Vascon Engineers Limited (VASCONEQ.NS)

INR 56.75

(8.32%)

Annual Cash Flows

(In INR)
Breakdown 2024 2023 2022 2021 2020 2019
Operating Cash Flow -502.3 Million 1.03 Billion 332.81 Million 677.77 Million 375.19 Million 563.15 Million
Net Income 679.4 Million 1.03 Billion 403.61 Million -398.66 Million 398.23 Million 42.56 Million
Depreciation & Amortization 144 Million 119.2 Million 107.76 Million 120.8 Million 149.86 Million 134.17 Million
Deferred income taxes - -102.4 Million -353.74 Million 303.11 Million -59.74 Million 94.27 Million
Stock-based compensation 19.1 Million 19.6 Million 30.48 Million 22.44 Million 46.27 Million 87.85 Million
Change in working capital -1.16 Billion -99.2 Million -42.45 Million 416.55 Million -306.17 Million 42.79 Million
Other non-cash items 983.1 Million 66.5 Million 187.14 Million 213.52 Million 146.74 Million 161.5 Million
Investing Cash Flow -75.6 Million -319.8 Million -126.6 Million 56.86 Million -270.53 Million -24.92 Million
Investments in PPE -202.8 Million -419.2 Million -150.09 Million -42.64 Million -46.68 Million -138.58 Million
Acquisitions 94.5 Million 7.58 Million -266.8 Million 46.87 Million 17.34 Million 22.63 Million
Investment purchases -24 Million -99.4 Million -476.49 Million -114.63 Million -345.05 Million -113.65 Million
Sales/Maturities of investments 56.7 Million 91.81 Million 455.34 Million 167.26 Million 103.85 Million 91.01 Million
Other Investing Activities 127.2 Million 99.4 Million 311.43 Million -100 Thousand 4000.00 113.65 Million
Financing Cash Flow 268.3 Million -441.3 Million -221.4 Million -695.24 Million -344.93 Million -258.77 Million
Debt repayment -262.7 Million -1.05 Billion -730.38 Million -586.29 Million -190.77 Million -1.22 Billion
Dividends payments -54.32 Million - - - - -
Common Stock Repurchased - - - - - -
Common Stock Issuance 60 Million - 740 Million 40 Million - 112 Million
Other Financing Activities 84.6 Million 611 Million -231.01 Million -148.95 Million -154.16 Million 853.35 Million
Accounts receivables -625.4 Million -1.23 Billion -813.35 Million -223.29 Million -18.77 Million -64.85 Million
Accounts payables 508.3 Million 859.57 Million 404.18 Million 413.33 Million 8.43 Million 181 Million
Inventory -738.6 Million 69.3 Million 56.42 Million 310.51 Million 275.23 Million -200.4 Million
Other working capital -309.4 Million 206.2 Million 310.29 Million -83.99 Million -571.06 Million 127.04 Million
Cash at beginning of period 1 Billion 254.5 Million 269.38 Million 229.99 Million 470.27 Million 190.81 Million
Cash at end of period 820 Million 529.7 Million 254.46 Million 269.38 Million 229.99 Million 470.27 Million
Capital Expenditure -202.8 Million -419.2 Million -150.09 Million -42.64 Million -46.68 Million -138.58 Million
Effect of forex changes on cash - -286 Thousand 283 Thousand - - -
Net cash flow / Change in cash -180.27 Million 275.2 Million -14.91 Million 39.38 Million -240.27 Million 279.45 Million
Free Cash Flow -705.1 Million 617.4 Million 182.71 Million 635.12 Million 328.51 Million 424.57 Million

Cash Flow Charts