CV Assignment - Agneesh Dutta
CV Assignment - Agneesh Dutta
CV Assignment - Agneesh Dutta
Less : Accumulated
Depreciation 8,201.41 7,172.89 6,044.49 4,360.80 2,958.58
Less:Impairment of Assets 0 0 0 0 0
Net Block 5,321.49 4,191.55 4,318.92 4,475.67 3,589.18
Lease Adjustment 0 0 0 0 0
Asset Transferred 0 0 0 0 0
Producing Properties 0 0 0 0 0
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2022 2021 2020
2.6433 1.9123
1.5823 1.0270
0.2915 0.3825
0.2043 0.2545
11.0134 21.1564
1.4270 1.5027
0.2320 0.2912
0.0811 0.1409
0.3976 0.6385
0.1986 0.2141
0.8794 0.7576
0.2230 0.2468
0.0991 0.1556
32.01 42.79
11.40 8.53
- - No Creditor is there
- - No Creditor is there
7.38 6.26
49.48 58.28
1.22 1.10
2.62 2.74
4.76 6.08
0.86 0.73
Finance >>Cash Flow (Standalone)>>Shree Cement Ltd(Curr. Rs in )
Year 202203 202103 202003 201903 201803
Cash Flow Summary
Cash and Cash Equivalents at Beginning of
the year -4.56 -15.71 15.24 33.45 23.21
Net Cash from Operating Activities 2,722.85 4,093.61 3,751.38 2,059.69 1,878.75
Net Profit before Tax & Extraordinary
Items 2930.92 3025.72 1960.21 1259.56 1827.16
Depreciation 1036.48 1139.9 1699.42 1391.68 899.4
Interest (Net) -84.89 22.03 113.15 83.3 -73.99
Dividend Received -6.32 -9.16 -40.75 -52.84 -82.52
P/L on Sales of Assets 0 0 -1.29 22.35 1.1
P/L on Sales of Invest -103.24 -35.13 3.43 -9.71 -36.43
Prov. & W/O (Net) -5.07 -2.74 -0.51 -1.77 -54.46
P/L in Forex 1.41 2.33 -1.38 142.12 21.03
Fin. Lease & Rental Chrgs 0 0 0 0 0
Others -118.49 -156.59 -54.13 -14.84 -2.68
Total Adjustments (PBT & Extraordinary
Items) 719.88 960.64 1717.94 1560.29 671.45
Op. Profit before Working Capital
Changes 3650.8 3986.36 3678.15 2819.85 2498.61
Trade & 0th receivables -101.13 393.5 -3.02 -400.73 -509.92
Inventories -684.23 -49.32 161.2 -20.03 -254.52
Trade Payables 53.31 506.92 400.95 -109.44 651.37
Loans & Advances 0 0 0 0 0
Investments 0 0 0 0 0
Net Stock on Hire 0 0 0 0 0
Leased Assets Net of Sale 0 0 0 0 0
Trade Bill(s) Purchased 0 0 0 0 0
Change in Borrowing 0 0 0 0 0
Change in Deposits 0 0 0 0 0
Others 0 0 0 0 0
Total (OP before Working Capital
Changes) -732.05 851.1 559.13 -530.2 -113.07
Cash Generated from/(used in)
Operations 2918.75 4837.46 4237.28 2289.65 2385.54
Interest Paid(Net) 0 0 0 0 0
Direct Taxes Paid -195.9 -743.85 -485.9 -229.96 -506.79
Advance Tax Paid 0 0 0 0 0
Others 0 0 0 0 0
Total-others -195.9 -743.85 -485.9 -229.96 -506.79
Cash Flow before Extraordinary Items 2722.85 4093.61 3751.38 2059.69 1878.75
Excess Depreciation W/b 0 0 0 0 0
Premium on Lease of land 0 0 0 0 0
Payment Towards VRS 0 0 0 0 0
Prior Year 's Taxation 0 0 0 0 0
Gain on Forex Exch. Tran 0 0 0 0 0
Others 0 0 0 0 0
Net Cash Used in Investing Activities -1,865.34 -2,867.88 -5,373.32 -812.63 -3,594.73
Purchased of Fixed Assets -1971.71 -1003.32 -1298.43 -1899.25 -2527.81
Sale of Fixed Assets 23.45 4.96 4.32 13.97 1.56
Capital Expenditure 0 0 0 0 0
capital WIP 0 0 0 0 0
Capital Subsidy Recd 0 0 0 0 0
Purchase of Investments -841.13 -2733.57 -4189.54 0 -2746.83
Sale of Investments 810.23 890.4 157.39 2985.22 913.91
Investment Income 0 0 0 0 0
Interest Received 284.69 205.38 146.35 189.85 672.34
Dividend Received 6.32 9.16 44.22 59.43 95.7
Invest.In Subsidiaires -265.17 -121.51 -399.58 -2099.31 0
Loans to Subsidiaires -21.2 -16.75 0 0 0
Investment in Group Cos 0 0 0 0 0
Issue of Sh. on Acqu. of Cos 0 0 0 0 0
Canc. of Invest. in Cos Acq. 0 0 0 0.04 0
Acquisition of Companies 0 0 0 0 0
Inter Corporate Deposits 0 0 0 0 0
Others 109.18 -102.63 161.95 -62.58 -3.6
Net Cash Used in Financing Activities -858.42 -1,214.58 1,590.99 -1,265.27 1,726.22
Proceeds from Issue of shares (incl share
premium) 0 0 2383.34 0 0
Proceed from Issue of Debentures 0 0 0 0 0
Proceed from 0ther Long Term
Borrowings 322.28 0 0 0 1684.82
Proceed from Bank Borrowings 0 0 0 0 0
Proceed from Short Tem Borrowings 0 0 304.51 298.44 1014.65
Proceed from Deposits 0 0 0 0 0
Share Application Money 0 0 0 0 0
Cash/Capital Investment Subsidy 0 0 0 0 0
Loans from a Corporate Body 0 0 0 0 0
Share Application Money Refund 0 0 0 0 0
On Redemption of Debenture 0 0 0 0 0
Of the Long Tem Borrowings -290.17 -710.3 -67.5 -7.53 0
Of the short term Borrowings -188.91 -189.15 -75 -1048.53 -660.16
Of financial Liabilities -113.93 -61.51 -44.47 -1.52 -3.98
Dividend Paid -378.89 -2.19 -623.06 -230.84 0
Shelter Assistance Reserve 0 0 0 0 0
Interest Paid -208.8 -251.43 -286.83 -275.29 -124.78
Others 0 0 0 0 -184.33
Net Inc/(Dec) in Cash and Cash Equivalent -0.91 11.15 -30.95 -18.21 10.24
Cash and Cash Equivalents at End of the
year -5.47 -4.56 -15.71 15.24 33.45
Calculation of Projected Free Cash Flow
Working Notes
Calculation of Rates
18.030537
1565.4778
741.55252
-2,791.75
1036.48
-3,828.23
-851.42
-2,976.81
1036.48
-3799.8096
931.36825
928.11
-0.0001313 0.0006875142443
0.0598442 0.0596925226359
0.0191271 0.0282758029478
1,036.48
13,522.90
7.66% 12.72%
2027
4,371.28
-3799.8096
72.66716
4,298.62
2027
10200.797
931.36825