3
Saboo Sodium Chloro Limited Audited Financial Results for quarter & year ended 31.03.2017 Saboo Sodium Chloro Ltd. c/ru;n.", /Grd Oate of start ofreDortinE Deriod 01-01-2017 01-10-2016 01-01-2016 01-04-2015 01-04-2015 B Date of end ofreDonin! oeriod 3t-03-2017 3l-12-2016 31-03-2016 31-03-2017 31-03-2016 c whether results are audited orunaudit€d Unaudited D Natore of rcDort standalone or consolidated I Revenue Froft Op€htiori Revenue from operations 537 890 627.7AQ 652.400 2299 544 2467.170 1.180 27.200 65 050 1.590 140.550 539.070 654.3E0 717.450 2301.130 2207.670 2 (a) Cost ol materiak consumed 215.400 130160 694.270 1047.107 1009.950 Purchases ofsto.k in trade 0.000 0.000 0 000 0 000 0.000 ChanBes in inventori€s of finished toods, work- in-oroRress and sto.k in tade -164.644 127.460 282 590 -254.096 -244.320 (d) Employee benefit expense 74 640 35.170 51.520 171.890 150.130 73 010 73.470 71.000 292111 281.430 (f) preciation and amortisation erpense 46 500 62.510 47.290 180.755 218.?80 244.910 414.770 591.590 1438.473 1415.980 280 190 206.050 123.490 817.320 780.940 525.100 634.820 715.0a0 2255.793 2196.920 3 Profit before exceptlonal and extGordirary it€rht 73.970 19.560 2.370 45.337 10.750 0.000 0.001 5.250 0.000 27.700 5 0.000 0.000 0.000 0.000 0.000 Profit b€fore extraordinaru items and tax 13.970 19.561 1.620 45.337 38.450 0.000 0.000 0.000 0.000 0.000 13.970 19.551 7.520 45.337 38.450 9 0.000 0.000 0.000 0.000 0 000 0.000 0.000 0.000 0.000 0.000 0.000 0.000 0 000 0 000 0 000 0.000 0.000 0.000 0.000 0.000 Net Profit Loss for the pedod from continuing 13.970 19.561 7.620 45.337 38.450 Profit (loss) f rom discontinuina operations 0 000 0.000 0.000 0.000 0.000 11 Tax expense of discontinuin* oDerationt 0 000 0.000 0.000 0.000 0.000 12 Net profit (losd from discontinu nE operation 0.000 0.000 0.000 0.000 0 000 13 Proflt (losrl for Deriod bdore mlnorltv interert 13.970 19.560 7.520 45.337 38-450 Share of Drofit ilossl ofassociates 0.000 0 000 0.000 0.000 0.000 15 Profit (loss) of m inority interest 0.000 0 000 0.000 0 000 0.000 16 Net profit llor, for the period 13.970 19.560 7.620 45-337 36.450 !1 Detaik ofequitv share caoital Paid-up equity shar€ rapital 1918.250 1918.250 1918,250 r918.250 1918.250 Face value ofequitv share cagital 10.000 10.000 10.000 10.000 10.000 t7 Details of debt securities 0.000 0.000 0 000 0.000 0.000 Fa.e value of debt securities 0 000 0.000 0.000 0.000 0.000 13 Reserves ex.lud im revaluation reserve 349.870 265.800 249.360 349.870 247.A1(, 19 Debenture redemption reseNe 0.000 0.000 0.000 0.000 0.000 Earnin8sper equity share 0.000 0.000 0.000 0.000 0.000 Basic earninss llosd per rhare from .ontlnuing and discontlnued oper.tions 0.230 0.100 0.040 0.230 0.200 Dilut€d €arninss (los, p€rshare from continuins and discontinued oDerEtions 0.230 0.100 0.040 0.230 0.200 7L 0.000 0.000 0.000 0.000 0.000 22 Oebt service coverase ratio 0.000 0.000 0.000 0.000 0.000 21 lnterest serui.e coverase ratio 0.000 0 000 0.000 0.000 0.000 Mg Drreotor -:.

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Page 1: IMG 20170608 0003.1 › wp-content › uploads › 2017 › 06 › ... · Title: IMG_20170608_0003.1.1 Created Date: 6/8/2017 5:06:56 PM

Saboo Sodium Chloro Limited

Audited Financial Results for quarter & year ended 31.03.2017

Saboo Sodium Chloro Ltd.

c/ru;n.", /Grd

Oate of start ofreDortinE Deriod 01-01-2017 01-10-2016 01-01-2016 01-04-2015 01-04-2015B Date of end ofreDonin! oeriod 3t-03-2017 3l-12-2016 31-03-2016 31-03-2017 31-03-2016c whether results are audited orunaudit€d UnauditedD Natore of rcDort standalone or consolidated

I Revenue Froft Op€htioriRevenue from operations 537 890 627.7AQ 652.400 2299 544 2467.170

1.180 27.200 65 050 1.590 140.550539.070 654.3E0 717.450 2301.130 2207.670

2

(a) Cost ol materiak consumed 215.400 130160 694.270 1047.107 1009.950Purchases ofsto.k in trade 0.000 0.000 0 000 0 000 0.000ChanBes in inventori€s of finished toods, work-in-oroRress and sto.k in tade -164.644 127.460 282 590 -254.096 -244.320

(d) Employee benefit expense 74 640 35.170 51.520 171.890 150.13073 010 73.470 71.000 292111 281.430

(f) preciation and amortisation erpense 46 500 62.510 47.290 180.755 218.?80244.910 414.770 591.590 1438.473 1415.980280 190 206.050 123.490 817.320 780.940525.100 634.820 715.0a0 2255.793 2196.920

3Profit before exceptlonal and extGordirary it€rht

73.970 19.560 2.370 45.337 10.750

0.000 0.001 5.250 0.000 27.7005 0.000 0.000 0.000 0.000 0.000

Profit b€fore extraordinaru items and tax 13.970 19.561 1.620 45.337 38.4500.000 0.000 0.000 0.000 0.000

13.970 19.551 7.520 45.337 38.4509 0.000 0.000 0.000 0.000 0 000

0.000 0.000 0.000 0.000 0.0000.000 0.000 0 000 0 000 0 0000.000 0.000 0.000 0.000 0.000

Net Profit Loss for the pedod from continuing13.970 19.561 7.620 45.337 38.450

Profit (loss) f rom discontinuina operations

0 000 0.000 0.000 0.000 0.00011 Tax expense of discontinuin* oDerationt 0 000 0.000 0.000 0.000 0.000

12Net profit (losd from discontinu nE operation

0.000 0.000 0.000 0.000 0 000

13Proflt (losrl for Deriod bdore mlnorltv interert 13.970 19.560 7.520 45.337 38-450Share of Drofit ilossl ofassociates 0.000 0 000 0.000 0.000 0.000

15 Profit (loss) of m inority interest 0.000 0 000 0.000 0 000 0.00016 Net profit llor, for the period 13.970 19.560 7.620 45-337 36.450!1 Detaik ofequitv share caoital

Paid-up equity shar€ rapital 1918.250 1918.250 1918,250 r918.250 1918.250Face value ofequitv share cagital 10.000 10.000 10.000 10.000 10.000

t7 Details of debt securities

0.000 0.000 0 000 0.000 0.000Fa.e value of debt securities 0 000 0.000 0.000 0.000 0.000

13 Reserves ex.lud im revaluation reserve 349.870 265.800 249.360 349.870 247.A1(,19 Debenture redemption reseNe 0.000 0.000 0.000 0.000 0.000

Earnin8sper equity share 0.000 0.000 0.000 0.000 0.000Basic earninss llosd per rhare from .ontlnuingand discontlnued oper.tions 0.230 0.100 0.040 0.230 0.200Dilut€d €arninss (los, p€rshare fromcontinuins and discontinued oDerEtions 0.230 0.100 0.040 0.230 0.200

7L 0.000 0.000 0.000 0.000 0.00022 Oebt service coverase ratio 0.000 0.000 0.000 0.000 0.00021 lnterest serui.e coverase ratio 0.000 0 000 0.000 0.000 0.000

Mg Drreotor

-:.

Page 2: IMG 20170608 0003.1 › wp-content › uploads › 2017 › 06 › ... · Title: IMG_20170608_0003.1.1 Created Date: 6/8/2017 5:06:56 PM

Home Validate

Statement of Asset and Liabilities

Particulars

Date of start of reporting period 01-04-2016 01-04,2015Date of end of reporting period 3t-03-2077 31-03-2016

Whether results are audited or unaudited Audited AuditedNature of report standalone or consolidated Standalone Standalone

Equity and liabilities7 Shareholders' funds

Share capitalReserves and surplusMoney received against share warrants

1918.2s0

349.870

0.000

1918.250

304.550

0.000Total shareholders' funds 2268.120 2222.80A

2

3

4

Share application money pending allotmentDeferred government grantsMinority interest

500.000

0.0000.000

0.000

5 Non-current liabilitiesLong-term b0.rowingsDeferred tax liabilities (net)Foreign currency monetary item translation differenceliability accountOther long-term liabilitiesLong-term provisions

1205.300

60.440

0.000

0.000

13.570

1411.810

60.444

0.000

0.000

13.670Total non-current liabilities 7279.4LO 1485.920

5 Current liabilitiesShorl-term borrowings 7L79.770 772.080Trade Payables

(A)Total outstanding dues of micro enterprises andsmall enterprises(B) Total outstanding dues of creditors other than microenterprises and small enterprises

Other current liabilitiesShori-term provisions

0.000

386,37033.210

7 8.9'10

0.000

475.360

3 2.530

80,190Total current liabilities 7677.720 1360.160

Total equity and liabilities 5665.250 5058.880Assets

I Non-current assets(D Fixed assets

Tangible assets

Producing propertjes

. lntangible assets

Preproducing properties

. Tangible assets capital work-in-progresslntangible assets under development or work-in-progress

r57 4.950

0.0001.180

0.000

518.890

0.000

L726.700

0.000

1.180

0,000

505.370

0.000Total fixed assets 2095.020 2232,650

(ii)

(r)_

t\on-culrent tnvestnlen lsDeferred tax assets (net)

772.400

0.000172.400

0.000

For Sebci :Dii.. ,. :"

r/t*t ,-,'{OtMg Di;:u ii,t

Page 3: IMG 20170608 0003.1 › wp-content › uploads › 2017 › 06 › ... · Title: IMG_20170608_0003.1.1 Created Date: 6/8/2017 5:06:56 PM

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Foreign currency monetary item translation differenceasset accountLong-term loans and a{jva raa: