Reliance Industries Cash flow

₹1,476.4 arrow-9.21 (-0.62%)Last Updated Date: 17th Jul, 2025
Standalone
Consolidated
Description31st Mar, 202531st Mar, 202431st Mar, 202331st Mar, 202231st Mar, 202131st Mar, 2020
Net Profit/Loss Before Extraordinary Items And Tax46,12855,27355,57246,78627,21240,316
Net CashFlow From Operating Activities79,39273,99848,05067,491-51277,533
Net Cash Used In Investing Activities-28,106-38,292-584-45,31574,257-1,43,625
Net Cash Used From Financing Activities-38,063-27,465-7,369-6,035-76,65770,767
Foreign Exchange Gains / Losses
Adjustments On Amalgamation Merger Demerger Others-5,00042
Net Inc/Dec In Cash And Cash Equivalents13,2238,24135,09716,141-2,9124,717
Cash And Cash Equivalents Begin of Year69,24861,00721,7145,5738,4853,768
Cash And Cash Equivalents End Of Year82,47169,24856,81121,7145,5738,485

Disclaimer: The figures and information provided are for informational purposes only and may vary over time. The above data may be outdated and not reflect the latest updates. Always conduct thorough research and consult a financial advisor before making any investment decisions.

Data Source - Dion Global Solutions Limited