08 Nov, EOD - Indian

SENSEX 79486.32 (-0.07)

Nifty 50 24148.2 (-0.21)

Nifty Bank 51561.2 (-0.68)

Nifty IT 42050.15 (0.71)

Nifty Midcap 100 56352 (-1.33)

Nifty Next 50 69774.2 (-1.23)

Nifty Pharma 22542.25 (0.07)

Nifty Smallcap 100 18445.6 (-1.70)

08 Nov, EOD - Global

NIKKEI 225 39500.37 (0.30)

HANG SENG 20728.19 (-1.07)

S&P 6006.52 (0.48)

LOGIN HERE

SPML Infra Ltd

You are Here : Home > Markets > Company Information > Cash Flow
BSE Code : 500402 | NSE Symbol : SPMLINFRA | ISIN : INE937A01023 | Industry : Infrastructure Developers & Operators |


Cash Flow
Particulars (₹ Cr)Mar 2024Mar 2023Mar 2022Mar 2021Mar 2020
Cash and Cash Equivalents at Begining of the year18.1839.4337.9719.287.46
Net Cash from Operating Activities489.8973.4729.33-272.10-133.31
Net Cash Used In Investing Activities25.38-23.6413.3515.2178.26
Net Cash Used In Financing Activities-306.72-71.08-41.23275.5966.86
Net Inc/(Dec) In Cash And Cash Equivalent208.55-21.251.4518.7011.81
Cash And Cash Equivalents At End Of The Year226.7318.1839.4337.9719.28