LIC Cashflow
BSE:543526 | NSE:LICIEQ | IND:Insurance - Life | ISIN code:INE0J1Y01017 | SECT:Financial Services
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The Cash Flow Statement of Life Insurance Corporation of India presents the key Cash Flow ratios, its comparison with the sector peers and 5 years of Cash Flow Statement.
Cash Flow Margin
3.3%
PEER RANGE
Cash Flow Solvency
.0%
PEER RANGE
Cash Flow ROA
34.8%
PEER RANGE
Cash Flow | |||||
Rs (in Crores) | |||||
Particulars | Mar'24 | Mar'23 | Mar'22 | Mar'21 | Mar'20 |
Profit Before Tax | 475797.74 | 473770.67 | 426995.36 | 407534.71 | 375994.12 |
Net Cash Flow from Operating Activity | 28484.36 | 59718.01 | -3135.49 | 55723.07 | 74768.69 |
Net Cash Used in Investing Activity | -27702.65 | -58196.10 | 10485.93 | -54185.87 | -85762.59 |
Net Cash Used in Financing Activity | -4427.20 | -948.59 | .00 | .00 | -2608.25 |
Net Inc/Dec In Cash and Cash Equivalent | -3645.49 | 573.32 | 7350.44 | 1537.20 | -13602.15 |
Cash and Cash Equivalent - Beginning of the Year | 38357.02 | 37871.79 | 30224.56 | 28796.76 | 42225.86 |
Cash and Cash Equivalent - End of the Year | 34711.53 | 38445.11 | 37574.99 | 30333.96 | 28623.71 |
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Cash Flow Statement
Half Yearly Results
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