22)

HANG SENG 17373.77 (-0.55)

DOW JONES 40358.09 (-0.14)

S&P 5555.74 (-0.16)

GPT Infraprojects Ltd

You are Here : Home > Markets > Company Information > Cash Flow
BSE Code : 533761 | NSE Symbol : GPTINFRA | ISIN : INE390G01014 | Industry : Infrastructure Developers & Operators |


Cash Flow
Particulars (₹ Cr)Mar 2024Mar 2023Mar 2022Mar 2021Mar 2020
Cash and Cash Equivalents at Begining of the year6.052.642.471.434.83
Net Cash from Operating Activities114.60106.1570.0719.6652.41
Net Cash Used In Investing Activities-8.10-48.30-14.818.49-1.20
Net Cash Used In Financing Activities-108.95-54.44-55.09-27.11-54.61
Net Inc/(Dec) In Cash And Cash Equivalent-2.443.410.171.04-3.40
Cash And Cash Equivalents At End Of The Year3.616.052.642.471.43