DSP Financial Analysis

FY2024Q4FY2024Q3FY2024Q2FY2024Q1FY2023Q4FY2023Q3FY2023Q2FY2023Q1FY2022Q4FY2022Q3FY2022Q2FY2022Q1FY2021Q4FY2021Q3FY2021Q2FY2021Q1FY2020Q4
Net Cash Flow from Operating Activities
16.49M
-29.07%
17.07M
367.90%
14.37M
25.82%
3.84M
-779.29%
23.25M
137.62%
3.65M
-176.08%
11.42M
-156.85%
-565.00K
-104.88%
9.78M
-789.01%
-4.80M
-173.61%
-20.09M
-328.08%
11.57M
-21.63%
-1.42M
-130.26%
6.51M
8.81M
14.76M
4.69M
-217.00%
Funds from Operations
19.14M
20.32%
17.78M
38.17%
12.21M
23.74%
6.28M
141.31%
15.91M
306.05%
12.87M
6400.51%
9.86M
-561.80%
2.60M
-178.19%
3.92M
-77.43%
198.00K
-96.91%
-2.14M
-126.37%
-3.33M
-174.60%
17.36M
15.63%
6.41M
8.10M
4.46M
15.01M
63.86%
Change in Working Capital
-2.65M
-136.12%
-715.00K
-92.25%
2.16M
39.01%
-2.44M
-22.92%
7.34M
25.13%
-9.22M
84.72%
1.56M
-108.67%
-3.17M
-121.26%
5.87M
-131.24%
-4.99M
-4723.15%
-17.95M
-2632.16%
14.90M
44.61%
-18.78M
81.97%
108.00K
709.00K
10.30M
-10.32M
-21.66%
Net Cash Flow from Investing Activities
-14.32M
275.34%
-4.66M
45.81%
-4.70M
23.94%
-4.06M
51.96%
-3.82M
58.93%
-3.20M
53.23%
-3.79M
69.15%
-2.67M
27.41%
-2.40M
70.40%
-2.09M
7.19%
-2.24M
14.52%
-2.10M
1.84%
-1.41M
-30.00%
-1.95M
-1.96M
-2.06M
-2.01M
5.34%
Capital Expenditures - Net
4.32M
13.29%
4.66M
45.81%
4.70M
23.94%
4.06M
51.96%
3.82M
58.93%
3.20M
53.23%
3.79M
69.15%
2.67M
27.41%
2.40M
70.40%
2.09M
7.19%
2.24M
14.52%
2.10M
1.84%
1.41M
2172.58%
1.95M
1.96M
2.06M
62.00K
-59.21%
Acquisition & Disposal of Business Sold/(Acquired)
-10.00M
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
Net Cash Flow from Financing Activities
-11.75M
96.46%
-7.52M
459.38%
-5.99M
9.39%
-10.18M
538.86%
-5.98M
1159.37%
-1.34M
91.73%
-5.47M
-70.19%
-1.59M
9856.25%
-475.00K
-63.49%
-701.00K
-95.07%
-18.36M
1474.53%
-16.00K
-100.01%
-1.30M
-80.28%
-14.23M
-1.17M
224.25M
-6.60M
85.26%
Stock - Total - Issuance/(Retirement) - Net
-11.11M
973.98%
-7.09M
623.47%
-5.53M
744.89%
-5.43M
246.20%
-1.03M
117.68%
-980.00K
40.00%
-655.00K
-23.93%
-1.57M
-475.00K
-700.00K
-861.00K
0.00
-100.00%
0.00
0.00
0.00
232.50M
0.00
-100.00%
Debt - LT & ST - Issuance/(Retirement)
0.00
0.00
0.00
0.00
0.00
0.00
0.00
-100.00%
0.00
0.00
0.00
-17.50M
0.00
0.00
0.00
0.00
0.00
0.00
-100.00%
Net Change in Cash
-9.58M
-171.25%
4.89M
-646.76%
3.69M
70.77%
-10.40M
115.30%
13.45M
94.72%
-894.00K
-88.21%
2.16M
-105.31%
-4.83M
-151.09%
6.91M
-267.26%
-7.58M
-21.51%
-40.69M
-815.58%
9.46M
-96.01%
-4.13M
5.44%
-9.66M
5.69M
236.96M
-3.92M
-58.69%
Free Cash Flow
12.17M
-37.38%
12.41M
2656.89%
9.67M
26.76%
-224.00K
-93.08%
19.43M
163.21%
450.00K
-106.54%
7.63M
-134.18%
-3.24M
-134.18%
7.38M
-360.98%
-6.88M
-250.69%
-22.33M
-425.88%
9.47M
-25.43%
-2.83M
-161.09%
4.57M
6.85M
12.70M
4.63M
-211.24%

DSP FAQs

What is DSP's PE Ratio in 2025/4/15?

DSP's PE ratio in April 15, 2025 is 92.83. This indicates the price investors are willing to pay for $1 of earnings.

What is DSP's PS Ratio in 2025/4/15?

What is DSP's Dividend Yield in 2024/Q4?

What is DSP's Gross Margin in 2024/Q4?

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