Godrej Consumer Products Ltd. | GODREJCP | NSE - Personal care


INR in Million. Fiscal year ends in March. Figures are consolidated and restated..

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2017
2018
2019
2020
2021
Net Income
Net Income
16,871
18,593
18,328
18,415
20,804
Cash flow Operating Act...
Cash flow Operating Activities
18,05017,23417,28915,88120,296
Investments in PPE
Investments in PPE
-1,803-3,115-2,077-1,520-1,639
Cash flow Investing Act...
Net cash used for Investment Activities
-21,698-3,3982,516-5,333-3,155
Dividend Paid
Dividend Paid
2,3577,37914,7869,8590
Cash flow Financing Act...
Net cash provided by Financing Activities
6,647-13,840-20,387-12,953-18,162
Cash at beginning of period
Cash at beginning of period
6,1268,9518,9808,6226,029
Cash at end of period
Cash at end of period
8,9518,9808,6226,0295,241
Free Cash Flow
Free Cash Flow
16,247
14,119
15,211
14,361
18,658