Real Time Screeners Intraday Screeners now on Real Time Data (Updated every 5 mins)
Stock Listing : A  B  C  D  E  F  G  H  I  J  K  L  M  N  O  P  Q  R  S  T  U  V  W  X  Y  Z 

Cash Flow of Shankara Building Products (SHANKARA)

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

Cash Flow of Shankara Building Products Ltd.

Year 31_Mar_2020 31_Mar_2019 31_Mar_2018 31_Mar_2017 31_Mar_2016 31_Mar_2015 31_Mar_2014
Cash EPS 2.88 2.25 3.82 3.14 2.30 1.43 1.58
Investments 55.26 -47.76 -75.00 -36.96 -0.399 -0.399 0
Change In Liabilities -22.81 -79.02 192.31 27.20 96.87 17.01 13.20
Profit Before Tax 53.36 48.53 115.90 92.51 64.76 34.54 42.01
Cash From Operating Activities -29.85 171.01 40.86 106.57 159.48 79.61 64.16
Net Income 39.88 32.74 73.79 60.27 40.73 22.58 28.71
Depreciation 26.04 18.62 13.59 11.41 9.51 8.81 5.76
Account Receivable 360.35 381.45 461.22 261.01 233.81 138.07 121.06
Inventory 400.45 382.95 415.71 279.45 255.88 232.07 221.23
Cash From Investment Activities 55.26 -47.78 -74.04 -36.66 -37.86 -39.54 -39.57
Net Borrowings 29.25 -50.46 24.39 0.796 -70.66 9.29 16.01
Cash from Financial Activities 0 -115.32 33.54 -68.76 -121.58 -40.33 -25.62
Other Cash from Investing Activities 72.81 -2.24 -3.09 0.193 0.286 0.0250 0.343
Dividend Paid -8.00 -8.93 -7.56 -0.672 -5.92 -2.17 -2.17
Change to Inventory -17.50 33.96 -121.39 -23.58 -24.24 -10.84 -29.95
Change to Account Receivable 0 91.97 -106.53 -33.65 -21.34 -10.39 13.21
Sale Purchase of Stocks 0 0 0 45.00 45.00 45.00 45.00
Other Cash From Fin Activities -42.31 -57.46 16.71 -114.56 -45.00 -47.46 -41.64
Change to Net Income 41.28 52.76 39.28 60.29 57.33 52.12 41.73
Capital Expenditure 19.26 50.98 39.64 37.39 38.19 41.52 29.42
Net Cash Flow 25.42 7.90 0.358 1.15 0.0387 -0.262 -1.03


Compund Annual Growth Rate (CAGR) of Shankara Building Products Ltd.

Period 1 Year 3 Year 5 Year
Cash EPS 28.00 % -2.84 % 15.03 %
Investments 215.70 % 0.00 0.00
Cash From Financial Activity 0.00 0.00 0.00
Cash From Investing Activity 215.66 % 0.00 0.00
Cash From Operating Activity -117.46 % 0.00 0.00
Net cash Flow 221.77 % 180.65 % 0.00
Net Borrowings 157.97 % 232.46 % 25.78 %
Depreciation 39.85 % 31.66 % 24.20 %
Dividend Paid 10.41 % 128.34 % 29.82 %
Capital Expenditure -62.22 % -19.84 % -14.24 %

About Financial Data , All results are consolidated, Values are in Crores, Sourced from external Vendors


( Intraday Analysis is on Real Time Data (Updated every 5 Mins). All Other analysis is based on End of Trade day's Value. Expected time of update is between 5 to 5.30 PM exchange time Zone)


All Rights Reserved By Mintnovate Market Research Pvt Ltd.