Jalco Ltd. provided the following information, Calculate Net Cash Flow from Financing Activities:
Jalco Ltd. provided the following information, Calculate Net Cash Flow from Financing Activities:
Particulars | 31st March, 2023 (₹) |
31st March, 2022 (₹) |
Equity Share Capital 12% Debentures |
12,00,000 2,00,000 |
10,00,000 1,00,000 |
Additional Information:
Interest paid on debentures ₹ 19,000.
Dividend paid in the year ₹ 50,000.
During the year, Jalco Ltd. issued bonus shares in the ratio of 5 :1 by capitalising reserve.
[Ans.: Cash flow from Financing Activities = ₹ 31,000.]
Anurag Pathak Changed status to publish August 28, 2023