Suzlon Energy Ltd
NSE:SUZLON

Watchlist Manager
Suzlon Energy Ltd Logo
Suzlon Energy Ltd
NSE:SUZLON
Watchlist
Price: 65.22 INR -0.17% Market Closed
Market Cap: 890B INR
Have any thoughts about
Suzlon Energy Ltd?
Write Note

Cash Flow Statement

Cash Flow Statement
Suzlon Energy Ltd

Rotate your device to view
Cash Flow Statement
Currency: INR
Mar-2011 Sep-2018 Mar-2019 Sep-2019 Mar-2020 Sep-2020 Mar-2021 Sep-2021 Mar-2022 Sep-2022 Mar-2023 Sep-2023 Mar-2024 Sep-2024
Operating Cash Flow
Net Income
(8 783)
(12 045)
(15 430)
(14 516)
(26 840)
(12 961)
1 050
(1 780)
4
24 996
28 917
6 042
6 595
9 601
Depreciation & Amortization
6 574
1 721
3 419
3 191
4 186
4 091
2 584
2 378
2 598
2 621
2 597
2 439
1 896
1 841
Other Non-Cash Items
14 184
12 749
15 642
10 798
19 388
9 625
3 132
8 762
8 752
(16 020)
(21 266)
1 378
3 118
2 175
Cash Taxes Paid
575
44
(97)
(136)
76
(118)
(134)
76
(94)
38
149
70
203
(45)
Cash Interest Paid
11 323
5 513
11 026
8 704
4 435
3 428
4 088
3 562
3 216
4 503
4 253
2 156
1 071
518
Change in Working Capital
392
5 906
9 037
(290)
(6 025)
(5 429)
(1 460)
1 633
1 659
(2 402)
(5 339)
(9 707)
(10 814)
(4 836)
Cash from Operating Activities
12 367
N/A
8 330
-33%
12 667
+52%
(817)
N/A
(9 291)
-1 037%
(4 675)
+50%
5 305
N/A
10 993
+107%
13 013
+18%
9 195
-29%
4 909
-47%
152
-97%
795
+421%
8 781
+1 005%
Investing Cash Flow
Capital Expenditures
(8 227)
(1 713)
(2 826)
(1 747)
(1 005)
(635)
(519)
(612)
(767)
(1 015)
(1 007)
(1 231)
(2 274)
(3 055)
Other Items
(49)
377
4 077
4 134
680
388
282
500
583
1 199
1 856
1 512
758
(3 326)
Cash from Investing Activities
(8 277)
N/A
(1 336)
+84%
1 252
N/A
2 388
+91%
(325)
N/A
(248)
+24%
(237)
+4%
(110)
+54%
(184)
-67%
183
N/A
849
+364%
281
-67%
(1 516)
N/A
(6 381)
-321%
Financing Cash Flow
Net Issuance of Common Stock
10
0
0
0
0
0
3 422
0
0
0
10 797
31 373
20 652
279
Net Issuance of Debt
7 219
(6 086)
(7 958)
6 631
14 127
5 846
(2 599)
(6 588)
(7 234)
(5 479)
(13 633)
(29 299)
(18 265)
(602)
Cash Paid for Dividends
(84)
0
0
0
0
0
0
0
0
0
0
0
0
0
Other
(11 789)
(5 513)
(11 026)
(8 704)
(4 435)
(6)
(4 088)
(6 984)
(3 216)
(4 503)
(4 253)
(2 152)
(1 071)
3 596
Cash from Financing Activities
(4 644)
N/A
(11 599)
-150%
(18 983)
-64%
(2 072)
+89%
9 692
N/A
5 840
-40%
(3 266)
N/A
(10 150)
-211%
(10 450)
-3%
(9 983)
+4%
(7 089)
+29%
(77)
+99%
1 316
N/A
3 273
+149%
Change in Cash
Effect of Foreign Exchange Rates
20
0
0
0
0
0
0
0
0
0
0
0
0
0
Net Change in Cash
(534)
N/A
(4 605)
-762%
(5 064)
-10%
(501)
+90%
76
N/A
917
+1 107%
1 802
+97%
733
-59%
2 379
+225%
(605)
N/A
(1 331)
-120%
356
N/A
595
+67%
5 673
+853%
Free Cash Flow
Free Cash Flow
4 140
N/A
6 617
+60%
9 841
+49%
(2 564)
N/A
(10 296)
-302%
(5 310)
+48%
4 786
N/A
10 381
+117%
12 246
+18%
8 180
-33%
3 902
-52%
(1 079)
N/A
(1 479)
-37%
5 726
N/A

See Also

Discover More