LightDark Log in Sign up

‹ Back to RAMCOCEM.NS

RAMCOCEM.NS Cash Flow

The Ramco Cements Ltd.

Profit & Loss Balance Sheet Cash Flow

Cash Flow · 4 years on file (FY2022-23 to FY2025-26) · fetched 2026-08-24 00:33
Line item FY2022-23 FY2023-24 FY2024-25 FY2025-26 Source (XBRL element)
Net Cash from Operating Activities ₹14.12 Bn ₹19.06 Bn ₹13.99 Bn ₹16.11 Bn CashFlowsFromUsedInOperatingActivities
Net Cash from Investing Activities ₹-16.94 Bn ₹-19.11 Bn ₹-5.42 Bn ₹-3.38 Bn CashFlowsFromUsedInInvestingActivities
Net Cash from Financing Activities ₹2.74 Bn ₹-0.28 Bn ₹-7.82 Bn ₹-12.57 Bn CashFlowsFromUsedInFinancingActivities
Effect of Exchange Rate Changes ₹0.00 Bn ₹0.00 Bn ₹0.00 Bn ₹0.00 Bn EffectOfExchangeRateChangesOnCashAndCashEquivalents
Net Increase/(Decrease) in Cash ₹-0.08 Bn ₹-0.33 Bn ₹0.75 Bn ₹0.16 Bn IncreaseDecreaseInCashAndCashEquivalents
Cash and Cash Equivalents (Closing) ₹1.78 Bn ₹1.70 Bn N/A N/A CashAndCashEquivalentsCashFlowStatement

Every figure above is the exact value of the named XBRL element from RAMCOCEM.NS's cached filing for that year — nothing here is estimated or backfilled. A company shows one column per year StockProof actually has data for — never padded with blank years. Rows shown as N/A are genuinely not disclosed under that year's filing format (see peer comparison for how other Construction Materials companies compare).