GTL Infrastructure Ltd. reported audited consolidated cash flow results for the year ended March 31, 2016. For the year, the company reported net cash flow from operating activities of INR 4,491,127,128 against INR 5,213,153,229 a year ago. Purchase of Fixed Assets and Capital Work-in-progress was INR 850,678,147 against INR 344,131,205 a year ago.