22 Jan, 13:19
- Indian
No Data Found.
22 Jan, 13:19
- Global
NIKKEI 225
39646.25
(1.58)
HANG SENG
19759
(-1.73)
S&P
6111.25
(0.25)
Login/Signup
Contact Us
Home
News
Markets
MF
IPO
Insurance
Real Estate
Research
Budget
Portfolio
Watchlist
Screener
Our Products
eMagazine
Capita School
Telefolio
Telefolio Gold
IER
Compendium
Capitaline AWS
Capitaline CSS
Capitaline NAV
TradeCues
Venture DB
eMagazine
Capita School
Telefolio
Telefolio Gold
IER
Compendium
Capitaline AWS
Capitaline CSS
Capitaline Nav
TradeCues
Venture DB
Overview
Background Information
Company Histoy
Board of Directors
Balance Sheet
Profit and Loss
Cash flow
Key Financial Ratios
Quarterly Results
Peer Comparison
MF Holding
Schemes Bought/Sold
Corporate Actions
- Board Meeting
- Bonus
- Splits
- Dividends
- Rights
- Capital Structure
- Book Closure
- AGM
- EGM
Share Price
Share Holding Pattern
Chairman's Speech
Directors Reports
Company News
Company Research
Result Analysis
Concall Highlights
Overview
Background Information
Locations
Balance Sheet
Profit and Loss
Cash Flow
Key Financial Ratios
Quarterly Results
Share Holding Pattern
Corporate Actions
company news
Announcements
Auditors Report
Directors Report
Chairmans Speech
Management Discussion
CSR Report
Notes to Accounts
Peer Comparison
boardmeeting
Bonus
Splits
Dividends
Rights
CapitalStructure
BookClosure
AGM
EGM
MF Holding
Schemes Bought/Sold
>Balance Sheet Aggregates
X
LOGIN HERE
Cancel
Muthoot Finance Ltd
You are Here :
Home
>
Markets
>
Company Information
>
Cash Flow
BSE Code : 533398 | NSE Symbol : MUTHOOTFIN | ISIN : INE414G01012 | Industry : Finance |
Cash Flow
Standalone
Consolidated
Particulars (₹ Cr)
Mar 2024
Mar 2023
Mar 2022
Mar 2021
Mar 2020
Cash and Cash Equivalents at Begining of the year
6,428.80
9,178.52
7,116.70
5,504.57
1,713.49
Net Cash from Operating Activities
-9,301.95
-1,901.72
-1,141.54
-7,476.52
-4,458.02
Net Cash Used In Investing Activities
-739.06
187.55
407.63
47.57
-428.87
Net Cash Used In Financing Activities
8,648.76
-1,035.54
2,795.72
9,041.08
8,677.98
Net Inc/(Dec) In Cash And Cash Equivalent
-1,392.26
-2,749.71
2,061.82
1,612.13
3,791.08
Cash And Cash Equivalents At End Of The Year
5,036.55
6,428.80
9,178.52
7,116.70
5,504.57
Loading...
Tweets by CapitalMarket17