31 Oct, EOD - Indian

SENSEX 79389.06 (-0.69)

Nifty 50 24205.35 (-0.56)

Nifty Bank 51475.35 (-0.64)

Nifty IT 40407.55 (-3.03)

Nifty Midcap 100 56112.85 (-0.40)

Nifty Next 50 69911.75 (-0.51)

Nifty Pharma 22735.55 (1.61)

Nifty Smallcap 100 18602.6 (1.15)

31 Oct, EOD - Global

NIKKEI 225 39081.25 (-0.50)

HANG SENG 20317.33 (-0.31)

S&P 5732.76 (-1.48)

LOGIN HERE

GTL Infrastructure Ltd

You are Here : Home > Markets > Company Information > Cash Flow
BSE Code : 532775 | NSE Symbol : GTLINFRA | ISIN : INE221H01019 | Industry : Telecomm Equipment & Infra Services |


Cash Flow
Particulars (₹ Cr)Mar 2024Mar 2023Mar 2022Mar 2021Mar 2020
Cash and Cash Equivalents at Begining of the year496.36488.79436.85218.6166.42
Net Cash from Operating Activities194.43494.57503.39419.01436.14
Net Cash Used In Investing Activities-12.49-34.09-64.22-39.81-63.99
Net Cash Used In Financing Activities-266.63-452.91-387.23-160.96-219.96
Net Inc/(Dec) In Cash And Cash Equivalent-84.697.5751.94218.24152.19
Cash And Cash Equivalents At End Of The Year411.67496.36488.79436.85218.61