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Cash Flow

ParticularsMar 2025 (.Cr)Mar 2024 (.Cr)Mar 2023 (.Cr)Mar 2022 (.Cr)Mar 2021 (.Cr)
Cash and Cash Equivalents at Begining of the year647.85395.90477.20692.92355.95
Net Cash from Operating Activities-13,626.33-16,736.04-6,850.611,987.10-341.75
Net Cash Used In Investing Activities1,159.02-2,145.56973.32-703.28131.38
Net Cash Used In Financing Activities12,769.9219,133.555,795.99-1,499.54607.93
Net Inc/Dec In Cash And Cash Equivalents302.61251.95-81.30-215.72397.56
Cash And Cash Equivalents At End Of The Year950.46647.85395.90477.20753.51

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