EID Parry India Ltd Cash Flow Annual

BSE: - | NSE: - | ISIN: - | Sector: -
945.00 +0.65 (0.07%)Updated : 16 Jan 2026
Fiscal Period2025202420232022
Period End DateMar 25Mar 24Mar 23Mar 22
Issuance( Retirement)of Debt Net 557.31-7.06289.98-52.24
Net Changein Cash -772.43-265.16661.4247.18
Cash Taxes Paid 739.91648.64697.71511.44
Net Income/ Starting Line 2,454.592,175.222,564.252,129.11
Total Cash Dividends Paid -154.27-228.32-246.46-348.65
Changesin Working Capital -726.26-673.85-2,708.29-294.68
Cashfrom Operating Activities 1,936.391,972.37358.562,278.40
Cash Interest Paid 318.85253.69251.12110.29
Cashfrom Financing Activities 73.84-497.41-184.28-498.99
Issuance( Retirement)of Stock Net 13.30-8.3423.3212.19
Depreciation/ Depletion 512.39420.78376.47333.99
Other Investing Cash Flow Items Total -1,735.91-765.251,345.48-1,283.65
Capital Expenditures -1,046.39-974.81-859.95-449.43
period Type ----
Foreign Exchange Effects -0.36-0.061.610.85
Non- Cash Items -304.3350.22126.13109.98
Financing Cash Flow Items -342.50-253.69-251.12-110.29
period Length 12.0012.0012.0012.00
Cashfrom Investing Activities -2,782.30-1,740.06485.53-1,733.08
*All figures in crores except per share values
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