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Bharti Airtel

Cash Flow

Net Profit Before Tax


Net Cash From
Operating Activities
Net Cash (used in)/from

------------------- in Rs. Cr. ------------------Mar '06

Mar '07

12 mths

12 mths

2285.8

4601.37

4547.2

8107.95

-5000.26

-7975.05

376.35

340.13

-76.71

473.03

384.14

307.43

307.43

780.46

Investing Activities
Net Cash (used in)/from
Financing Activities
Net
(decrease)/increase In
Cash and Cash
Equivalents
Opening Cash & Cash
Equivalents
Closing Cash & Cash
Equivalents

Bharti Airtel
------------------- in Rs. Cr. ------------------Mar '08

Mar '09

Mar '10

12 mths

12 mths

12 mths

6972.54

8161.54

10699.25

10459.85

11853.15

12692.63

-11648.41

-10894.38

-10601.66

898.03

-672

-2539.32

-290.53

286.77

-448.35

793.47

503.31

789.88

502.94

790.08

341.53

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