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Cash Flow Statement For The Year Ended March 31, 2008
2007 - 08
Rs. in Crore
2006 - 07
Rs. in Crore
A. Cash Flow from Operating Activities
  Net Profit before Tax 126.10 137.66
  Adjustments for:    
  Depreciation 53.06 53.63
  Finance Charges 66.50 76.16
  Interest Income (4.49) (3.12)
  Exchange Fluctuation Gain (17.48) (6.24)
  Amortisation of Miscellaneous Expenditure 2.23 1.78
  Write offs -- 4.34
   Expenses charged to:    
  Contingency Reserve (0.01) --
  Amalgamation Reserve (1.51) --
  Restructuring Reserve (2.69) --
  Income on Pre-payment of liability (13.79) --
  Loss/(Profit) on sale of Fixed Assets (Net) 0.01 0.08
    __________ __________
    81.83 126.63
       
  Operating Cash Profit before Working Capital Changes 207.93 264.29
  Adjustments for :    
  Trade and Other Receivables 6.00 (110.12)
  Inventories (Increase) / Decrease 12.74 (38.69)
  Trade Payables 32.06 2.51
  Taxes Paid (17.56) (12.08)
    __________ __________
  Net Cashflow from Operating Activities 41.17 105.91
       
B. CASH FLOW FROM INVESTING ACTIVITIES:    
  Additions to Fixed Assets (268.13) (41.10)
  Sale of Fixed Assets 0.01 2.85
  Investment in Subsidiary (19.18) --
  Interest Received 4.09 3.33
    __________ __________
  Net Cash used in Investing Activities (283.21) (34.92)
       
C. CASH FLOW FROM FINANCING ACTIVITIES:    
  (Redemption )/ Proceeds from Right issue of Equity Share Warrants 1.06 (46.92)
  Proceeds from Equity Share Warrants 5.29 --
  Security Premium 8.96 --
  Expenditure on Foreign Currency Convertible Bonds (1.25) (1.66)
  Miscellaneous Expenditure (1.10) (3.87)
  Dividend Payments (including Tax thereon) (16.27) --
  Proceeds from /(Repayment of) Borrowings 105.73 56.27
  Finance Charges (65.89) (75.26)
    __________ __________
  Net Cash from Financing Activities 36.53 (71.44)
  Net Increase / (Decrease) in Cash & Cash Equivalents (5.51) (0.45)
  Cash and Cash Equivalents at the beginning of the year (Refer Note No.1) 8.44 8.89
  Cash and Cash Equivalents at the end of the year (Refer Note No.1) 2.93 8.44
    __________ __________
  Net Increase / (Decrease) in Cash & Cash Equivalents (5.51) (0.45)
       
 
NOTES:
1. The Cash & Cash Equivalents in the Cash Flow Statement comprise of the following Balance Sheet amounts:
    As at
31st March 2008
Rs. in Crore
As at
31st March 2007
Rs. in Crore
  The cash and cash equivalents in the cash flow statement comprise of the following Balance Sheet amounts:    
  (a) Cash on hand 0.06 0.02
  (b) Current accounts with Bank 2.87 8.42
    __________ __________
    2.93 8.44
 
2. Previous year’s figures have been restated, wherever necessary, to conform to current year’s classification.
 
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