SPML Infra Profit & Loss Annual

Trade
BSE: 500402 | NSE: SPMLINFRA | ISIN: INE937A01023 | Sector: Construction Services
195.00 +6.00 (3.17%)Updated : 25 Nov 2024
Fiscal Period2024202320222021
Period End DateMar 24Mar 23Mar 22Mar 21
Revenue 1,318.97883.14951.77682.85
Total Revenue 1,318.97883.14951.77682.85
Costof Revenue Total 1,019.92770.58840.53554.09
Gross Profit 299.05112.56111.24128.77
Selling/ General/ Admin Expenses Total 168.6949.1858.7685.28
Depreciation/ Amortization 2.373.194.015.56
Unusual Expense( Income) 8.832.565.7613.85
Other Operating Expenses Total 78.3323.9523.4532.00
Total Operating Expense 1,278.13849.47932.52690.76
Operating Income 40.8433.6819.26-7.91
Interest Inc( Exp) Net- Non- Op Total -516.08-463.64-247.35-560.23
Other Net 9.7215.583.5552.85
Net Income Before Taxes -1.052.89-1.93-11.08
Provisionfor Income Taxes 1.382.59-1.12-4.53
Net Income After Taxes -2.430.31-0.81-6.56
Minority Interest -5.360.050.460.55
Equity In Affiliates 8.230.326.67-44.35
Net Income Before Extra Items -6.970.390.32-10.44
Net Income -6.970.390.32-117.21
Income Availableto Com Excl Extra Ord -6.970.390.32-10.44
Income Availableto Com Incl Extra Ord -6.970.390.32-117.21
Dilution Adjustment 0.00---
Diluted Net Income -6.970.390.32-117.21
Diluted Weighted Average Shares 4.904.813.733.67
Diluted EPS Excluding Extra Ord Items -1.420.080.09-2.85
Diluted Normalized EPS -0.250.431.09-0.39
Total Extraordinary Items --0.00-106.76
Gain( Loss)on Saleof Assets ---0.00
*All figures in crores except per share values
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