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Product
Markets
Market Overview
Equity Analysis
Mutual Fund
IPO
Equity Derivatives
Currency Derivatives
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Resources
Contact Us
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Cash Flow
Cash Flow
Detailed Quotes
Company Background
Board of Directors
Balance Sheet
Profit & Loss
Quarterly Results
Cash Flows
Historical Price
Financial Ratios
Share Holding Pattern
Deliverable Volumes
Director's Report
Dividend Details
Bonus History
Capital History
Brigade Enterprises Ltd
NSE : BRIGADE
BSE : 532929
ISIN CODE : INE791I01019
Industry : Construction
Particulars
Mar 2023
(
R
s
Cr.)
Mar 2022
(
R
s
Cr.)
Mar 2021
(
R
s
Cr.)
Mar 2020
(
R
s
Cr.)
Mar 2019
(
R
s
Cr.)
Cash and Cash Equivalents at Begining of the year
164.84
90.66
104.86
65.22
-6.50
Net Cash from Operating Activities
282.55
534.14
419.29
291.74
229.51
Net Cash Used In Investing Activities
71.77
-583.13
-151.40
-194.01
102.78
Net Cash Used In Financing Activities
-359.63
123.17
-282.09
-58.09
-260.57
Net Inc/Dec In Cash And Cash Equivalents
-5.31
74.18
-14.20
39.64
71.72
Cash And Cash Equivalents At End Of The Year
159.53
164.84
90.66
104.86
65.22