MEP Infrastructure Developers Ltd
NSE:MEP
Cash Flow Statement
Cash Flow Statement
MEP Infrastructure Developers Ltd
| Mar-2021 | Sep-2021 | Mar-2022 | Sep-2022 | Mar-2023 | Sep-2023 | ||
|---|---|---|---|---|---|---|---|
| Operating Cash Flow | |||||||
| Net Income |
(511)
|
(183)
|
(1 725)
|
(2 824)
|
(2 671)
|
(2 571)
|
|
| Depreciation & Amortization |
2 528
|
2 224
|
2 560
|
1 912
|
1 976
|
2 210
|
|
| Other Non-Cash Items |
2 644
|
3 045
|
4 239
|
3 232
|
3 994
|
5 844
|
|
| Cash Taxes Paid |
(506)
|
(573)
|
(454)
|
398
|
(7)
|
1
|
|
| Cash Interest Paid |
3 459
|
3 875
|
1 843
|
2 926
|
1 695
|
(275)
|
|
| Change in Working Capital |
811
|
(44)
|
(2 012)
|
3 526
|
485
|
(3 570)
|
|
| Cash from Operating Activities |
5 473
N/A
|
5 042
-8%
|
3 063
-39%
|
5 846
+91%
|
3 784
-35%
|
1 914
-49%
|
|
| Investing Cash Flow | |||||||
| Capital Expenditures |
(289)
|
0
|
(233)
|
(324)
|
(72)
|
18
|
|
| Other Items |
(428)
|
1 248
|
1 359
|
(1 392)
|
(89)
|
1 600
|
|
| Cash from Investing Activities |
(717)
N/A
|
1 008
N/A
|
1 126
+12%
|
(1 716)
N/A
|
(161)
+91%
|
1 619
N/A
|
|
| Financing Cash Flow | |||||||
| Net Issuance of Debt |
(1 500)
|
(2 197)
|
(2 303)
|
(1 306)
|
(2 157)
|
(3 995)
|
|
| Other |
(3 470)
|
(3 875)
|
(1 843)
|
(2 926)
|
(1 457)
|
547
|
|
| Cash from Financing Activities |
(4 971)
N/A
|
(6 072)
-22%
|
(4 146)
+32%
|
(4 231)
-2%
|
(3 614)
+15%
|
(3 449)
+5%
|
|
| Change in Cash | |||||||
| Net Change in Cash |
(215)
N/A
|
(21)
+90%
|
43
N/A
|
(101)
N/A
|
9
N/A
|
84
+814%
|
|
| Free Cash Flow | |||||||
| Free Cash Flow |
5 184
N/A
|
5 042
-3%
|
2 830
-44%
|
5 522
+95%
|
3 712
-33%
|
1 932
-48%
|
|