Gujarat Mineral Development Corporation Limited (GMDCLTD.NS)

INR 341.25

(-1.02%)

Annual Cash Flows

(In INR)
Breakdown 2024 2023 2022 2021 2020 2019
Operating Cash Flow 2.97 Billion 9.31 Billion -2.13 Billion 1.56 Billion -75.07 Million 1.01 Billion
Net Income 6.17 Billion 16.57 Billion 7.36 Billion -3.49 Billion 2.6 Billion 3.88 Billion
Depreciation & Amortization 787.31 Million 811.64 Million 979.83 Million 942.11 Million 915.79 Million 961.37 Million
Deferred income taxes - - - - - -
Stock-based compensation - - - - - -
Change in working capital -3.75 Billion -272.31 Million -7.24 Billion -255.5 Million -1 Billion -3.08 Billion
Other non-cash items 5.1 Billion -7.8 Billion -3.23 Billion 4.37 Billion -2.59 Billion -744.44 Million
Investing Cash Flow 491.3 Million -7.85 Billion 214.89 Million 778.87 Million 920.36 Million 230.25 Million
Investments in PPE -4.76 Billion -238.75 Million -408.46 Million -121.84 Million -102.46 Million -714.22 Million
Acquisitions 27.91 Million 3.37 Million 4.77 Million 5.12 Million 6.9 Million 7.74 Million
Investment purchases - -8.68 Billion -7.2 Billion - -8.19 Million -91 Thousand
Sales/Maturities of investments 5.23 Billion 8.67 Billion 7.19 Billion - 1.28 Million -7.65 Million
Other Investing Activities 7.14 Billion -7.62 Billion 623.36 Million 895.59 Million 1.02 Billion 944.48 Million
Financing Cash Flow -3.64 Billion -1.37 Billion -66.2 Million -636 Million -766.73 Million -1.34 Billion
Debt repayment -4.36 Million -5.26 Million -3.21 Million -5.41 Million - -
Dividends payments -3.64 Billion -1.36 Billion -63.6 Million -636 Million -766.73 Million -1.34 Billion
Common Stock Repurchased - - - - - -
Common Stock Issuance - - - - - -
Other Financing Activities -4.36 Million -5.26 Million 605 Thousand 5.41 Million -130.73 Million -
Accounts receivables -4.66 Billion -725.44 Million -2.02 Billion -1.27 Billion -834.14 Million -1.3 Billion
Accounts payables 902.04 Million 608.56 Million 1.09 Billion 631.3 Million 748.5 Million -1.11 Billion
Inventory 9.43 Million -155.43 Million 102.84 Million -31.33 Million 23.71 Million -257.04 Million
Other working capital 902.04 Million - -6.41 Billion 416.17 Million -938.95 Million -404.45 Million
Cash at beginning of period 522.6 Million 426.37 Million 2.41 Billion 951.19 Million 872.63 Million 575.31 Million
Cash at end of period 5.1 Billion 510.74 Million 426.34 Million 2.65 Billion 951.19 Million 481.67 Million
Capital Expenditure -4.76 Billion -238.75 Million -408.46 Million -121.84 Million -102.46 Million -714.22 Million
Effect of forex changes on cash - - -241.91 Million - -1000.00 390.96 Million
Net cash flow / Change in cash 4.58 Billion 84.37 Million -1.98 Billion 1.7 Billion 78.55 Million -93.64 Million
Free Cash Flow -1.79 Billion 9.07 Billion -2.54 Billion 1.43 Billion -177.54 Million 305.05 Million

Cash Flow Charts