Yatharth Hospital & Trauma Cre Srvcs Cash Flow Annual

BSE: - | NSE: - | ISIN: - | Sector: -
695.15 -1.95 (-0.28%)Updated : 16 Dec 2025
Fiscal Period2025202420232022
Period End DateMar 25Mar 24Mar 23Mar 22
Issuance( Retirement)of Debt Net -73.29-263.153.6420.36
Net Changein Cash 248.9575.2625.736.71
Cash Taxes Paid 26.6043.7537.4013.02
Net Income/ Starting Line 171.74156.8387.6863.11
Changesin Working Capital -76.11-186.09-72.65-52.35
Cashfrom Operating Activities 149.62-3.0863.7860.01
Cashfrom Financing Activities 519.50304.21-17.75-1.12
Issuance( Retirement)of Stock Net 600.30576.77--
Depreciation/ Depletion 57.1729.3027.5127.87
Other Investing Cash Flow Items Total -109.33-132.50-0.50-39.04
Capital Expenditures -310.83-93.37-19.81-13.13
period Type ----
Non- Cash Items -3.18-3.1221.2521.38
Financing Cash Flow Items -7.51-9.42-21.39-21.49
period Length 12.0012.0012.0012.00
Cashfrom Investing Activities -420.16-225.87-20.31-52.18
*All figures in crores except per share values
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