Indian Railway Finance Corp Cash Flow Annual

BSE: - | NSE: - | ISIN: - | Sector: -
113.80 +0.60 (0.53%)Updated : 12 Dec 2025
Fiscal Period2025202420232022
Period End DateMar 25Mar 24Mar 23Mar 22
Issuance( Retirement)of Debt Net 425.18-6,092.3330,512.0865,272.58
Net Changein Cash 5,657.52-139.8756.21-150.70
Cash Taxes Paid 46.09-23.90-269.28-295.76
Net Income/ Starting Line 6,502.006,412.106,167.166,090.16
Total Cash Dividends Paid -3,005.76-1,960.28-1,868.80-1,006.28
Changesin Working Capital 1,607.361,364.80-34,868.04-70,629.82
Cashfrom Operating Activities 8,229.577,914.10-28,588.36-64,412.28
Cashfrom Financing Activities -2,571.95-8,046.4228,644.4864,266.30
Depreciation/ Depletion 5.319.4414.0614.03
Other Investing Cash Flow Items Total 0.720.780.871.91
Capital Expenditures -0.82-8.33-0.78-6.63
period Type ----
Non- Cash Items 114.90127.7598.46113.36
Financing Cash Flow Items 8.636.181.200.00
period Length 12.0012.0012.0012.00
Cashfrom Investing Activities -0.10-7.540.09-4.72
Issuance( Retirement)of Stock Net ---0.00
*All figures in crores except per share values
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