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Cash Flow of Sagar Cements (SAGCEM)

Summary    Balance Sheet    Cash Flow    Income    Qtrly Income    Risk    Profitability    Qtrly Profit    Solvency    

Cash Flow of Sagar Cements

Year Cash EPS Cash From Financial Activity Cash From Investing Activity Cash From Operating Activity Net cash Flow
31_Mar_18 48.04 -37.000 -181.000 98.00 -121.000
31_Mar_17 17.54 258.28 -133.080 35.79 160.99
31_Mar_16 76.12 -99.920 -248.970 132.37 -216.520
31_Mar_15 15.52 -9.890 174.09 27.01 191.21
31_Mar_14 27.31 -10.420 -57.090 47.48 -20.030
31_Mar_13 19.77 26.05 -38.550 34.38 21.88
31_Mar_12 46.92 -45.810 -35.910 81.58 -0.140
31_Mar_11 46.94 -29.540 -40.910 70.42 -0.030
31_Mar_10 79.30 -88.320 -39.200 118.97 -8.550
31_Mar_09 33.44 63.31 -109.110 50.16 4.36
31_Mar_08 37.24 172.10 -230.850 49.67 -9.080
31_Mar_07 32.31 14.20 -40.510 41.04 14.73
31_Mar_06 15.18 -13.370 -3.000 16.93 0.560
31_Mar_05 -2.120 -16.020 16.17 -2.360 -2.210


Compund Annual Growth Rate (CAGR) of Sagar Cements

Period 1 Year 3 Year 5 Year 7 Year 10 Year
Cash EPS (Unadjusted) 173.89 % 45.74 % 19.43 % 0.331 % 2.58 %
Cash From Financial Activity -114.326 % 55.24 % 0.00 3.27 % 0.00
Cash From Investing Activity 36.01 % 0.00 36.25 % 23.67 % -2.403 %
Cash From Operating Activity 173.82 % 53.66 % 23.31 % 4.83 % 7.03 %
Net cash Flow -175.160 % 0.00 0.00 227.41 % 29.56 %

Financial Data From D'Market


(All analysis is based on End of Trade day's Value. Expected time of update is between 5 to 5.30 PM exchange time Zone)


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