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Poddar Pigments Ltd. Company Cash Flow Statement & Analysis

(Rs in Cr.) Mar 31, 2023 Mar 31, 2022 Mar 31, 2021 Mar 31, 2020 Mar 31, 2019
Profit Before Tax 36.89 28.61 30.95 28.82 23.61
Net CashFlow-Operating Activity 15.55 -3.19 24.25 30.59 22.25
Net Cash Used In Investing Activity -0.47 -0.55 -26.50 -26 -15.60
NetCash Used in Fin. Activity -6.64 -3.03 -0.28 -4.14 -4.94
Net Inc/Dec In Cash And Equivlnt 8.43 -6.77 -2.52 0.45 1.71
Cash And Equivalnt Begin of Year 1.04 7.81 10.33 9.88 8.18
Cash And Equivalnt End Of Year 9.47 1.04 7.81 10.33 9.88
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