Cash flow Refex Renewables & Infrastructure Limited
Stocks
SUNEDISON
INE332F01018
Renewable Energy Equipment & Services
|
Market Closed -
Bombay S.E.
06:02:23 2026-08-17 EDT
|
5-day change | 1st Jan Change | ||
| 330.75 INR | +0.99% |
|
+0.99% | +8.04% |
| Fiscal Period: March | 2016 | 2017 | 2018 | 2019 | 2020 | 2021 | 2022 | 2023 | 2024 | 2025 |
|---|---|---|---|---|---|---|---|---|---|---|
Net Income | -277M | -325M | -234M | -247M | -363M | |||||
Depreciation & Amortization - CF | 148M | 169M | 159M | 175M | 180M | |||||
Amortization of Goodwill and Intangible Assets - (CF) | 750K | 741K | 740K | 742K | 524K | |||||
Depreciation & Amortization, Total | 148M | 170M | 160M | 176M | 180M | |||||
Amortization of Deferred Charges, Total - (CF) | 431K | 517K | 456K | 230K | 59K | |||||
(Gain) Loss From Sale Of Asset | - | -50.37M | -21M | - | - | |||||
(Gain) Loss on Sale of Investments - (CF) | - | - | - | - | - | |||||
Asset Writedown & Restructuring Costs | 108M | 51.76M | 55.55M | 367K | - | |||||
Stock-Based Compensation (CF) | - | - | - | 6.69M | 5.09M | |||||
Provision and Write-off of Bad Debts | 36.89M | 83.49M | 67.71M | 15.27M | 13.84M | |||||
Other Operating Activities, Total | -101M | 112M | 224M | 504M | 498M | |||||
Change In Accounts Receivable | -183M | -55.85M | -94.28M | 552M | -1.98M | |||||
Change In Inventories | 8.14M | -39.38M | -55.27M | 68.48M | -5.36M | |||||
Change In Accounts Payable | -40.67M | 844M | -894M | -24.06M | -23.42M | |||||
Change in Other Net Operating Assets | -165M | 50.62M | 244M | 152M | -33.36M | |||||
Cash from Operations | -464M | 843M | -546M | 1.2B | 270M | |||||
Capital Expenditure | -397M | -2.33B | -725M | -156M | -130M | |||||
Sale of Property, Plant, and Equipment | - | 2.61M | - | - | - | |||||
Cash Acquisitions | - | - | - | - | -205M | |||||
Divestitures | - | - | 561K | - | - | |||||
Investment in Marketable and Equity Securities, Total | - | -94.73M | -24.04M | -1.9M | -82.45M | |||||
Other Investing Activities, Total | -225M | 839M | 16.49M | 12.59M | 17.3M | |||||
Cash from Investing | -622M | -1.59B | -732M | -145M | -400M | |||||
Long-Term Debt Issued, Total | 379M | 674M | 1.45B | - | 477M | |||||
Total Debt Issued | 379M | 674M | 1.45B | - | 477M | |||||
Long-Term Debt Repaid, Total | -873K | - | - | -552M | - | |||||
Total Debt Repaid | -873K | - | - | -552M | - | |||||
Issuance of Common Stock | - | 204M | - | - | 2.1M | |||||
Issuance of Preferred Stock | 931M | - | - | - | - | |||||
Preferred Dividends Paid | - | - | - | -192K | - | |||||
Common & Preferred Stock Dividends Paid | - | - | - | -192K | - | |||||
Other Financing Activities, Total | -121M | -140M | -205M | -514M | -303M | |||||
Cash from Financing | 1.19B | 739M | 1.25B | -1.07B | 177M | |||||
Miscellaneous Cash Flow Adjustments | 1 | -1.36M | -4M | - | -1K | |||||
Net Change in Cash | 102M | -5.52M | -33.86M | -5.51M | 46.93M | |||||
Supplemental Items | ||||||||||
Cash Interest Paid | 121M | 140M | 205M | 514M | 303M | |||||
Cash Income Tax Paid (Refund) | 30.6M | 22.53M | 10.43M | 37.36M | 8.85M | |||||
Levered Free Cash Flow | -913M | -1.34B | -1.33B | 233M | -173M | |||||
Unlevered Free Cash Flow | -826M | -1.22B | -1.15B | 492M | 95.14M | |||||
Change In Net Working Capital | 397M | -1.08B | 539M | -369M | 45.48M | |||||
Net Debt Issued / Repaid | 378M | 674M | 1.45B | -552M | 477M |
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