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Godrej Properties Limited (IN:GODREJPROP)
:GODREJPROP
India Market

Godrej Properties Limited (GODREJPROP) Cash flow

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Godrej Properties Limited Cash Flow

IN:GODREJPROP's free cash flow for Q2 2024 was ₹-5.02B. For the 2024 fiscal year, IN:GODREJPROP's free cash flow was decreased by ₹17.79B and operating cash flow was ₹-24.01B. See a summary of the company’s cash flow.
Cash Flow
Mar 24Mar 23Mar 22Mar 21Mar 20
Operating Cash Flow
₹ -6.93B₹ -28.61B₹ -4.52B₹ -6.71B₹ -2.30B
Investing Cash Flow
₹ -20.80B₹ 24.88B₹ 1.24B₹ -33.22B₹ -17.21B
Financing Cash Flow
₹ 32.58B₹ 8.32B₹ 2.35B₹ 42.59B₹ 19.72B
End Cash Position
₹ 13.06B₹ 7.15B₹ 1.79B₹ 2.69B₹ -19.70M
Free Cash Flow
₹ -13.88B₹ -31.66B₹ -5.98B₹ -8.00B₹ -2.93B
Currency in INR

Godrej Properties Limited Cash Flow

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