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EURO PRATIK SALES
Cashflow Statement

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EURO PRATIK SALES Last 5 Year Cashflow Statement History

[Consolidated]

Mar2025Mar2024
Profit Before Tax₹99 Cr₹85 Cr
Adjustment ₹11 Cr₹-1.61 Cr
Changes In working Capital ₹-115 Cr₹13 Cr
Cash Flow after changes in Working Capital ₹-3.86 Cr₹96 Cr
Cash Flow from Operating Activities ₹-31 Cr₹75 Cr
Cash Flow from Investing Activities ₹36 Cr₹-28 Cr
Cash Flow from Financing Activities ₹-1.88 Cr₹-42 Cr
Net Cash Inflow / Outflow ₹3.52 Cr₹4.20 Cr
Opening Cash & Cash Equivalents ₹10 Cr₹6.26 Cr
Cash & Cash Equivalent on Amalgamation / Take over / Merger --
Cash & Cash Equivalent of Subsidiaries under liquidations --
Translation adjustment on reserves / op cash balalces frgn subsidiaries --
Effect of Foreign Exchange Fluctuations --
Closing Cash & Cash Equivalent ₹14 Cr₹10 Cr

Compare Cashflow Statement of peers of EURO PRATIK SALES

Peers & Returns Market Capitalization 1 Week 1 Month 1 Year
EURO PRATIK SALES ₹3,177.4 Cr -1% 12.1% NA Stock Analytics
GREENLAM INDUSTRIES ₹6,377.4 Cr -2.9% -3.7% 1.3% Stock Analytics
STYLAM INDUSTRIES ₹5,515.9 Cr -1% 0.2% 100.4% Stock Analytics
RUSHIL DECOR ₹455.1 Cr -3.7% -11.8% -45.4% Stock Analytics
THE WESTERN INDIAN PLYWOODS ₹138.2 Cr -5.5% 6% 7.9% Stock Analytics
AIRO LAM ₹133.7 Cr 0.1% 2% -19.5% Stock Analytics


EURO PRATIK SALES Share Price vs Sensex

Share Price Returns(%) 1 Week 1 Month 1 Year
EURO PRATIK SALES

-1%

12.1%

NA
SENSEX

0.6%

1.2%

-7.8%


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