Real Estate & Construction » Real Estate | Kamanwala Housing Construction Ltd.

Kamanwala Housing Construction Ltd. | Cash Flow

Fiscal year is April-March. All values INR Thousands.
2014
2015
2016
2017
2018
Net Income before Extraordinaries
18,521.30
21,742.60
107,878.00
1,064.70
-
Depreciation, Depletion & Amortization
2,191.20
3,002.20
2,868.80
2,804.30
-
Other Funds
21,842.00
5,557.30
13,218.00
185.50
-
Funds from Operations
98,084.70
9,473.00
128,988.10
6,141.20
3,931.00
Changes in Working Capital
41,954.00
2,438.10
142,161.50
371,890.70
-
Net Operating Cash Flow
140,038.60
11,911.10
13,173.50
365,749.40
-
Capital Expenditures
1,387.40
262.20
1,432.80
-
-
Sale of Fixed Assets & Businesses
-
121.90
82,388.60
5,000.00
-
Purchase/Sale of Investments
27,775.50
19,219.90
29,856.60
10,169.30
-
Net Investing Cash Flow
29,162.90
19,360.20
110,812.40
15,169.30
-
Issuance/Reduction of Debt, Net
158,788.90
4,140.40
128,573.20
402,417.30
-
Net Financing Cash Flow
180,631.00
1,416.90
115,355.20
402,231.80
-
Net Change in Cash
11,429.50
6,032.10
8,630.60
21,313.10
-
Free Cash Flow
141,426.00
11,649.00
11,740.60
365,749.40
-

About Kamanwala Housing Construction

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Address
405/406, New Udyog Mandir-2
Mumbai Maharashtra 400016
India
Employees -
Website -
Updated 09/14/2018
Kamanwala Housing & Construction Ltd. engages in construction and development of residential flats, commercial premises, and industrial galas. The company was founded by Murari Lal Gupta, Atul Attarsen Jain, and Jaipal Attarsen Jain on April 12, 1984 and is headquartered in Mumbai, India. .