Speciality Restaurants Limited (SPECIALITY.NS)

INR 149.6

(-0.69%)

Annual Cash Flows

(In INR)
Breakdown 2024 2023 2022 2021 2020 2019
Operating Cash Flow 630.9 Million 803.3 Million 539.65 Million 212.93 Million 654.57 Million 156.23 Million
Net Income 300.1 Million 633.7 Million 81.61 Million -291.74 Million -387.74 Million -68 Million
Depreciation & Amortization 419 Million 317.2 Million 273.47 Million 322.38 Million 993.84 Million 287.07 Million
Deferred income taxes - - - - -189.29 Million -15.6 Million
Stock-based compensation - - - - -1.5 Million -2.02 Million
Change in working capital -125.9 Million -47.5 Million 50.22 Million 77.49 Million 72.94 Million -25.23 Million
Other non-cash items 956.1 Million -100.1 Million 134.35 Million 104.8 Million 166.32 Million -19.99 Million
Investing Cash Flow -212.6 Million -706.8 Million -335.89 Million -48.05 Million -203.65 Million -98.31 Million
Investments in PPE -281 Million -100 Million -25.13 Million -39.62 Million -191 Million -150.55 Million
Acquisitions 2.3 Million -1.4 Million -23.17 Million -14.78 Million -75.85 Million 17.4 Million
Investment purchases -406.7 Million -640.5 Million -526.72 Million -196.2 Million -626.11 Million -1.3 Billion
Sales/Maturities of investments 452.9 Million 27 Million 235.08 Million 196.72 Million 735.47 Million 1.34 Billion
Other Investing Activities 19.9 Million 8.1 Million 4.05 Million 5.83 Million -46.16 Million -20 Thousand
Financing Cash Flow -419.9 Million -50.2 Million -258.15 Million -109.21 Million -544.08 Million -260 Thousand
Debt repayment -432.8 Million -399.9 Million -258.14 Million -109.21 Million -544.08 Million -260 Thousand
Dividends payments -118.83 Million - - - - -
Common Stock Repurchased - - - - - -
Common Stock Issuance 131.69 Million 349.9 Million - - - -
Other Financing Activities 131.7 Million -200 Thousand -1.00 -109.21 Million -544.08 Million -
Accounts receivables -10.9 Million -17.71 Million -12.36 Million -25.27 Million 28.93 Million 5.72 Million
Accounts payables -64.5 Million 28.76 Million 7.93 Million 4.58 Million -76.8 Million -8.17 Million
Inventory -5 Million -15.9 Million 5.66 Million 15.67 Million -6.94 Million 3.63 Million
Other working capital -45.5 Million -42.65 Million 48.99 Million 82.51 Million 127.75 Million -26.41 Million
Cash at beginning of period 64.31 Million 18 Million 72.36 Million 16.69 Million 109.85 Million 52.19 Million
Cash at end of period 111.2 Million 64.3 Million 17.98 Million 72.36 Million 16.69 Million 109.85 Million
Capital Expenditure -281 Million -100 Million -25.13 Million -39.62 Million -191 Million -150.55 Million
Effect of forex changes on cash - 30 Thousand 10 Thousand - - -
Net cash flow / Change in cash 46.89 Million 46.3 Million -54.38 Million 55.67 Million -93.16 Million 57.66 Million
Free Cash Flow 349.9 Million 703.3 Million 514.52 Million 173.31 Million 463.57 Million 5.68 Million

Cash Flow Charts