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Coforge 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 822.50 691.50 283.40 487.30 370.40
Net CashFlow-Operating Activity 75.80 388.70 485 227.90 196.20
Net Cash Used In Investing Activity 414.10 -730.80 -4.20 206 -46.50
NetCash Used in Fin. Activity -413.10 1.90 -494 -132.80 -103.30
Net Inc/Dec In Cash And Equivlnt 76.80 -340.20 -13.20 301.10 46.40
Cash And Equivalnt Begin of Year 60.40 400.60 413.80 112.70 66.30
Cash And Equivalnt End Of Year 137.20 60.40 400.60 413.80 112.70
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