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Kansai Nerolac Paints Ltd Cash Flow Statement

248.1
(1.64%)
Jun 27, 2025|12:00:00 AM

Invest wise with Expert advice

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Invest wise with Expert advice

By continuing, I accept the T&C and agree to receive communication on Whatsapp

Kansai Nerolac FINANCIALS

Y/e 31 Mar( In .Cr)Mar-2022Mar-2021Mar-2020Mar-2019

Profit before tax

516.51

725.33

683.6

713.41

Depreciation

-153.82

-138.97

-119.88

-90.47

Tax paid

-130.79

-183.52

-148.2

-246.06

Working capital

463.18

-0.5

101.11

33.28

Other operating items

Operating

695.08

402.34

516.63

410.16

Capital expenditure

233.89

230.73

511.64

399.18

Free cash flow

928.96

633.07

1,028.27

809.34

Equity raised

7,765.84

7,225.12

6,568.16

5,974.46

Investing

-469.85

315.16

150.53

-241.28

Financing

207.32

161.85

73.12

28.04

Dividends paid

0

0

0

0

Net in cash

8,432.28

8,335.2

7,820.08

6,570.57

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