Pravin Ratilal share and stock brokers ltd
Open a demat account
Login
1click
New
MF BackOffice
Trading Backoffice
Nominate Online
Pay online via UPI
About Us
Products
Markets
Market Overview
Equity Analysis
Mutual Fund
IPO
Equity Derivatives
Currency Derivatives
Gallery
Careers
Resources
Contact Us
About Us
Product
Markets
Market Overview
Equity Analysis
Mutual Fund
IPO
Equity Derivatives
Currency Derivatives
Gallery
Careers
Resources
Contact Us
Open Demat Account
Login
1click
New
MF BackOffice
Trading Backoffice
Nominate Online
Pay online via UPI
Get Quotes
Nifty
22147.00
151.15
(0.69%)
Sensex
73088.33
599.34
(0.83%)
USDINR
83.49
-0.06
(-0.07%)
HOME
/
Markets /
Corporate Information /
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
Sathavahana Ispat Ltd
NSE : SATHAISPAT
BSE : 526093
ISIN CODE : INE176C01016
Industry : Steel - Pig Iron
Particulars
Mar 2022
(
R
s
Cr.)
Mar 2021
(
R
s
Cr.)
Mar 2020
(
R
s
Cr.)
Mar 2019
(
R
s
Cr.)
Mar 2018
(
R
s
Cr.)
Cash and Cash Equivalents at Begining of the year
0.34
3.28
6.41
10.86
0.89
Net Cash from Operating Activities
-0.71
-0.30
-1.67
3.27
-307.94
Net Cash Used In Investing Activities
2.41
-2.38
2.30
18.54
71.25
Net Cash Used In Financing Activities
-0.86
-0.26
-3.77
-26.26
246.66
Net Inc/Dec In Cash And Cash Equivalents
0.84
-2.94
-3.13
-4.45
9.97
Cash And Cash Equivalents At End Of The Year
1.17
0.34
3.28
6.41
10.86