Refresh

SRM Contractors Ltd. - Research Center

544158 SRM Group (B) BSE data
Back to Company

Results

Statement

More

Cash Flow
(Rs crore)
Mar ' 25 Mar ' 24 Mar ' 23 Mar ' 22 Mar ' 21

Profit before tax

66.92 - 25.05 22.86 10.32

Net cashflow-operating activity

1.08 - 21.35 5.56 13.79

Net cash used in investing activity

-46.02 - -22.76 -3.30 -14.84

Netcash used in fin. activity

78.60 - 5.42 -1.89 5.99

Net inc/dec in cash and equivlnt

33.66 - 4.01 0.37 4.94

Cash and equivalnt begin of year

59.29 - 15.70 15.33 10.39

Cash and equivalnt end of year

92.95 - 19.70 15.70 15.33
Sectoral Indices Market Indicators Listed Companies Gainers Losers Mutual Funds Portfolio Watchlist
© 2026 Rediff.com