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Cash Flow of Tata Sponge Iron (TATASTLLP)

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

Cash Flow of Tata Sponge Iron Ltd.

Year Cash EPS Cash From Financial Activity Cash From Investing Activity Cash From Operating Activity Net cash Flow
31_Mar_18 26.69 -20.190 -213.080 41.10 -192.170
31_Mar_17 12.64 -18.450 53.59 19.47 54.61
31_Mar_16 46.69 -18.540 -53.050 71.91 0.330
31_Mar_15 -12.220 -15.230 53.13 -18.820 19.08
31_Mar_14 65.32 -12.190 -89.400 100.59 -1.000
31_Mar_13 72.69 -13.210 -89.560 111.94 9.17
31_Mar_12 43.05 -12.350 -172.980 66.30 -119.030
31_Mar_11 91.97 -12.310 -32.150 141.64 97.18
31_Mar_10 55.06 -12.380 -93.700 84.79 -21.290
31_Mar_09 74.94 -99.550 1.53 115.41 17.39
31_Mar_08 80.72 -80.550 -26.530 124.31 17.23
31_Mar_07 34.60 62.08 -38.010 53.28 77.35
31_Mar_06 4.90 58.77 -109.760 7.55 -43.440
31_Mar_05 50.68 -7.910 -26.710 78.04 43.42


Compund Annual Growth Rate (CAGR) of Tata Sponge Iron Ltd.

Period 1 Year 3 Year 5 Year 7 Year 10 Year
Cash EPS (Unadjusted) 111.16 % 0.00 -18.158 % -16.200 % -10.477 %
Cash From Financial Activity 9.43 % 9.85 % 8.85 % 7.32 % -12.922 %
Cash From Investing Activity -497.611 % 0.00 18.93 % 31.02 % 23.16 %
Cash From Operating Activity 111.09 % 0.00 -18.159 % -16.201 % -10.477 %
Net cash Flow -451.895 % 0.00 0.00 0.00 0.00

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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