Reliance Industries Limited Cash Flow Statement For The Year 20 13-14
- Reliance Industries Limited's cash flow statement for 2013-14 shows a net decrease in cash and cash equivalents of 16,323 crore.
- Net cash from operating activities was 42,160 crore. Net cash used in investing activities was 64,013 crore which included purchases of investments, fixed assets, and fixed deposits.
- Net cash from financing activities was 5,530 crore which included proceeds from long term borrowings, short term borrowings, issuance of share capital, and payments of dividends and interest.
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Reliance Industries Limited Cash Flow Statement For The Year 20 13-14
- Reliance Industries Limited's cash flow statement for 2013-14 shows a net decrease in cash and cash equivalents of 16,323 crore.
- Net cash from operating activities was 42,160 crore. Net cash used in investing activities was 64,013 crore which included purchases of investments, fixed assets, and fixed deposits.
- Net cash from financing activities was 5,530 crore which included proceeds from long term borrowings, short term borrowings, issuance of share capital, and payments of dividends and interest.
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Reliance Industries Limited
170 Annual Report 2013-14 Growth is Life...
Reliance Industries Limited
Cash Flow Statement for the year 2013-14 (` in crore)
2013-14 2012-13
A: CASH FLOW FROM OPERATING ACTIVITIES:
Net Profit before tax as per Statement of Profit and Loss 27,818 26,284 Adjusted for: Net Prior Year Adjustments - 3 Write off of investment 25 - Loss on Sale / Discard of Assets (net) 44 34 Depreciation and Amortisation Expense 8,789 9,465 Effect of Exchange Rate Change 2,739 1,039 Net gain on Sale of Investments (2,348) (1,658) Dividend Income (91) (77) Interest Income (6,472) (6,245) Finance Costs 3,206 3,036 5,892 5,597 Operating Profit before Working Capital Changes 33,710 31,881 Adjusted for: Trade and Other Receivables 413 5,594 Inventories (203) (6,086) Trade and Other Payables 14,305 6,274 14,515 5,782 Cash Generated from Operations 48,225 37,663 Net Prior Year Adjustments - (3) Taxes Paid (net) (6,065) (4,665) Net Cash from Operating Activities 42,160 32,995 B: CASH FLOW FROM INVESTING ACTIVITIES: Purchase of Fixed Assets (32,456) (15,944) Sale of Fixed Assets 57 33 Purchase of Investments (7,78,343) (4,79,071) Sale / Redemption of Investments 7,47,111 4,81,203 Movement in Loans and Advances (3,911) (7,546) Investment in fixed deposits (3,400) - Interest Income 6,838 6,451 Dividend Income 91 77 Net Cash (used in) Investing Activities (64,013) (14,797) 02-33 34-164 165-270 271-284 Company Overview Statutory Reports Financial Statements Shareholders' Referencer 171
Cash Flow Statement for the year 2013-14 (Continued)
(` in crore)
2013-14 2012-13
C: CASH FLOW FROM FINANCING ACTIVITIES:
Proceeds from Issue of Share Capital 183 12 Share Application Money 17 25 Buyback of Equity Shares - (3,087) Proceeds from Long Term Borrowings 20,500 10,262 Repayment of Long Term Borrowings (19,672) (10,306) Short Term Borrowings (net) 11,648 1,274 Dividends Paid (including dividend distribution tax) (3,093) (2,924) Interest Paid (4,053) (3,505) Net Cash Generated from / (used in) Financing Activities 5,530 (8,249) Net (Decrease)/ Increase in Cash and Cash Equivalents (16,323) 9,949 Opening Balance of Cash and Cash Equivalents 49,547 39,598 Add: On Amalgamation ` NIL (Previous Year - - ` 16,96,263) (Refer Note No. 33) Closing Balance of Cash and Cash Equivalents 33,224 49,547 (Refer Note No. 15)
As per our Report of even date For and on behalf of the Board
M.D. Ambani - Chairman & Managing Director
For Chaturvedi & Shah For Deloitte Haskins & Sells LLP For Rajendra & Co. N.R. Meswani Chartered Accountants Chartered Accountants Chartered Accountants H.R. Meswani P.M.S. Prasad Executive Directors P. K. Kapil M.L. Bhakta D. Chaturvedi A. B. Jani A.R. Shah Y.P. Trivedi Partner Partner Partner Dr. D.V. Kapur M.P. Modi Prof. Ashok Misra Directors Prof. Dipak C. Jain Mumbai Alok Agarwal K. Sethuraman Dr. R.A. Mashelkar Date : April 18, 2014 Chief Financial Officer Company Secretary Adil Zainulbhai