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Vesuvius India Ltd. Cash Flow Statement

NSE:VESUVIUS | REFRACTORIES

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Cash Flow Insights

Cash Conversion

0.74x

VESUVIUS's operating cash flow covered 74% of net income in FY 2024. Some earnings may be tied up in working capital.

Free Cash Flow

₹204.20M

VESUVIUS's free cash flow was ₹204.20M in FY 2024, up 148.0% from FY 2023.

Dividend Coverage

0.8x

VESUVIUS's free cash flow did not fully cover dividends in FY 2024. The company may be funding dividends from reserves or borrowings.

CapEx Intensity

92.1%

Capital expenditure consumed 92.1% of operating cash flow in FY 2024 for VESUVIUS, typical of capital-intensive industries.

2-year VESUVIUS cash flow snapshot

Hover the chart icon for YoY change.

FY 2023 - FY 2024
Item Chart 2023 2024
Net Income 2.85B 3.49B
Cash flow Operating Activities 823.80M 2.58B
Investments in PPE -1.25B -2.38B
Cash flow Investing Activities -369.80M -2.33B
Dividend Paid -167.60M -258.80M
Cash flow Financing Activities -175.40M -267.00M
Cash at beginning of period 1.32B 1.60B
Cash at end of period 1.60B 1.58B
Free Cash Flow -425.60M 204.20M

Values are shown in millions (M) and billions (B). All amounts are in Indian Rupees (₹).

Data from audited consolidated filings. For educational purposes only — not investment advice. Last update: Dec-2024