Saif Textile Mills Limited announced audited cash flows results for the year ended June 30, 2018. For the year, the company reported cash generated from operating activities of PKR 872,082,000 against cash used in operating activities of PKR 172,628,000 for the same period prior year. Additions to property, plant and equipment was PKR 621,345,000 against PKR 220,624,000 for the same period prior year.