Metropolitan Stock Exchange Of India Limited

Last Traded Price : ₹3

About

Metropolitan Stock Exchange of India Limited (MSE) is recognized by Securities and Exchange Board of India (SEBI) under Section 4 of Securities Contracts (Regulation) Act, 1956. The Exchange was notified as a "Recognized Stock Exchange" under Section 2(39) of the Companies Act, 1956 by Ministry of Corporate Affairs, Govt. of India, on December 21, 2012. MSE offers an electronic, transparent and hi-tech platform for trading in Capital Market, Futures & Options, Currency Derivatives and Debt Market segments. The Exchange has also received in-principle approval from SEBI for operationalizing SME trading platform. MSE commenced operations in the Currency Derivatives (CD) Segment on October 7, 2008, under the regulatory framework of SEBI and Reserve Bank of India (RBI). MSE launched Capital Market Segment, Futures and Options Segment and flagship index b SX40b on February 9, 2013 and commenced trading from February 11, 2013.

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Fundamental


Company Name :
Metropolitan Stock Exchange Of India Limited
Scrip Name :
MSEI
ISIN No. :
INE312K01010
No. of Outstanding Shares :
11,000,217,033
PAN No. :
AAFCM6942F
Face Value :
₹1.00
EPS :
₹-0.03
PE ratio :
-96.44
P/S Ratio :
189.88
Market Capitalization :
₹3,300.07 Crore
Book value :
₹0.50
P/BV :
6.01
52 Week High :
₹ 13.00 (30/12/24)
52 Week Low :
₹ 1.80 (16/11/24)
Lifetime High :
₹ 13.00 (30/12/24)
Lifetime Low :
₹ 0.82 (06/05/20)
DRHP Filed ?
No
Available on :
NSDL and CDSL
ROFR Require :
No
Sector :
Financial Service
CIN :
U65999MH2008PLC185856
Registration Date :
14/08/2008

Balance Sheet (RS in Lakhs)

Particulars 2025 2024
Non-Current Assets
Property, Plant and Equipment 277 445
Right of use assets 844 110
Intangible Assets 593 708
Intangible assets under development 3,021 32
Investments 4,098 84
Non current bank balance 1,490 506
Other Financial Assets 87 104
Income tax assets (net) 426 338
Other non-current assets 7,696 6,434
Current Assets
Investments 13,142 4,867
Trade receivables 85 261
Cash and cash equivalents 4,750 1,371
Bank balance other than above 4,825 105
Other financial assets 2,564 9,045
Income tax assets (net) 101 124
Other current assets 386 384
Total Assets 44,385 24,918
Equity
Equity Share Capital 59,952 48,052
Other Equity -20,283 -28,773
Non-Current Liabilities
Lease Liabilities 708 -
Other Financial Liabilities 2,296 2,419
Provisions 7 17
Current Liabilities
Trade Payables
Total outstanding dues of micro & small enterprises 3 3
Total outstanding dues to Creditors Other than above 80 256
Lease Liabilities 116 142
Other Financial Liabilities 1,028 1,964
Other Current Liabilities 472 833
Provisions 6 5
Total Liabilities and Equity 44,385 24,918

Profit & Loss Statement (RS in Lakhs)

Particulars 2025 2024
Income
Revenue from Operations 431 736
Other Income 1307 1369
Total Income 1738 2105
Expenses
Operating Expenses 2140 2898
Employee Benefit Expense 1538 1657
Depreciation & Amortization 510 606
Advertisement & Promotion 145 487
Administration & Other Expenses 864 1118
Finance Costs 26 98
Total Expenses 5223 6864
Profit/(Loss) Before Tax -3485 -4759
Current Tax 0 63
Earlier Year Tax -63 52
Profit/(Loss) After Tax -3422 -4874
Other Comprehensive Income 11 12
Total Comprehensive Income -3411 -4862
Earnings per Share (Basic) -0.06 -0.1
Earnings per Share (Diluted) -0.06 -0.1

Cash Flow Statement (RS in Lakhs)

Particulars 2025 2024
Cash Flow From Operating Activities
Net Profit / (Loss) before tax -3,485 -4,759
Adjustment for:
Depreciation and Amortization 356 428
Depreciation On Right to Use Assets 154 178
Property, plant and equipment / CWIP written off / provided for 3 21
Net fair value gain/loss on financial assets measured at FVTPL -48 3
Exchange Rate fluctuation 1 -
Interest income from financial assets at amortised cost -1,123 -1,238
Discount income on bonds -15 -3
Interest on IT Refund -6 -56
Finance Costs - ROU Asset (net) & Write off Income 22 15
Interest Cost 4 83
Profit on sale of Property, plant and equipment (net) -2 -27
Expected credit loss on trade receivables 20 261
Bad Debts 1 -
Net (gain) / loss on sale of investments -45 -37
Sundry balances written back -62 -1
Re-measurement of Employee Benefit 11 12
Operating Profit/(Loss) before Working Capital Changes -4,214 -5,120
Changes in Working Capital:
Decrease/(Increase) in trade receivable 216 -391
Decrease/(Increase) in financial & other assets -1,249 -315
Increase/(Decrease) in trade payables -176 167
Increase/(Decrease) in financial & other liabilities -1,424 -162
Increase/(Decrease) in provision -2 -31
Cash generated from/(Used in) operations -6,849 -5,852
Less: (Taxes paid) / refund received 5 175
Net Cash Used in Operating Activities -6,844 -5,677
Cash Flow from Investing Activities
Payment for Purchase of Property, plant and equipment -3,064 -154
Payment for purchase of investments -11,911 -3,552
Proceeds from sale of investments 6,178 3,757
Payment for investments in Fixed deposit placed with banks -14,014 -9,383
Proceeds from Fixed deposits placed with banks 14,686 8,733
Payment for investments in Corporate Fixed Deposits -7,060 -4,781
Proceeds from Corporate Fixed Deposits 4,567 3,721
Payment for Investment in Corporate Bonds -6,288 -368
Proceeds from Corporate Bonds 2,238 1,778
Profit on sale of investments (net) 93 34
Interest received (net of accrued interest) 1,230 1,154
Net Cash Used in Investing Activities -13,345 939
Cash Flow from Financing Activities
Payment of Lease Liability -228 -231
Issue of Equity Share Capital 23,800 -
Interest Payment -4 -
Net Cash Used in Financing Activities 23,568 -231
Net Increase in cash & Cash Equivalents 3,379 -4,969
Cash & Cash equivalents at the beginning of the Year 1,371 6,340
Cash & Cash equivalents at the end of the Period 4,750 1,371

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Price per Unit 3
No. of Unit to Buy

Total Investment 0

*Best Price In Industry
No. of Unit to Sell
Price per Unit to Sell


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Deal Completion

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