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The standalone statement of cash flows for the year ended March 31, 2025, shows a net cash generated from operating activities of INR 1,614 crores, an increase from INR 1,379 crores in the previous year. Cash flows from investing activities resulted in a net outflow of INR 9,752 crores, primarily due to significant investments in mutual funds and subsidiaries. Financing activities generated a net inflow of INR 8,388 crores, largely from the issuance of equity shares.

Author
chantkumar99
Language
EN