As per 17th of April 2025
1,513 Rs. 1,280.00 Rs. 1,936,640.00Assert | 2016-12-31 | 2015-12-31 | 2014-12-31 | ||||||
---|---|---|---|---|---|---|---|---|---|
Cash Flow From Operating Activities | |||||||||
Net Income | 13,162,120,000 | 13,707,256,000 | 10,442,625,000 | ||||||
Inventories | - | - | - | ||||||
Trade and other receivable | - | - | - | ||||||
Amounts Due from related Parties | - | - | - | ||||||
Other Current Assets | - | - | - | ||||||
Other Long Term Financial Asset | - | - | - | ||||||
Other Long Term Asset | - | - | - | ||||||
Trade and other Payable | - | - | - | ||||||
Amounts Due to related Parties | - | - | - | ||||||
Other Current Liabilities | - | - | - | ||||||
Finance Income Received | - | - | - | ||||||
Finance Expense Paid | - | - | - | ||||||
Tax Refund/Paid | - | - | - | ||||||
Non Cash Operating System /Gratuity Paid | - | - | - | ||||||
Other Long Term Financial liabilities | - | - | - | ||||||
Other Long Term Liabilities | - | - | - | ||||||
Deferred liabilities | - | - | - | ||||||
Net cash Flow From Operating Activities | 13,162,120,000 | 13,707,256,000 | 10,442,625,000 | ||||||
Cash Flow From Investing | |||||||||
Capital expenditure | -1,236,885,000 | -1,707,243,000 | -1,259,845,000 | ||||||
Intangible Asset | -87,911,000 | -71,284,000 | -1,701,600,000 | ||||||
Sale of Assets | 362,779,016,000 | 671,208,000 | 228,971,000 | ||||||
Long Term Financial Asset | -375,548,500,000 | -12,550,026,000 | -6,413,607,000 | ||||||
Net cash Flow from Investing Activities | -14,094,280,000 | -13,657,345,000 | -9,146,081,000 | ||||||
Cash Flow From Financing Activities | |||||||||
Dividend Paid | -658,123,000 | -563,380,000 | -513,836,000 | ||||||
Net Borrowing | 1,632,073,000 | 510,989,000 | -749,182,000 | ||||||
Transaction cost on Subsidiary Share Issue | - | - | - | ||||||
Proceeds from Non-Controlling Interests | - | - | - | ||||||
Net Cash Flow From Financing Activities | 973,950,000 | -52,391,000 | -1,263,018,000 | ||||||
Net Change | |||||||||
Net Cash Begin Balance/ Reserved for future use | 516,677,000 | 519,157,000 | 485,631,000 | ||||||
Net Cash End Balance/ Reserved for future use | 558,467,000 | 516,677,000 | 519,157,000 | ||||||
Exchange Rate Change | - | - | - | ||||||
Net Change in Cash | 41,790,000 | -2,480,000 | 33,526,000 | ||||||
Favorable Balances | |||||||||
Short Term Investment | - | - | - | ||||||
Cash in Hand and At Bank | 906,182,000 | 1,052,395,000 | 1,007,522,000 | ||||||
Total Cash and Cash Equivalents | 558,467,000 | 516,677,000 | 519,157,000 | ||||||
Unfavorable Balance | |||||||||
Bank Overdrafts | -347,715,000 | -535,718,000 | -488,365,000 |