Sitara Peroxide Limited reported audited cash flow results for the year ended June 30, 2018. For the year, the company reported net cash from operating activities was PKR 89,687,179 compared to PKR 53,328,823 a year ago. Purchase of property, plant and equipment was PKR 7,614,035 compared to PKR 32,489,621 a year ago. Return on equity negative was 19.96% compared to 25.84% a year ago. Return on capital employed negative was 2.38% compared to 4.84% a year ago. Net debt was PKR 837,234,369 compared to PKR 919,157,742 a year ago.