Suzlon Energy Cashflow

    BSE:532667  |  NSE:SUZLONEQ  |  IND:Power Generation - Wind  |  ISIN code:INE040H01021  |  SECT:Power

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    Suzlon Energy Ltd.

    52-Wk:

    Suzlon Energy Ltd.

    Bid:

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    NSE 

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    Suzlon Energy Ltd.

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    Suzlon Energy Ltd.

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    The Cash Flow Statement of Suzlon Energy Ltd. presents the key Cash Flow ratios, its comparison with the sector peers and 5 years of Cash Flow Statement.

    Cash Flow Margin
    -1,388.6bps

    -14.7%

    PEER RANGE

    -77.0
    -14.7
    33.3
    Cash Flow Solvency
    -9,237.8bps

    -93.7%

    PEER RANGE

    -93.7
    -93.7
    30,142.2
    Cash Flow ROA
    -1,322.1bps

    -14.1%

    PEER RANGE

    -14.1
    -14.1
    11.5
    Cash Flow
    Rs (in Crores)
    ParticularsMar'24Mar'23Mar'22Mar'21Mar'20
    Profit Before Tax93.432162.76-912.66-398.40-3275.98
    Net Cash Flow from Operating Activity-596.19-31.15-74.46-161.37-1257.05
    Net Cash Used in Investing Activity376.56407.671179.71517.58-3502.82
    Net Cash Used in Financing Activity192.13-495.91-888.88-198.844779.95
    Net Inc/Dec In Cash and Cash Equivalent-27.50-119.39216.37157.3720.08
    Cash and Cash Equivalent - Beginning of the Year290.63410.02193.6536.2816.20
    Cash and Cash Equivalent - End of the Year263.13290.63410.02193.6536.28
    Rs (in Crores)

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