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Pix Transmission Ltd

NSE: PIXTRANS BSE: 500333

1451.80

(0.46%)

Tue, 03 Mar 2026, 01:06 pm

Pix Transmission Cashflow

Particulars20052006200720082009201020112012201320142015201620172018201920202021202220232024
Deprecation and amortization-76.68M-85.48M-114.06M-125.65M-148.26M-200.51M-202.85M-133.50M-135.51M-128.38M-130.75M-133.60M-146.70M-158.47M-188.03M-199.69M-207.48M-233.47M-229.57M-235.71M
Accumulated depreciation, total-380.63M-463.77M-575.77M-699.26M-845.81M-1.04B-1.25B-652.18M-771.39M-882.04M-987.46M-1.11B-1.24B-1.38B-1.52B-1.62B-1.79B-1.98B-2.15B-2.34B
Cash from operating activities68.70M17.21M-15.42M-240.39M278.67M224.94M51.07M1.26B292.74M125.72M472.82M91.80M357.20M308.64M499.60M515.90M490.89M1.05B1.33B1.06B
Funds from operations98.64M117.83M141.67M134.91M145.66M224.64M210.56M1.61B196.76M192.92M227.85M259.00M385.30M414.73M455.26M869.07M944.22M898.60M1.07B1.40B
Net income (cash flow)18.05M14.11M15.07M-39.87M-2.29M19.01M6.20M1.06B75.22M39.10M65.36M162.47M225.60M285.66M302.35M648.96M688.43M648.18M829.88M1.13B
Depreciation & amortization (cash flow)76.47M85.48M113.92M125.34M147.95M200.20M202.54M133.19M135.19M128.07M130.43M133.60M146.70M158.47M188.03M199.69M207.48M233.47M229.57M235.71M
Depreciation/depletion76.47M85.40M113.92M125.34M147.95M199.59M202.54M133.19M128.67M113.58M115.09M121.70M136.30M153.29M185.95M197.83M205.87M232.16M223.63M223.00M
Amortization71.22K611.00K06.52M14.49M15.34M11.90M10.40M5.17M2.08M1.86M1.61M1.31M5.94M12.71M
Deferred taxes (cash flow)0000000
Non-cash items421.23K-9.50M2.00M49.52M-28.84M-19.87M01.37B-4.05M00-119.40M-100.20M-122.58M-106.68M-204.03M-209.07M-199.95M-263.84M-365.72M
Changes in working capital-29.94M-100.62M-157.09M-375.29M133.01M296.00K-159.50M-354.46M95.98M-67.20M244.97M-167.20M-28.10M-106.10M44.33M-353.17M-453.32M155.52M258.93M-330.67M
Cash from investing activities-134.04M-348.93M-286.66M-580.26M-403.43M-280.46M-203.86M442.77M-607.42M-292.75M-257.80M-122.90M-160.40M-354.53M-294.03M-180.67M-735.35M-231.51M-889.64M-795.15M
Capital expenditures-136.71M-351.07M-304.84M-581.88M-812.30M-281.03M-206.93M-415.30M-568.13M-384.36M-255.29M0-235.80M-381.92M-306.21M-251.75M-711.01M-246.59M-265.06M-209.13M
Capital expenditures - fixed assets-136.71M-351.07M-304.84M-580.45M-812.30M-281.03M-206.93M-405.87M-519.86M-384.09M-255.29M-165.58M-235.80M-381.92M-306.21M-251.18M-708.54M-237.83M-219.11M-208.86M
Capital expenditures - other assets000-1.43M000-9.43M-48.27M-268.00K000-577.00K-2.48M-8.76M-45.95M-274.00K
Cash from financing activities84.08M340.21M330.07M818.06M107.63M79.62M152.50M-1.46B185.38M130.62M-137.16M24.60M-266.00M45.97M-169.61M-350.53M387.71M-612.80M-410.65M-234.75M
Free cash flow-68.01M-333.87M-320.26M-820.84M-533.62M-56.09M-155.86M851.38M-227.11M-258.37M217.54M45.79M121.40M-73.29M193.39M264.72M-217.65M816.29M1.11B855.62M

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Pocketful Fintech Capital Private Limited (CIN U65999DL2021PTC390548) | The SEBI Registration No. allotted to us is INZ000313732. NSE Member Code: 90326 | BSE Member Code: 6808 | MCX Member Code: 57120 DP | CDSL: 12099800