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CASH FLOW STATEMENT FOR THE YEAR ENDED JUNE 30, 2006
( Rested )
Note     2006   2005
---------- (Rupees in '000) -------
 
CASH GENERATED FROM OPERATIONS
 
Cash generated from operating activities 35   9,226,394   6,262,983
Decrease in long-term loans, advances and receivables     139,273   142,921
Decrease/(increase) in long-term deposits and prepayments     12,442   (33,970)
Taxes paid     (3,826,184)   (1,636,104)
Finance costs paid     (827,346)   (337,220)
Payment against provisions     (184,050)   (80,258)
Retirement benefits paid     (184,450)   (160,700)
Net cash inflow from operating activities     1,599,247   5,245,659
 
CASH FLOW FROM INVESTING ACTIVITIES
 
Purchase of fixed assets     (716,823)   (1,506,408)
Proceeds from disposal of fixed assets     261,863   12,087
Dividends received     291,143   274,753
Proceeds from liquidation of subsidiaries     24,657   -
Net cash outflow from investing activities (139,160)   (1,219,568)
 
CASH FLOW FROM FINANCING ACTIVITIES
 
Repayment of long-term loan     -   (4,753)
Proceeds from - long-term deposits     68,824   62,162
                        - short-term borrowings     216,000   534,000
Dividends paid     (4,389,267)   (3,616,669)
 
Net cash outflow from financing activities     (4,104,443)   (3,025,260)
Net (decrease)/increase in cash and cash equivalents     (2,644,356)   1,000,831
 
Cash and cash equivalents at beginning of the year     (191,669)   (1,192,500)
 
Cash and cash equivalents at end of the year 36   (2,836,025)   (191,669)
 
The annexed notes form an integral part of these financial statements.
 
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