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Bansal Wire Industries Ltd

NSE: BANSALWIRE BSE: 544209

305.55

(0.96%)

Tue, 09 Jun 2026, 04:03 am

Bansal Wire Industries Cashflow

Particulars201920202021202220232024
Deprecation and amortization-67.42M-73.64M-82.28M-91.14M-134.52M-299.89M
Accumulated depreciation, total-454.26M-527.18M-608.64M-174.70M-555.14M-839.25M
Cash from operating activities-317.53M-520.41M-380.57M379.77M-5.69B-1.86B
Funds from operations330.95M496.38M662.82M596.64M1.02B1.80B
Net income (cash flow)264.60M427.91M583.22M599.85M736.16M1.45B
Depreciation & amortization (cash flow)67.42M73.64M82.28M91.14M134.52M299.89M
Depreciation/depletion67.42M73.64M82.28M91.14M134.45M298.87M
Amortization70.00K1.02M
Deferred taxes (cash flow)000000
Non-cash items-112.26M-143.44M-201.01M-310.54M-220.59M-600.29M
Changes in working capital-648.47M-1.02B-1.04B-216.87M-6.71B-3.66B
Cash from investing activities-207.84M-366.89M-191.48M-467.47M-4.96B-4.46B
Capital expenditures-211.43M-393.75M-193.27M-464.84M-5.10B-4.63B
Capital expenditures - fixed assets-210.05M-163.52M-188.56M-464.84M-5.10B-4.63B
Capital expenditures - other assets-1.38M-230.23M-4.71M0-38.42M
Cash from financing activities526.05M890.59M569.68M90.43M10.67B6.31B
Free cash flow-527.58M-683.92M-569.13M-85.07M-10.79B-6.48B