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Company Information

Operating, investing and financing cash flows.

Cash Flow

SRINIBAS PRADHAN CONSTRUCTIONS LTD.

NSE Code
SPCONSM
BSE Code
-
ISIN
INE0TPJ01019
Industry
Construction, Contracting & Engineering
Financial Data

Cash Flow

All amounts are in ₹ crore unless stated otherwise.

Showing Standalone data

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Five-year standalone Cash Flow for the selected company
ParticularsMar 26Mar 25Mar 24Mar 23Mar 22
Months1212121212
Source Of Info (AR = Annual Report, PR = Press Release)PRARARARAR
FaceValue10.0010.0010.0010.0010.00
Net Profit/Loss Before Extraordinary Items And Tax7.614.964.732.000.00
Net CashFlow From Operating Activities-6.670.912.770.330.00
Net Cash Used In Investing Activities-3.30-1.90-5.89-0.400.00
Net Cash Used From Financing Activities16.560.993.130.020.00
Net Inc/Dec In Cash And Cash Equivalents6.59-0.010.01-0.050.00
Cash And Cash Equivalents Begin of Year0.080.090.080.130.00
Cash And Cash Equivalents End Of Year6.670.080.090.080.00

Source: Financial statements as reported by the company.