Mahindra CIE Automotive Limited
Cash Flow

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Cash flow statement presents a set of outflows and inflows of cash within a company through operating, investing and financing activities. Over the last year, operating activities of Mahindra CIE Automotive Limited generated cash of $13,175,260,000, which is more than the previous year. Cash used in financing activities reached the amount of -$3,236,720,000 last year. Net change in cash is therefore $1,656,210,000.

Cash Flow

Mahindra CIE Automotive Limited (NSE:MAHINDCIE.NS): Cash Flow
2011 517.89M -566.6M -54.84M
2012 2.47B -1.57B -908.66M
2016 3.03B -8.30B 5.74B
2017 5.12B -3.08B -2.35B
2018 7.08B -10.18B 3.62B
2019 10.27B -5.90B -4.04B
2020 5.39B -4.29B -380M
2021 10.51B -7.55B -3.62B
2022 11.18B -6.39B -4.87B
2023 13.17B -9.47B -3.23B

MAHINDCIE.NS Cash Flow Statement (2011 โ€“ 2023)

2023 2022 2021 2020 2019 2018 2017 2016 2012 2011
Cash at beginning of period
731M1.64B2.38B1.59B1.24B719M981M501.5M183M286.54M
Operating activities
Net income
7.97B1.11B6.65B1.95B6.27B7.02B5.06B2.61B511.74M37.61M
Adjustments to reconcile net income to cash generated by operating activities:
Depreciation and amortization
3.22B3.53B3.43B3.06B3.16B2.89B2.73B2.32B1.14B1.20B
Stock-based compensation expense
081M21M02M14M63M59.9M00
Deferred income tax benefit 081M21M02M14M63M59.9M00
Changes in operating assets and liabilities:
Accounts receivable, net
2.29B-2.84B344M227M3.39B00000
Inventories
528.16M-1.80B-3.39B1.34B2.48B-2.75B-1.27B-110.3M-549.08M-692.22M
Accounts payable
-2.00B4.27B4.79B-227M-3.39B00000
Cash generated by operating activities
13.17B11.18B10.51B5.39B10.27B7.08B5.12B3.03B2.47B517.89M
Investing activities
Purchases Of Investments
-2.43B-1.41B-1.88B-1.37B-71M0-183M-10.78B85.52M0
Investments In Property Plant And Equipment
-5.30B-5.01B-5.26B-3.34B-4.23B-4.10B-3.10B-2.15B-1.66B-936.10M
Acquisitions Net
181.55M-53M-146M-7M-7.85B00-6.72B00
Cash generated by investing activities
-9.47B-6.39B-7.55B-4.29B-5.90B-10.18B-3.08B-8.30B-1.57B-566.6M
Financing activities
Common Stock Issued
6.53M36M10M030M57M66M4.52B441.75M0
Payments for dividends
-948.41M-948M00000000
Repurchases of common stock
000000000-748K
Repayments of term debt
00-2.78B-506M0000-919.69M0
Cash used in financing activities
-3.23B-4.87B-3.62B-380M-4.04B3.62B-2.35B5.74B-908.66M-54.84M
Net Change In Cash
1.65B-62M-740M796M343M528M-262M479.6M-8.45M-103.54M
Cash at end of period
2.38B1.58B1.64B2.38B1.59B1.24B719M981.1M174.54M183M
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