GMR Airports Infrastructure Ltd
BSE:532754

Watchlist Manager
GMR Airports Infrastructure Ltd Logo
GMR Airports Infrastructure Ltd
BSE:532754
Watchlist
Price: 103.05 INR -2.18% Market Closed
Market Cap: 736.6B INR

Cash Flow Statement

Cash Flow Statement
GMR Airports Infrastructure Ltd

Rotate your device to view
Cash Flow Statement
Currency: INR
Sep-2018 Mar-2019 Sep-2019 Mar-2020 Sep-2020 Mar-2021 Sep-2021 Mar-2022 Sep-2022 Mar-2023 Sep-2023 Mar-2024 Sep-2024 Mar-2025 Sep-2025
Operating Cash Flow
Net Income
(7 403)
(35 538)
(36 216)
(22 834)
(33 326)
(36 902)
(23 312)
(7 646)
(6 014)
(7 259)
(4 949)
(6 348)
(12 990)
(6 353)
885
Depreciation & Amortization
3 257
9 851
10 017
10 643
10 964
10 045
9 320
9 737
9 807
10 424
12 372
14 659
17 377
19 104
18 900
Other Non-Cash Items
11 519
44 626
47 521
37 407
35 053
43 216
39 515
21 607
19 068
15 208
16 339
20 056
27 107
22 162
24 311
Cash Taxes Paid
1 071
2 692
1 762
1 611
582
(394)
1 005
892
273
(438)
284
1 327
1 326
1 166
1 033
Cash Interest Paid
8 762
24 267
26 580
34 622
42 550
37 799
34 515
34 426
34 090
30 589
29 974
35 167
33 494
29 932
37 615
Change in Working Capital
1 314
1 529
(3 878)
(11 457)
(4 485)
(16 325)
(4 475)
7 395
(3 857)
4 619
18 325
10 449
(6 482)
(488)
(1 719)
Cash from Operating Activities
8 687
N/A
20 468
+136%
17 445
-15%
13 759
-21%
8 205
-40%
34
-100%
21 048
+61 806%
31 093
+48%
19 004
-39%
22 992
+21%
42 087
+83%
38 801
-8%
24 997
-36%
34 426
+38%
42 377
+23%
Investing Cash Flow
Capital Expenditures
(7 306)
(28 471)
(39 210)
(29 121)
(22 372)
(16 459)
(19 467)
(31 377)
(36 904)
(39 214)
(40 094)
(45 246)
(45 141)
(41 289)
(38 800)
Other Items
12 026
(7 580)
(50 098)
19 225
104 855
40 792
(14 298)
12 411
25 624
14 990
(2 792)
(12 638)
1 952
4 563
(4 663)
Cash from Investing Activities
4 720
N/A
(36 050)
N/A
(89 308)
-148%
(9 896)
+89%
82 484
N/A
24 334
-70%
(33 764)
N/A
(18 967)
+44%
(11 282)
+41%
(24 224)
-115%
(42 885)
-77%
(57 884)
-35%
(43 189)
+25%
(36 726)
+15%
(43 462)
-18%
Financing Cash Flow
Net Issuance of Common Stock
0
0
0
0
0
0
0
0
0
24
0
81
0
0
0
Net Issuance of Debt
8 479
33 396
80 167
51 565
(34 057)
27 240
45 050
(4 512)
23 075
47 878
18 209
39 752
47 383
19 507
40 016
Cash Paid for Dividends
(608)
(971)
(400)
(503)
(466)
0
0
0
0
0
0
0
0
(737)
(983)
Other
(8 762)
(24 267)
(26 580)
(34 895)
(42 823)
(37 799)
(33 872)
(34 426)
(34 733)
(30 589)
(29 974)
(35 167)
(32 431)
(28 868)
(37 615)
Cash from Financing Activities
(811)
N/A
8 158
N/A
53 187
+552%
16 167
-70%
(77 346)
N/A
(10 559)
+86%
11 179
N/A
(38 939)
N/A
(11 661)
+70%
17 313
N/A
(11 740)
N/A
4 665
N/A
15 034
+222%
(10 099)
N/A
1 419
N/A
Change in Cash
Effect of Foreign Exchange Rates
66
58
0
23
59
9
(26)
6
(3)
121
124
(31)
(44)
(8)
(170)
Net Change in Cash
12 662
N/A
(7 366)
N/A
(18 676)
-154%
20 053
N/A
13 402
-33%
13 818
+3%
(1 563)
N/A
(26 807)
-1 615%
(3 942)
+85%
16 203
N/A
(12 414)
N/A
(14 449)
-16%
(3 203)
+78%
(12 407)
-287%
164
N/A
Free Cash Flow
Free Cash Flow
1 381
N/A
(8 003)
N/A
(21 765)
-172%
(15 362)
+29%
(14 167)
+8%
(16 425)
-16%
1 581
N/A
(284)
N/A
(17 900)
-6 203%
(16 221)
+9%
1 993
N/A
(6 445)
N/A
(20 144)
-213%
(6 863)
+66%
3 578
N/A