Corporate Information Cash Flow
SPML Infra Ltd Industry : Construction
BSE Code:500402NSE Symbol:SPMLINFRAP/E(TTM):29.34
ISIN Demat:INE937A01023Div & Yield %:0EPS(TTM):6.48
Book Value (Rs ):121.1005512Market Cap (Rs Cr.):1456.19Face Value(Rs):2
Change Company Go
YearMar 2025
( In Cr)
Mar 2024
( In Cr)
Mar 2023
( In Cr)
Mar 2022
( In Cr)
Mar 2021
( In Cr)
Cash and Cash Equivalents at Begining of the year226.7318.1839.4337.9719.28
Net Cash from Operating Activities-36.28489.8973.4729.33-272.1
Net Cash Used In Investing Activities-103.0925.38-23.6413.3515.21
Net Cash Used In Financing Activities41.94-306.72-71.08-41.23275.59
Net Inc/Dec In Cash And Cash Equivalents-97.43208.55-21.251.4518.7
Cash And Cash Equivalents At End Of The Year129.3226.7318.1839.4337.97