HDFC Bank

Previous Years »

Cash Flow
------------------- in Rs. Cr. ------------------Mar '12 Mar '11 Mar '10 Mar '09 Mar '08
12 mths 12 mths 12 mths 12 mths 12 mths
Net Profit Before Tax 7513.17 5818.66 4289.14 3299.25 2280.63
Net Cash From Operating Activities
-11355.61
-375.83 9389.89 -1736.14
3583.43
Net Cash (used in)/from
Investing Activities
-686.85 -1122.74
-551.51 -663.78 -619.82
Net Cash (used in)/from Financing Activities
3286.19 1227.99 3598.91 2964.66
3628.34
Net (decrease)/increase In Cash and Cash Equivalents
-8731.11
-273.56
12435.78
564.74 6591.95
Opening Cash & Cash Equivalents 29668.83
29942.40
17506.62
14778.34
8074.54
Closing Cash & Cash Equivalents 20937.73
29668.83
29942.40
15343.08
14666.49

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