542376-BOM

SPA Capital Services Ltd.

Industry Group: Finance
203.30+0.0 (+0.00%)
24 Jul, 12:00 AM

Income Statement

Abridged
Understanding Income Statement
SPA Capital Services Ltd. income statement covering revenue, operating profit, EBITDA, PAT and EPS across annual and quarterly periods.
2020
Mar 31
2021
Mar 31
2022
Mar 31
2023
Mar 31
2024
Mar 31
2025
Mar 31
2026
Mar 31
Period length:
Source:
12M
AR
12M
AR
12M
AR
12M
AR
12M
AR
12M
AR
12M
PRESS
Total Revenue
32.0830.8816.3816.0221.0821.4127.81
Cost of Operating Revenue
-6.081.001.756.6012.4118.93
Total Operating Expenses
30.9831.2315.6315.4320.4420.1626.48
Operating Profit
1.09-0.350.750.590.641.241.32
Operating Margin
3.4-1.14.63.73.05.84.8
Financing Income/(Expense) - Net
-0.44-0.44-0.45-0.28-0.39-0.42-0.27
Profit before Taxes
0.69-0.710.340.350.190.801.01
Income Taxes
0.53-0.220.110.07-0.190.310.17
Profit after Tax
0.15-0.540.230.440.650.490.83
PAT Margin
0.5-1.81.42.73.12.33.0
EPS - Basic - ex Extraordinary Items
0.50-2.970.751.432.111.612.71
EPS - Diluted - ex Extraordinary Items
0.50-2.970.751.432.111.612.71
EBIT
1.09-0.350.750.590.641.241.32
EBITDA
1.49-0.030.950.760.771.431.71
EBITDA Margin
4.6-0.15.84.73.76.76.2

Balance Sheet

Abridged
Understanding Balance Sheet
SPA Capital Services Ltd. balance sheet covering assets, liabilities, equity and borrowings across annual and quarterly periods.
2020
Mar 31
2021
Mar 31
2022
Mar 31
2023
Mar 31
R
2024
Mar 31
2025
Mar 31
2026
Mar 31
Source:
AR
AR
AR
AR
AR
AR
PRESS
Property Plant & Equipment - Net
1.130.790.600.520.471.851.56
Total Assets
57.4143.5741.7742.1843.1140.8436.63
Long Term Debt
23.1217.0119.5621.7124.4721.8916.94
Total Liabilities
40.9328.0025.9725.9426.6023.8418.79
Total Shareholders' Equity
16.4815.5715.8016.2416.5117.0017.83
Total Equity
16.4815.5715.8016.2416.5117.0017.83
Total Liabilities & Equity
57.4143.5741.7742.1843.1140.8436.63
Total Current Assets
3.29------
Total Current Liabilities
17.81------

Cash Flow

Abridged
Understanding Cash Flow Statement
SPA Capital Services Ltd. cash flow statement covering operating, investing and financing activities across annual and quarterly periods.
2020
Mar 31
2021
Mar 31
2022
Mar 31
2023
Mar 31
C
2024
Mar 31
2025
Mar 31
2026
Mar 31
Period length:
Source:
12M
AR
12M
AR
12M
AR
12M
AR
12M
AR
12M
AR
12M
PRESS
Operating CF bef Changes in Working Cap
-0.38-0.520.441.080.420.761.27
Working Capital - Increase/(Decrease)
-12.064.96-0.890.962.48-3.526.09
Net CF from Operating Activities
-12.454.44-0.452.042.90-2.767.35
Capital Expenditures - Net
-0.06-0.010.060.050.181.770.05
Net CF from Investing Activities
0.260.01-0.06-0.05-5.635.31-2.46
Debt - LT & ST - Issuance/(Retirement) - Total
12.16-4.460.46-2.012.69-2.48-5.02
Net Cash Flow from Financing Activities
12.16-4.460.46-2.012.69-2.48-5.02
Free Cash Flow to Equity
-0.23-0.01-0.05-0.025.41-7.012.29
Free Operating CF net dividend
-12.474.39-0.521.992.71-4.537.28
Free Operating CF
-12.474.39-0.521.992.71-4.537.28

Business Segment Analysis

SPA Capital Services Ltd. business segment breakdown covering revenue, operating income and assets across key divisions for the selected financial year.

We don't have enough data to show business segment analysis for SPA Capital Services Ltd.

Regional Segment Analysis

SPA Capital Services Ltd. geographic revenue split showing domestic and international market performance across revenue and income for the selected financial year.

We don't have enough data to show regional segment analysis for SPA Capital Services Ltd.

Historical Segment Analysis

Track how SPA Capital Services Ltd. segment contributions have evolved over multiple financial years to see which divisions are growing, shrinking or gaining strategic importance.

We don't have enough data to show segments for SPA Capital Services Ltd.

Frequently Asked Questions

What is the revenue of SPA Capital Services Ltd.?
The latest trailing twelve month revenue of SPA Capital Services Ltd. is ₹ 27.81 Cr, reflecting a 1-year growth of 29.90% and a 3-year CAGR of 20.18%. Annual and quarterly revenue trends are available in the Income Statement section.
What is the net profit of SPA Capital Services Ltd.?
The latest trailing twelve month net profit (PAT) of SPA Capital Services Ltd. is ₹ 0.83 Cr, with a 3-year earnings CAGR of 23.80%. Detailed profit history across annual and quarterly periods is in the Income Statement section.
What is the EBITDA of SPA Capital Services Ltd.?
The trailing twelve month EBITDA of SPA Capital Services Ltd. is approximately ₹ 1.32 Cr (based on an operating margin of 4.76%). EBITDA reflects core operating profitability before interest, taxes, depreciation and amortisation.
What is the EPS of SPA Capital Services Ltd.?
The trailing twelve month Earnings Per Share (EPS) of SPA Capital Services Ltd. is 2.71. EPS trends across annual and quarterly periods are visible in the Income Statement section.
What is the debt level of SPA Capital Services Ltd.?
The debt-to-equity ratio of SPA Capital Services Ltd. stands at 0.95. The interest coverage ratio is 4.92x, reflecting the company's ability to service debt from operating earnings. The full breakdown of total borrowings is in the Balance Sheet section.
What is the book value per share of SPA Capital Services Ltd.?
The estimated book value per share of SPA Capital Services Ltd. is 58.02 (derived from a P/B ratio of 3.50 and market price of ₹ 203.30), reflecting the net asset value attributable to each share. See the Balance Sheet section for a full breakdown.
What is the cash flow from operations of SPA Capital Services Ltd.?
The trailing twelve month operating cash flow of SPA Capital Services Ltd. is ₹ 7.36 Cr. Annual and quarterly cash flow data is available in the Cash Flow section of the Statements tab.
Does SPA Capital Services Ltd. report consolidated or standalone financials?
SPA Capital Services Ltd. reports consolidated financials. You can toggle between consolidated and standalone views using the switch at the top of each statement section.