TAAL Enterprises Ltd — Results, 03-06-2025: Result
03-06-2025 | 12:57 pm
03-06-2025 | 12:57 pm
TAAL Enterprises Limited has submitted a revised audited consolidated cash flow statement for the quarter and year ended March 31, 2025, correcting clerical errors noticed after the initial filing. The standalone audited financial results remain unchanged. The revised cash flow shows net cash from operating activities at ₹4,102.40 lakhs, cash used in investing activities at ₹3,304.24 lakhs, and cash used in financing activities at ₹1,137.62 lakhs, resulting in a net decrease in cash and cash equivalents of ₹339.44 lakhs. This correction ensures more accurate financial reporting for stakeholders.
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