Consumer Goods » Clothing | Sanblue Corp. Ltd.

Sanblue Corp. Ltd. | Cash Flow

Fiscal year is April-March. All values INR Thousands.
2014
2015
2016
2017
2018
Net Income before Extraordinaries
189.20
93.50
28,127.40
286.60
-
Depreciation, Depletion & Amortization
2.80
8.50
-
-
-
Other Funds
19.40
453.00
31,800.20
2,662.10
-
Funds from Operations
205.80
351.00
3,672.80
2,375.50
862.00
Changes in Working Capital
803.50
509.50
276.20
154.60
-
Net Operating Cash Flow
1,009.30
158.50
3,396.60
2,220.90
-
Purchase/Sale of Investments
-
5,059.10
4,574.60
10,028.40
-
Net Investing Cash Flow
-
5,059.10
4,574.60
3,345.00
-
Net Change in Cash
1,009.30
5,217.60
1,178.00
5,565.90
-
Free Cash Flow
1,009.30
158.50
3,396.60
2,220.90
-
Other Sources
-
-
-
6,683.40
-

About Sanblue Corp.

View Profile
Address
22/A, Goverment Servant Society
Ahmedabad Gujarat 380006
India
Employees -
Website http://www.sanbluecorporation.com
Updated 09/14/2018
Sanblue Corp. Ltd. engages in the provision of investment consulting services and wholesale of textile and fabrics. Its product portfolio includes fabrics, dress materials, man-made fibers, cotton fibers, textiles, yarns, steel, and chemicals. The company was founded on August 26, 1993 and is headquartered in Ahmedabad, India.