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The Financials page for Premier Explosives Ltd. shows its profit and loss account ratios, balance sheet, cash flow analysis, capital structure and quarterly, half yearly, nine monthly and annual financial reports.



Cash Flow for Premier Explosives Ltd.


(Rs in Cr)
Mar' 16 Mar' 15 Mar' 14 Mar' 13 Mar' 12
Profit Before Tax 11.00 7.62 12.96 7.44 16.59
Net CashFlow-Operating Activity 10.26 -1.90 6.09 0.04 9.85
Net Cash Used In Investing Activity -4.14 -3.41 -3.81 -7.48 -5.16
NetCash Used in Fin. Activity -2.70 5.34 -2.51 4.63 -1.88
Net Inc/Dec In Cash And Equivlnt 3.40 0.03 -0.24 -2.81 2.81
Cash And Equivalnt Begin of Year 0.28 0.25 0.49 3.30 0.49
Cash And Equivalnt End Of Year 3.67 0.28 0.25 0.49 3.30

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