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CASH FLOW OF KARNATAKA BANK

IN RS. Crores

MARCH
2011

MARCH
2010

MARCH
2009

MARCH
2008

MARCH
2007

NET PROFIT BEFORE


TAX

235.45

193.05

406.15

343.54

273.04

Net Cash From Operating


Activities

-589.39

301.74

-53.02

902.32

7.01

Net Cash (used in)/from

-19.72

-31.47

-38.53

-30.40

-19.35

Net Cash (used in)/from


Financing Activities

789.63

74.54

-69.15

-49.18

-40.76

NET
(DECREASE)/INCREASE
IN CASH AND CASH
EQUIVALENTS

180.51

344.81

-160.70

822.73

-53.10

Opening Cash & Cash


Equivalents

1805.55

1460.74

1621.43

1161.51

1214.61

Closing Cash & Cash


Equivalents

1986.06

1805.55

1460.74

1984.25

1161.51

RAGAVENDRA.B
09MBI050

RAGAVENDRA.B
09MBI050

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