Cash Flow Statement Examples2
Cash Flow Statement Examples2
Income Statement
Revenue 4,771.21
Costs of Sales 3,706.22
Gross Profit 1,064.99
Admin expenses 97.89
Dist Exp 114.73
Employee benefits expenses 27.63
Other Exp 12.39
Operating Profit/ (loss) 812.35
Finance Expenses 286.05
Finance Income 13.89
Extraordinary income 2.75
Profit / (loss) Before Tax 542.94
Income Tax 146.20
Profit / (loss) for the Period 396.74
Dividend paid (90.59)
Depreciation 281.32
New loans/(Repaid) 1,646.52
Stock Issuance -
Tax Rate 0.26927
Net Income 396.74
After tax net interest expense (income) 198.87
Net CF from (investment in) operating WC (2,159.86)
Other Items
Non-operating Loss (Income) after Tax (2.01)
Depreciation 281.32
Deferred Liabilities 12.39
Amortization and others
Cash Flow from Operations (1,272.55)
(Purchase) Sale of Investments (43.31)
Net (investment in) liquidation of PPE (943.70)
Net (investment in) liquidation of Oth.Assets 448.99
Cash Flow from Investment Activities (538.02)
Free CF available to debt and equity (1,810.57)
After-tax net interest (expense) or income (198.87)
Net debt (repayment) or issuance 1,646.52
Free CF available to equity (362.92)
Dividend (payment) (90.59)
Net stock (repurchase) or issuance -
Increase (decrease) in cash balance before Non-op. Items (453.51)
Non-operating Income (Loss) after Tax 2.01
Net Increase (decrease) in Cash Balance (451.50)
Beginning Cash Balance 932.64
Ending Cash Balance 481.14
(0.00)
2014 2015
Fixed Assets 22,550,409,994 27,458,927,028
Investment in Subsidiary 8,314,827,766 14,944,655,977
Total Non Current Assets 30,865,237,760 42,403,583,005
Cash and Cash Equivalents 58,952,845 314,001,654
Inventory 2,406,572,933 2,820,676,850
Account Receivable 26,259,344,971 27,398,224,199
Advance Deposits & Prepayment 35,889,780,788 43,898,468,391
Total Current Assets 64,614,651,537 74,431,371,094
Total Assets 95,479,889,297 116,834,954,099
Dividend paid -
(Purchase) Disposal of PPE -490,065,063
Depreciation Expense 1,256,389,654
(Acquisition)/ Disposal of Investments (6,629,828,211)
Net Stock Issuance 8,875,363,815
long term loan /(repaid) 22,522,625,841
Short term loans/(Repaid) (14,604,534,954)
tax rate
4,908,517,034
4,418,451,971
Net Income
After tax net interest expense (income)
Net CF from (investment in) operating WC
Items not affecting cash
Cumulative effect of accounting change
Depreciation
Deferred Income taxes & Other op. accruals
Amortization and others
6,010 6,890
26,830 36,535
17,602 15,892
50,442 59,317
9,343 31,866
- 1,172
- 2,064
9,343 35,102
6,727 8,053
28,968 14,363
35,695 24,480
45,038 57,518
95,480 116,835
22,161 34,490
15,155 22,517
7,006 11,973
884 1,374
6,122 10,599
5,433 9,276
33 67
657 1,256
18 174
639 1,081.68
-
(490.07)
1,256.39
(6,629.83)
8,875.36
22,522.63
(14,604.53)
0.1389
1,081.68
7,987.99
(8,236.22)
1,256.39
1,171.73
3,261.57
(6,629.83)
(490.07)
(3,858.32)
(7,987.99)
7,918.09
(3,928.22)
-
8,875.36
4,947.14
58.95
5,006.10
-489,375,063
233,417,722