RHETAN

Rhetan TMT Cash Flow

₹17.35-4.98%close, 9 Oct 2026
Market cap
₹1,383 crore
P/E
22.5
P/B
2.85
ROE
14.5%
Dividend yield
1.20%
52-week range
₹12.49 – ₹23.42

In the year ended FY25, Rhetan TMT generated ₹82.95 crore from operating activities, invested ₹55.3 crore and paid out ₹20.74 crore on financing activities. Net cash flow for the year was ₹6.91 crore. Free cash flow was ₹34.56 crore.

Rhetan TMT cash flow statement

Financial years, newest first. Negative figures are cash outflows.

Rhetan TMT cash flows (₹ crore)
ItemFY25
Cash from operating activities82.95
Cash from investing activities-55.3
Cash from financing activities-20.74
Net cash flow6.91
Capital expenditure48.39
Free cash flow34.56

Source: Company filings, in ₹ crore. Data as of 9 October 2026. How this data is compiled.

Rhetan TMT cash flow — frequently asked questions

What is Rhetan TMT's operating cash flow?

Rhetan TMT's cash flow from operating activities was ₹82.95 crore in the year ended FY25.

What is Rhetan TMT's free cash flow?

Rhetan TMT's free cash flow — operating cash flow minus capital expenditure — was ₹34.56 crore in FY25, after capital expenditure of ₹48.39 crore.

How much did Rhetan TMT spend on investing activities?

Net cash used in investing activities was ₹55.3 crore in FY25. This covers capital expenditure, acquisitions and the purchase or sale of investments.

Same Data For Peers

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Figures are for information only and are not investment advice or a recommendation to buy, sell or hold any security. Investments in securities are subject to market risks; read all related documents carefully before investing.