ABANS ELECTRICALS PLC (ABAN) Cashflow (annual)

Quaeterly

As per 22nd of November 2024

  25,597   Rs. 352.50   Rs. 9,022,942.50
Assert 2017-03-31 2016-03-31 2015-03-31 2014-03-31
Cash Flow From Operating Activities
Net Income 185,736,269 185,736,269 239,414,329 196,948,334
Inventories -217,361,949 -217,361,949 -139,310,877 63,247,347
Trade and other receivable -48,126,908 -48,126,908 -27,985,642 -10,346,062
Amounts Due from related Parties -20,506,342 -72,793,474 -242,431,688 -38,786,941
Other Current Assets - - 9,177,914 -5,089,837
Other Long Term Financial Asset - -20,506,342 - -
Other Long Term Asset - - - -
Trade and other Payable 274,667,138 274,667,138 388,296,246 -18,452,628
Amounts Due to related Parties -72,793,474 - - -
Other Current Liabilities - - - -
Finance Income Received - - - -
Finance Expense Paid -74,585,054 -74,585,054 -39,229,666 -30,373,026
Tax Refund/Paid -51,180,348 -51,180,348 -1,000,000 -12,771,008
Non Cash Operating System /Gratuity Paid -13,049,871 -13,049,871 -7,207,842 -2,267,930
Other Long Term Financial liabilities - - - -
Other Long Term Liabilities - - - -
Deferred liabilities - - - -
Net cash Flow From Operating Activities -37,200,539 -37,200,539 179,722,774 142,108,249
Cash Flow From Investing
Capital expenditure -107,722,424 -107,722,424 -100,522,535 -198,246,578
Intangible Asset 13,110,777 -16,216,893 -46,867,562 58,490,256
Sale of Assets 1,813,184 1,813,184 6,039,542 7,734,994
Long Term Financial Asset -16,216,893 13,110,777 7,095,730 8,478,800
Net cash Flow from Investing Activities -109,015,356 -109,015,356 -134,254,825 -123,542,528
Cash Flow From Financing Activities
Dividend Paid -15,331,680 -15,331,680 -12,776,400 -12,776,400
Net Borrowing 134,206,628 134,206,628 -18,456,000 -19,264,000
Transaction cost on Subsidiary Share Issue - - - -
Proceeds from Non-Controlling Interests - - - -
Net Cash Flow From Financing Activities 118,874,948 118,874,948 -31,232,400 -32,040,400
Net Change
Net Cash Begin Balance/ Reserved for future use 31,066,925 31,066,925 16,831,377 30,306,054
Net Cash End Balance/ Reserved for future use 3,725,980 3,725,980 31,066,925 16,831,377
Exchange Rate Change - - - -
Net Change in Cash -27,340,945 -27,340,945 14,235,548 -13,474,677
Favorable Balances
Short Term Investment - - - -
Cash in Hand and At Bank 32,882,564 31,234,475 32,882,564 77,266,311
Total Cash and Cash Equivalents 31,066,925 3,725,981 31,066,925 16,831,377
Unfavorable Balance
Bank Overdrafts -1,815,639 -27,508,494 -1,815,639 -60,434,934