Oil India Cash Flow Annual

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502.75 -3.15 (-0.62%)Updated : 19 May 2026
Fiscal Period2026202520242023
Period End DateMar 26Mar 25Mar 24Mar 23
Issuance( Retirement)of Debt Net 3,220.805,260.244,547.19709.51
Net Changein Cash 711.45300.62-30.37-240.89
Cash Taxes Paid 2,424.812,089.212,679.113,342.22
Net Income/ Starting Line 9,581.929,436.438,845.9113,143.88
Total Cash Dividends Paid -2,256.43-2,109.29-2,103.53-2,494.04
Changesin Working Capital -4,395.88-2,345.51-3,356.91-5,451.93
Cashfrom Operating Activities 10,683.7511,332.0410,933.1411,410.41
Cash Interest Paid 790.881,011.23861.89826.60
Cashfrom Financing Activities 408.882,482.991,637.22-2,521.34
Depreciation/ Depletion 2,711.972,318.232,128.981,946.94
Other Investing Cash Flow Items Total 2,789.56-545.25-538.38-606.88
Capital Expenditures -13,170.93-12,968.99-12,062.83-8,524.55
period Type ----
Foreign Exchange Effects 0.19-0.170.481.47
Non- Cash Items 2,785.741,922.893,315.161,771.52
Financing Cash Flow Items -555.49-667.96-806.44-736.81
period Length 12.0012.0012.0012.00
Cashfrom Investing Activities -10,381.37-13,514.24-12,601.21-9,131.43
*All figures in crores except per share values
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