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ICICI Bank Previous Years »


Consolidated Cash Flow ------------------- in Rs. Cr. -------------------
Mar '23 Mar '22 Mar '21 Mar '20 Mar '19

12 mths 12 mths 12 mths 12 mths 12 mths

Net Profit Before Tax 45830.08 33567.54 24048.68 26800.00 5973.34


Net Cash From Operating Activities -3771.19 58111.43 138015.30 79564.75 48671.05
Net Cash (used in)/from
-68005.32 -39321.44 -62986.91 -42308.43 -30147.22
Investing Activities
Net Cash (used in)/from Financing
24790.72 17451.00 -54666.77 2992.18 -19997.43
Activities
Net (decrease)/increase In Cash and
-46669.49 35555.45 19717.61 40462.03 -1608.24
Cash Equivalents
Opening Cash & Cash Equivalents 183125.98 147570.53 127852.92 87390.90 88999.13
Closing Cash & Cash Equivalents 136456.49 183125.98 147570.53 127852.92 87390.90

Source : Dion Global Solutions Limited

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