Cash Flow Statement

   31-Mar-11   31-Mar-10   31-Mar-09   31-Mar-08   31-Mar-07 
(Rupees in Cr.)
Cash and Cash Equivalents at
Beginning of the year
41.37 34.39 15.21 20.72 18.86
Net Cash from Operating Activities -2.31 7.01 29.18 -8.28 1.88
Net Cash Used in Investing Activities -3.09 -1.52 -14.38 -2.92 -4.57
Net Cash Used in Financing Activities -8.54 1.48 4.38 5.69 4.55
Net Inc/(Dec) in Cash and Cash Equivalent -13.94 6.98 19.18 -5.51 1.86
Cash and Cash Equivalents at End of the year 27.43 41.37 34.39 15.21 20.72