MIRA INFORM REPORT

 

 

 

Report Date :           

08.02.2012

 

 

Company name and address

 

Dr. Johannes Heidenhain Gesellschaft mit beschränkter Haftung

 

Company Status:      active

Dr.-Joh.-Heidenhain-Str. 5

D 83301 Traunreut

Post Box:

1260, D 83292 Traunreut

Telephone:08669/310

Telefax:  08669/38609

Homepage: www.heidenhain.de

E-mail:   info@heidenhain.de

 

 

VAT no         

 

DE131557292

 

 

 

 

CONCLUSION

 

Business relations are permissible. The company is considered

solvent for credits within its scope of business.

 

LEGAL FORM           Private limited company

Date of foundation:  1889

Shareholders'

agreement:           07.12.1967

Registered on:       16.01.1968

Commercial Register: Local court 83278 Traunstein

under:               HRB 275

Share capital:                          EUR        210,000,000.00

 

 

Shareholder

 

DR. JOHANNES HEIDENHAIN -Stiftung GmbH

Fridtjof-Nansen-Str. 17

D 83301 Traunreut

Legal form: Private limited company

Share capital:     EUR             30,000.00

Share:             EUR        210,000,000.00

Registered on: 13.07.1970

Reg. data: 83278 Traunstein, HRB 398

 

 

Manager

 

Dr. Thomas Sesselmann

D 84529 Tittmoning

having sole power of representation

born: 27.05.1960

Marital status: married

 

Manager:

Michael Grimm

D 63303 Dreieich

born: 03.04.1960

 

Manager:

Dr. Sebastian Tondorf

D 83329 Waging

born: 06.02.1962

 

Manager:

Dr. Matthias Fauser

D 83355 Grabenstätt

born: 09.10.1965

Marital status: unknown

 

 

President of the Supervisory Board

 

Rainer Burkhard

OT Scharam

D 83313 Siegsdorf

Marital status: married

 

 

Vice-president of the Supervisory Board

 

Udo Mickler

D 83301 Traunreut

Marital status: unknown

 

 

Member of the Supervisory Board

 

Hermann Steinmaßl

Winkeln 17

D 83413 Fridolfing

born: 15.05.1948

Profession: Administrative head of a

district

Marital status: married

 

Member of the Supervisory Board

 

Karl Ittameier

Werner-von-Siemens-Str. 40

D 83301 Traunreut

Profession: dean

 

Member of the Supervisory Board:

Lotte Januszweski

D 83301 Traunreut

 

Member of the Supervisory Board:

Walter Miller

D 83301 Traunreut

 

Member of the Supervisory Board:

Joachim Trümper

D 83301 Traunreut

 

Member of the Supervisory Board:

Jochen Hafner

D 83301 Traunreut

 

Member of the Supervisory Board:

Marianne Hauser

D 83301 Traunreut

 

Member of the Supervisory Board:

Ursula Obermaier

D 83301 Traunreut

 

Member of the Supervisory Board:

Stefan Rauschhuber

D 83301 Traunreut

 

 

Proxy

 

Dr. rer. nat. Ludwig Wagatha

D 83278 Traunstein

authorized to jointly represent the company

Marital status: unknown

 

Proxy:

Dr. Walter Kranitzky

D 83278 Traunstein

authorized to jointly represent the company

 

Proxy:

Konrad Sterflinger

D 83308 Trostberg

authorized to jointly represent the company

Marital status: unknown

 

Proxy:

Maria Anna (gen. Marianne) Hauser

D 83416 Saaldorf-Surheim

authorized to jointly represent the company

née: Höglauer

Marital status: unknown

 

Proxy:

Albert Kraller

D 83349 Palling

authorized to jointly represent the company

born: 05.01.1953

 

Proxy:

Dr. Jan Braasch

D 83352 Altenmarkt

authorized to jointly represent the company

 

Proxy:

Dr. Andreas Franz

D 83308 Trostberg

authorized to jointly represent the company

 

 

Further functions/participations of Dr. Thomas Sesselmann

(Manager)

 

Manager:

Heidenhain Verwaltungs GmbH

Dr.-Joh.-Heidenhain-Str. 5

D 83301 Traunreut

Legal form: Private limited company

dissolved

Share capital:     EUR             30,000.00

Registered

on:         07.11.1996

Reg. data:  83278 Traunstein, HRB 10311

 

Manager:

RSF Elektronik GmbH

Dr.-Joh.-Heidenhain-Str. 5

D 83301 Traunreut

Legal form: Private limited company

Share capital:     EUR            150,000.00

Registered

on:         29.11.1976

Reg. data:  83278 Traunstein, HRB 1257

 

Manager:

DR. JOHANNES HEIDENHAIN GmbH

Neutraublinger Str. 4

D 84478 Waldkraiburg

Legal form: Private limited company

dissolved

Share capital:     EUR            260,000.00

Registered

on:         28.11.1987

Reg. data:  83278 Traunstein, HRB 5113

 

Manager:

HERA GmbH

Dr.-Joh.-Heidenhain-Str. 5

D 83301 Traunreut

Legal form: Private limited company

Share capital:     EUR             25,000.00

Registered

on:         24.08.2007

Reg. data:  83278 Traunstein, HRB 17862

 

Manager:

ATLAS GmbH

Dr.-Joh.-Heidenhain-Str. 5

D 83301 Traunreut

Legal form: Private limited company

Share capital:     EUR             25,000.00

Registered

on:         26.08.2007

Reg. data:  83278 Traunstein, HRB 17869

 

Manager:

Hephaistos Verwaltungs-GmbH

Dr.-Joh.-Heidenhain-Str. 5

D 83301 Traunreut

Legal form: Private limited company

Share capital:     EUR             25,000.00

Registered

on:         02.03.1999

Reg. data:  83278 Traunstein, HRB 11910

 

 

RESIGNED ACTING PERSONS AND SHAREHOLDERS

 

11.11.2010 - 15.06.2011  Vice-president of the Supervisory Board

Heinz Albrecht

D 83301 Traunreut

11.11.2010 - 15.06.2011  Member of the Supervisory Board

Stefan Rauscher

D 83026 Rosenheim

11.11.2010 - 15.06.2011  Member of the Supervisory Board

Marina Würnstl

D 83308 Trostberg

19.07.2010 - 20.07.2010  President of the Supervisory Board

Udo Mickler

D 83301 Traunreut

19.07.2010 - 20.07.2010  Member of the Supervisory Board

Ursula Obermaier

D 80331 München

19.07.2010 - 20.07.2010  Member of the Supervisory Board

Jochen A. Hafner

D 57520 Rosenheim

12.07.2005 - 19.07.2010  Vice-president of the Supervisory Board

Klement Kiermaier

D 83413 Fridolfing

 

 

BUSINESS ACTIVITIES

 

Sectors

26512   Manufacture of instruments and appliances for measuring,

testing and navigation

 

 

BRANCHES AND FACTORIES

 

Branch:

Dr. Johannes Heidenhain Gesellschaft mit

beschränkter Haftung

Max-Müller-Str. 23

D 30179 Hannover

TEL.: 0511/6707-01

FAX.: 0511/6707-546

 

 

PARTICIPATIONS

 

Shareholder:

 

NUMERIK JENA GmbH

Ilmstr. 4

D 07743 Jena

Legal form: Private limited company

Company Status: active

Share capital:     EUR         20,030,000.00

Share:             EUR         20,030,000.00

Reg. data:  20.10.1998

Local court 07745 Jena

HRB 207324

 

Shareholder:

MD Elektronik GmbH

Neutraublinger Str. 4

D 84478 Waldkraiburg

Legal form: Private limited company

Company Status: active

Share capital:     EUR         10,000,000.00

Share:             EUR         10,000,000.00

Reg. data:  24.11.1977

Local court 83278 Traunstein

HRB 1514

Shareholder:

LTN Servotechnik GmbH

Georg-Hardt-Str. 4

D 83624 Otterfing

Legal form: Private limited company

Company Status: active

Share capital:     EUR          7,500,000.00

Share:             EUR          7,500,000.00

Reg. data:  07.07.1998

Local court 80797 München

HRB 121158

 

Shareholder:

DR. JOHANNES HEIDENHAIN GmbH

Neutraublinger Str. 4

D 84478 Waldkraiburg

Legal form: Private limited company

Company Status: dissolved  since: 10.12.2008

Share capital:     EUR            260,000.00

Share:             EUR            260,000.00

Reg. data:  28.11.1987

Local court 83278 Traunstein

HRB 5113

 

Shareholder:

ETEL GmbH

Schillgasse 14

D 78661 Dietingen

Legal form: Private limited company

Company Status: active

Share capital:     EUR            250,000.00

Share:             EUR            250,000.00

Reg. data:  03.02.2000

Local court 70190 Stuttgart

HRB 470879

 

Shareholder:

ACU-RITE GmbH

Fraunhoferstr. 1

D 83301 Traunreut

Legal form: Private limited company

Company Status: dissolved  since: 11.07.2009

Share capital:     EUR            150,000.00

Share:             EUR            150,000.00

Reg. data:  25.02.1985

Local court 83278 Traunstein

HRB 4183

 

Shareholder:

hmp HEIDENHAIN-MICROPRINT GmbH

Rhinstr. 134

D 12681 Berlin

Legal form: Private limited company

Company Status: active

Share capital:     EUR             30,000.00

Share:             EUR             30,000.00

Reg. data:  29.06.1992

Local court 14057 Berlin

HRB 43513 B

 

Shareholder:

Heidenhain Verwaltungs GmbH

Dr.-Joh.-Heidenhain-Str. 5

D 83301 Traunreut

Legal form: Private limited company

Company Status: dissolved  since: 22.07.2008

Share capital:     EUR             30,000.00

Share:             EUR             30,000.00

Reg. data:  07.11.1996

Local court 83278 Traunstein

HRB 10311

 

Shareholder:

Hephaistos Verwaltungs-GmbH

Dr.-Joh.-Heidenhain-Str. 5

D 83301 Traunreut

Legal form: Private limited company

Company Status: active

Share capital:     EUR             25,000.00

Share:             EUR             25,000.00

Reg. data:  02.03.1999

Local court 83278 Traunstein

HRB 11910

 

Shareholder:

HERA GmbH

Dr.-Joh.-Heidenhain-Str. 5

D 83301 Traunreut

Legal form: Private limited company

Company Status: active

Share capital:     EUR             25,000.00

Share:             EUR             25,000.00

Reg. data:  24.08.2007

Local court 83278 Traunstein

HRB 17862

 

Shareholder:

ATLAS GmbH

Dr.-Joh.-Heidenhain-Str. 5

D 83301 Traunreut

Legal form: Private limited company

Company Status: active

Share capital:     EUR             25,000.00

Share:             EUR             25,000.00

Reg. data:  26.08.2007

Local court 83278 Traunstein

HRB 17869

 

Shareholder:

MAZeT GmbH

Göschwitzer Str. 32

D 07745 Jena

Legal form: Private limited company

Company Status: active

Share capital:     EUR             86,050.00

Share:             EUR             19,400.00

Reg. data:  11.02.2003

Local court 07745 Jena

HRB 209557

 

 

FINANCIAL INFORMATION

 

Payment experience:  takes advantage of cash discount

 

Negative information:We have no negative information at hand.

 

Maximum credit:      > 250,000 EUR

 

Balance sheet year:  2010

 

 

REAL ESTATE

 

Type of ownership:   proprietor

Share:                100.00 %

Address              Rhinstr. 134

D 12681 Berlin

 

Type of ownership:   proprietor

Share:                100.00 %

Address              Dr.-Joh.-Heidenhain-Str. 5

D 83301 Traunreut

Size:                210,000.00 sq.m

Residential floor     35,000.00 sq.m

space/ Usable floor

space:

 

Land register documents were not available.

 

 

BANKERS

 

Principal bank

UNICREDIT BANK - HYPOVEREINSBANK, TRAUNSTEIN, OBERBAY

Sort. code: 71022182, BIC: HYVEDEMM453

 

 

FINANCIAL FIGURES

Turnover:            2010               EUR        485,170,906.00

Profit:              2010               EUR        129,634,234.00

Equipment:                              EUR         30,748,823.00

Ac/ts receivable:                       EUR        107,786,179.00

Liabillities:                           EUR        181,124,372.00

Employees:                                                  3,022

- thereof permanent staff:                                  2,698

- Trainees:                                                   153

 

 

BALANCE SHEETS

 

Balance sheet ratios 01.01.2010 - 31.12.2010

Equity ratio [%]:                 67.27

Liquidity ratio:                   3.17

Return on total capital [%]:      12.11

 

Balance sheet ratios 01.01.2009 - 31.12.2009

Equity ratio [%]:                 61.87

Liquidity ratio:                   1.18

Return on total capital [%]:      -5.29

 

Balance sheet ratios 01.01.2008 - 31.12.2008

Equity ratio [%]:                 62.85

Liquidity ratio:                   1.21

Return on total capital [%]:       7.38

 

Balance sheet ratios 01.01.2007 - 31.12.2007

Equity ratio [%]:                 62.77

Liquidity ratio:                  10.00

Return on total capital [%]:       5.09

 

Equity ratio

The equity ratio indicates the portion of the equity as compared

to the total capital. The higher the equity ratio, the better the

economic stability (solvency) and thus the financial autonomy of

a company.

 

Liquidity ratio

The liquidity ratio shows the proportion between adjusted

receivables and net liabilities. The higher the ratio, the lower

the company's financial dependancy from external creditors.

 

Return on total capital

The return on total capital shows the efficiency and return on

the total capital employed in the company. The higher the return

on total capital, the more economically does the company work

with the invested capital.

 

Balance sheet grade

The balance sheet grade is based on the following ratios: equity

ratio, liquidity ratio and return on total capital from the

balance sheets published in the Federal Gazette. It is calculated

in accordance with the methodology of Euler Hermes.

 

Type of balance

sheet:               Company balance sheet

 

 Financial year:      01.01.2010 - 31.12.2010

 

 ASSETS                                  EUR      1,071,990,494.14

  Fixed assets                           EUR        531,308,941.34

   Intangible assets                     EUR          3,333,063.00

    Concessions, licences, rights        EUR          3,333,063.00

   Tangible assets                       EUR        325,412,189.07

    Land / similar rights                EUR        173,088,856.88

    Plant / machinery                    EUR         95,617,056.10

    Other tangible assets / fixtures and

    fittings                             EUR         30,748,822.59

    Advance payments made / construction

    in progress                          EUR         25,957,453.50

   Financial assets                      EUR        202,563,689.27

    Shares in participations /

    subsidiaries and the like            EUR        201,883,536.43

     Shares in related companies         EUR        194,759,071.66

     Shares in investee companies        EUR          7,124,464.77

    Other loans                          EUR            680,152.84

  Current assets                         EUR        538,000,890.17

   Stocks                                EUR         84,996,690.72

    Raw materials, consumables and

    supplies                             EUR         37,772,572.74

    Finished goods / work in progress    EUR         47,224,117.98

   Accounts receivable                   EUR        107,786,178.72

    Trade debtors                        EUR         42,236,845.10

    Amounts due from related companies   EUR         58,470,366.11

    Amounts due from investee companies  EUR            150,714.00

    Other debtors and assets             EUR          6,928,253.51

   Investments in current assets         EUR        199,543,210.76

    Other investments                    EUR        199,543,210.76

   Liquid means                          EUR        145,674,809.97

  Remaining other assets                 EUR          2,680,662.63

   Accruals (assets)                     EUR          2,680,662.63

 

 LIABILITIES                             EUR      1,071,990,494.14

  Shareholders' equity                   EUR        720,234,122.42

   Capital                               EUR        210,000,000.00

    Subscribed capital (share capital)   EUR        210,000,000.00

   Reserves                              EUR        380,599,888.55

    Capital reserves                     EUR        122,700,000.00

    Retained earnings / revenue reserves EUR        257,899,888.55

   Balance sheet profit/loss (+/-)       EUR        129,634,233.87

    Annual surplus / annual deficit      EUR        129,634,233.87

  Provisions                             EUR        170,632,000.00

   Pension provisions and comparable

   provisions                            EUR        109,703,000.00

   Provisions for taxes                  EUR         13,990,000.00

   Other / unspecified provisions        EUR         46,939,000.00

  Liabilities                            EUR        181,124,371.72

   Financial debts                       EUR        101,253,482.50

    Liabilities due to banks             EUR        101,253,482.50

   Other liabilities                     EUR         79,870,889.22

    Trade creditors (for IAS incl. bills

    of exchange)                         EUR         11,631,994.10

    Liabililties due to related companiesEUR         55,991,771.75

    Liabilities due to investee companiesEUR            737,178.07

    Unspecified other liabilities        EUR         11,509,945.30

     thereof liabilities from tax /

     financial authorities               EUR          5,943,109.00

     thereof liabilities from social

     security                            EUR            382,113.46

 

 Profit and loss account (cost-summary method) according to Comm.

 Code (HGB)

  Sales                                  EUR        485,170,905.92

  Inventory change + own costs (+/-)     EUR         31,982,481.81

   Inventory change (+/-)                EUR         29,315,493.17

   Capitalised own costs                 EUR          2,666,988.64

  Other operating income                 EUR         14,889,321.47

  Cost of materials                      EUR        152,020,337.20

   Raw materials and supplies, purchased

   goods                                 EUR        138,745,149.25

   Purchased services                    EUR         13,275,187.95

  Gross result (+/-)                     EUR        380,022,372.00

  Staff expenses                         EUR        163,407,331.35

   Wages and salaries                    EUR        139,167,106.33

   Social security contributions and

   expenses for pension plans and

   benefits                              EUR         24,240,225.02

  Total depreciation                     EUR         36,769,383.43

   Depreciation on tangible / intangible

   asssets (incl. start-up and exp. of

   bus.                                  EUR         36,769,383.43

  Other operating expenses               EUR         75,702,804.25

  Operating result from continuing

  operations                             EUR        104,142,852.97

  Result from participating interests

  (+/-)                                  EUR         49,789,563.81

   Expenses / income from participations EUR         49,789,563.81

    Income from transfer of profits      EUR             56,822.95

    Income from related companies        EUR         49,732,740.86

  Interest result (+/-)                  EUR         -3,822,745.55

   Interest and similar income           EUR          9,626,133.67

    thereof from related companies       EUR            286,296.57

   Interest and similar expenses         EUR         13,448,879.22

    thereof paid to related companies    EUR            910,610.15

  Other financial result                 EUR           -946,481.94

   Depreciation on financial assets and

   marketable securities                 EUR            946,481.94

  Financial result (+/-)                 EUR         45,020,336.32

  Result from ordinary operations (+/-)  EUR        149,163,189.29

  Income tax / refund of income tax (+/-)EUR        -19,528,955.42

  Tax (+/-)                              EUR        -19,528,955.42

  Annual surplus / annual deficit        EUR        129,634,233.87

 

 Type of balance

 sheet:               Company balance sheet

 

 Financial year:      01.01.2009 - 31.12.2009

 

 ASSETS                                  EUR        890,253,643.87

  Fixed assets                           EUR        483,206,339.46

   Intangible assets                     EUR          4,124,787.00

    Concessions, licences, rights        EUR          4,124,787.00

   Tangible assets                       EUR        292,052,912.52

    Land / similar rights                EUR        180,050,444.84

    Plant / machinery                    EUR         61,213,387.99

    Other tangible assets / fixtures and

    fittings                             EUR         27,689,472.66

    Advance payments made / construction

    in progress                          EUR         23,099,607.03

   Financial assets                      EUR        187,028,639.94

    Shares in participations /

    subsidiaries and the like            EUR        186,338,906.78

     Shares in related companies         EUR        180,647,706.51

     Shares in investee companies        EUR          5,691,200.27

    Other loans                          EUR            689,733.16

  Current assets                         EUR        404,186,390.94

   Stocks                                EUR         44,889,718.43

    Raw materials, consumables and

    supplies                             EUR         26,981,093.62

    Finished goods / work in progress    EUR         17,908,624.81

   Accounts receivable                   EUR         68,521,191.15

    Trade debtors                        EUR         20,772,804.96

    Amounts due from related companies   EUR         31,728,718.56

    Amounts due from investee companies  EUR            100,000.00

    Other debtors and assets             EUR         15,919,667.63

   Investments in current assets         EUR        171,155,732.86

    Other investments                    EUR        171,155,732.86

   Liquid means                          EUR        119,619,748.50

  Remaining other assets                 EUR          2,860,913.47

   Accruals (assets)                     EUR          2,860,913.47

 

 LIABILITIES                             EUR        890,253,643.87

  Shareholders' equity                   EUR        547,966,103.45

   Capital                               EUR        210,000,000.00

    Subscribed capital (share capital)   EUR        210,000,000.00

   Reserves                              EUR        384,987,507.86

    Capital reserves                     EUR        122,700,000.00

    Retained earnings / revenue reserves EUR        262,287,507.86

   Balance sheet profit/loss (+/-)       EUR        -47,021,404.41

    Annual surplus / annual deficit      EUR        -47,021,404.41

  Provisions                             EUR        160,947,389.77

   Pension provisions and comparable

   provisions                            EUR        106,807,000.00

   Provisions for taxes                  EUR            578,389.77

   Other / unspecified provisions        EUR         53,562,000.00

  Liabilities                            EUR        181,340,150.65

   Financial debts                       EUR        104,269,870.67

    Liabilities due to banks             EUR        104,269,870.67

   Other liabilities                     EUR         77,070,279.98

    Trade creditors (for IAS incl. bills

    of exchange)                         EUR          6,348,143.54

    Liabililties due to related companiesEUR         56,570,180.17

    Liabilities due to investee companiesEUR            274,979.04

    Unspecified other liabilities        EUR         13,876,977.23

     thereof liabilities from tax /

     financial authorities               EUR          5,772,394.04

     thereof liabilities from social

     security                            EUR          1,040,655.12

 

 Profit and loss account (cost-summary method) according to Comm.

 Code (HGB)

  Sales                                  EUR        273,823,762.94

  Inventory change + own costs (+/-)     EUR         -9,547,508.22

   Inventory change (+/-)                EUR        -10,438,383.62

   Capitalised own costs                 EUR            890,875.40

  Other operating income                 EUR         49,526,762.87

  Cost of materials                      EUR         74,927,524.50

   Raw materials and supplies, purchased

   goods                                 EUR         69,651,595.62

   Purchased services                    EUR          5,275,928.88

  Gross result (+/-)                     EUR        238,875,493.09

  Staff expenses                         EUR        143,569,621.43

   Wages and salaries                    EUR        112,674,746.61

   Social security contributions and

   expenses for pension plans and

   benefits                              EUR         30,894,874.82

  Total depreciation                     EUR         38,459,760.97

   Depreciation on tangible / intangible

   asssets (incl. start-up and exp. of

   bus.                                  EUR         38,459,760.97

  Other operating expenses               EUR         52,588,590.27

  Operating result from continuing

  operations                             EUR          4,257,520.42

  Result from participating interests

  (+/-)                                  EUR         -2,404,406.49

   Expenses / income from participations EUR         11,300,763.23

    Income from related companies        EUR         11,300,763.23

   Expenses for participations           EUR         13,705,169.72

    Expenses for other participations    EUR         13,705,169.72

  Interest result (+/-)                  EUR          8,363,587.94

   Interest and similar income           EUR         14,165,229.27

    thereof from related companies       EUR            202,119.64

   Interest and similar expenses         EUR          5,801,641.33

    thereof paid to related companies    EUR            618,551.80

  Other financial result                 EUR        -53,191,706.78

   Depreciation on financial assets and

   marketable securities                 EUR         53,191,706.78

  Financial result (+/-)                 EUR        -47,232,525.33

  Result from ordinary operations (+/-)  EUR        -42,975,004.91

  Income tax / refund of income tax (+/-)EUR         -4,046,399.50

  Tax (+/-)                              EUR         -4,046,399.50

  Annual surplus / annual deficit        EUR        -47,021,404.41


MIRA INFORM REPORT

Report Date :           

08.02.2012

 

IDENTIFICATION DETAILS

 

Correct Name :

DR. JOHANNES HEIDENHAIN GESELLSCHAFT MIT BESCHRÄNKTER HAFTUNG

 

 

Registered Office :

Dr.-Joh.-Heidenhain-Str. 5, D 83301 Traunreut, Post Box1260, D 83292 Traunreut

 

 

Country :

Germany

 

 

Financials (as on) :

31.12.2008

 

 

Date of Incorporation :

16.01.1968

 

 

Com. Reg. No.:

HRB 275

 

 

Legal Form :

Private Limited Company

 

 

Line of Business :

Manufacture of instruments and appliances for measuring,  testing and navigation

 

RATING & COMMENTS

 

MIRA’s Rating :

Ba

 

RATING

STATUS

PROPOSED CREDIT LINE

41-55

Ba

Overall operation is considered normal. Capable to meet normal commitments.

Satisfactory

 

Maximum Credit Limit :

250.000 EUR

Status :

Good

Payment Behaviour :

Regular

Litigation :

Clear

NOTES :

Any query related to this report can be made on e-mail : infodept@mirainform.com while quoting report number, name and date.

 

ECGC Country Risk Classification List – March 31st, 2011

 

Country Name

Previous Rating

                   (31.12.2010)                  

Current Rating

(31.03.2011)

Germany

a1

a1

 

Risk Category

ECGC Classification

Insignificant

 

A1

Low

 

A2

Moderate

 

B1

High

 

B2

Very High

 

C1

Restricted

 

C2

Off-credit

 

D

 


 Bottom of Form

 

Company name & address 

 

Dr. Johannes Heidenhain Gesellschaft mit beschränkter Haftung

 

Main address:

Dr.-Joh.-Heidenhain-Str. 5

D 83301 Traunreut

Post Box:

1260, D 83292 Traunreut

Telephone:        08669/310

Telefax:             08669/38609

Homepage:        www.heidenhain.de

E-mail:              info@heidenhain.de

 

 

VAT no.         

 

DE131557292

 

 

CONCLUSION

 

Business relations are permissible. The company is considered solvent for credits within its scope of business.

 

 

Synthesis

 

LEGAL FORM               Private limited company

Date of foundation:         1889

Shareholders'

agreement:                    07.12.1967

Registered on:               16.01.1968

Commercial Register:     Local court 83278 Traunstein

under:                                       HRB 275

Share capital:                 EUR        210.000.000,00

 

 

Shareholder

 

DR. JOHANNES HEIDENHAIN -Stiftung GmbH

Fridtjof-Nansen-Str. 17

D 83301 Traunreut

Legal form: Private limited company

Share capital:     EUR             30.000,00

Share:             EUR        210.000.000,00

Registered on: 13.07.1970

Reg. data: 83278 Traunstein, HRB 398

 

 

Manager

 

Dr. Thomas Sesselmann

D 84529 Tittmoning

having sole power of representation

born: 27.05.1960

Marital status: married

 

Manager:

Michael Grimm

D 63303 Dreieich

born: 03.04.1960

 

Manager:

Dr. Sebastian Tondorf

D 83329 Waging

born: 06.02.1962

 

Manager:

Dr. Matthias Fauser

D 83355 Grabenstätt

born: 09.10.1965

Marital status: unknown

 

 

President of the Supervisory Board

 

Rainer Burkhard

Maria-Eck-Str. 59

OT Scharam

D 83313 Siegsdorf

Marital status: married

 

 

Vice-president of the Supervisory Board

 

Heinz Albrecht

D 83301 Traunreut

 

 


Member of the Supervisory Board

 

Hermann Steinmaßl

Winkeln 17

D 83413 Fridolfing

born: 15.05.1948

Profession: graduate engineer

Marital status: married

 

Member of the Supervisory Board:

Karl Ittameier

Werner-von-Siemens-Str. 40

D 83301 Traunreut

Profession: dean

 

Member of the Supervisory Board:

Stefan Rauscher

Turnerweg 16

D 83026 Rosenheim

 

Member of the Supervisory Board:

Marina Würnstl

Ulmenstr. 13

D 83308 Trostberg

 

Member of the Supervisory Board:

Lotte Januszweski

D 83301 Traunreut

 

Member of the Supervisory Board:

Jochen Hafner

D 83301 Traunreut

 

Member of the Supervisory Board:

Marianne Hauser

D 83301 Traunreut

 

Member of the Supervisory Board:

Ursula Obermaier

D 83301 Traunreut

 

 

Proxy

 

Dr. rer. nat. Ludwig Wagatha

D 83278 Traunstein

authorized to jointly represent the company

Marital status: unknown


Proxy:

Dr. Walter Kranitzky

D 83278 Traunstein

authorized to jointly represent the company

 

Proxy:

Konrad Sterflinger

D 83308 Trostberg

authorized to jointly represent the company

Marital status: unknown

 

Proxy:

Maria Anna (gen. Marianne) Hauser

D 83416 Saaldorf-Surheim

authorized to jointly represent the company

née: Höglauer

Marital status: unknown

 

Proxy:

Albert Kraller

D 83349 Palling

authorized to jointly represent the company

born: 05.01.1953

 

Proxy:

Dr. Jan Braasch

D 83352 Altenmarkt

authorized to jointly represent the company

 

Proxy:

Dr. Andreas Franz

D 83308 Trostberg

authorized to jointly represent the company

 

 

Further functions/participations of Dr. Thomas Sesselmann

 (Manager)

 

Manager:

Hephaistos Verwaltungs-GmbH

Dr.-Joh.-Heidenhain-Str. 5

D 83301 Traunreut

Legal form: Private limited company

Share capital:     EUR             25.000,00

Registered

on:         02.03.1999

Reg. data:  83278 Traunstein, HRB 11910


Manager:

ATLAS GmbH

Dr.-Joh.-Heidenhain-Str. 5

D 83301 Traunreut

Legal form: Private limited company

Share capital:     EUR             25.000,00

Registered

on:         26.08.2007

Reg. data:  83278 Traunstein, HRB 17869

 

Manager:

HERA GmbH

Dr.-Joh.-Heidenhain-Str. 5

D 83301 Traunreut

Legal form: Private limited company

Share capital:     EUR             25.000,00

Registered

on:         24.08.2007

Reg. data:  83278 Traunstein, HRB 17862

 

Manager:

DR. JOHANNES HEIDENHAIN GmbH

Neutraublinger Str. 4

D 84478 Waldkraiburg

Legal form: Private limited company

dissolved

Share capital:     EUR            260.000,00

Registered

on:         28.11.1987

Reg. data:  83278 Traunstein, HRB 5113

 

Manager:

RSF Elektronik GmbH

Dr.-Joh.-Heidenhain-Str. 5

D 83301 Traunreut

Legal form: Private limited company

Share capital:     EUR            150.000,00

Registered

on:         29.11.1976

Reg. data:  83278 Traunstein, HRB 1257

 

Manager:

Heidenhain Verwaltungs GmbH

Dr.-Joh.-Heidenhain-Str. 5

D 83301 Traunreut

Legal form: Private limited company

dissolved

Share capital:     EUR             30.000,00

Registered

on:         07.11.1996

Reg. data:  83278 Traunstein, HRB 10311

BUSINESS ACTIVITIES

 

Sectors

26512   Manufacture of instruments and appliances for measuring,  testing and navigation

 

 

BRANCHES AND FACTORIES

 

Branch:

                      Dr. Johannes Heidenhain Gesellschaft mit

                      beschränkter Haftung

                      Max-Müller-Str. 23

                      D 30179 Hannover

                      TEL.: 0511/6707-01

                      FAX.: 0511/6707-546

 

 

PARTICIPATIONS

 

Shareholder:

NUMERIK JENA GmbH

Ilmstr. 4

D 07743 Jena

Legal form: Private limited company

Company Status: active

Share capital:     EUR         20.030.000,00

Share:             EUR         20.030.000,00

Reg. data:  20.10.1998

Local court 07745 Jena

HRB 207324

 

Shareholder:

MD Elektronik GmbH

Neutraublinger Str. 4

D 84478 Waldkraiburg

Legal form: Private limited company

Company Status: active

Share capital:     EUR         10.000.000,00

Share:             EUR         10.000.000,00

Reg. data:  24.11.1977

Local court 83278 Traunstein

HRB 1514

 

Shareholder:

LTN Servotechnik GmbH

Georg-Hardt-Str. 4

D 83624 Otterfing

Legal form: Private limited company

Company Status: active

Share capital:     EUR          7.500.000,00

Share:             EUR          7.500.000,00

Reg. data:  07.07.1998

Local court 80797 München

HRB 121158

 

Shareholder:

DR. JOHANNES HEIDENHAIN GmbH

Neutraublinger Str. 4

D 84478 Waldkraiburg

Legal form: Private limited company

Company Status: dissolved  since: 10.12.2008

Share capital:     EUR            260.000,00

Share:             EUR            260.000,00

Reg. data:  28.11.1987

Local court 83278 Traunstein

HRB 5113

 

Shareholder:

ETEL GmbH

Schillgasse 14

D 78661 Dietingen

Legal form: Private limited company

Company Status: active

Share capital:     EUR            250.000,00

Share:             EUR            250.000,00

Reg. data:  03.02.2000

Local court 70190 Stuttgart

HRB 470879

 

Shareholder:

ACU-RITE GmbH

Fraunhoferstr. 1

D 83301 Traunreut

Legal form: Private limited company

Company Status: dissolved  since: 11.07.2009

Share capital:     EUR            150.000,00

Share:             EUR            150.000,00

Reg. data:  25.02.1985

Local court 83278 Traunstein

HRB 4183

 

Shareholder:

hmp HEIDENHAIN-MICROPRINT GmbH

Rhinstr. 134

D 12681 Berlin

Legal form: Private limited company

Company Status: active

Share capital:     EUR             30.000,00

Share:             EUR             30.000,00

Reg. data:  29.06.1992

Local court 14057 Berlin

HRB 43513 B

 

Shareholder:

Heidenhain Verwaltungs GmbH

Dr.-Joh.-Heidenhain-Str. 5

D 83301 Traunreut

Legal form: Private limited company

Company Status: dissolved  since: 22.07.2008

Share capital:     EUR             30.000,00

Share:             EUR             30.000,00

Reg. data:  07.11.1996

Local court 83278 Traunstein

HRB 10311

 

Shareholder:

ATLAS GmbH

Dr.-Joh.-Heidenhain-Str. 5

D 83301 Traunreut

Legal form: Private limited company

Company Status: active

Share capital:     EUR             25.000,00

Share:             EUR             25.000,00

Reg. data:  26.08.2007

Local court 83278 Traunstein

HRB 17869

 

Shareholder:

HERA GmbH

Dr.-Joh.-Heidenhain-Str. 5

D 83301 Traunreut

Legal form: Private limited company

Company Status: active

Share capital:     EUR             25.000,00

Share:             EUR             25.000,00

Reg. data:  24.08.2007

Local court 83278 Traunstein

HRB 17862

 

Shareholder:

Hephaistos Verwaltungs-GmbH

Dr.-Joh.-Heidenhain-Str. 5

D 83301 Traunreut

Legal form: Private limited company

Company Status: active

Share capital:     EUR             25.000,00

Share:             EUR             25.000,00

Reg. data:  02.03.1999

Local court 83278 Traunstein

HRB 11910

Shareholder:

MAZeT GmbH

Göschwitzer Str. 32

D 07745 Jena

Legal form: Private limited company

Company Status: active

Share capital:     EUR             86.050,00

Share:             EUR             19.400,00

Reg. data:  11.02.2003

Local court 07745 Jena

HRB 209557

 

 

FINANCIAL INFORMATION

 

Payment experience:     takes advantage of cash discount

 

Negative information:      We have no negative information at hand.

 

Maximum credit:            > 250.000 EUR

 

Balance sheet year:       2008

 

 

REAL ESTATE

 

 Type of ownership:   proprietor

 Share:                100,00 %

 Address              Rhinstr. 134

                           D 12681 Berlin

 

 Type of ownership:   proprietor

 Share:                100,00 %

 Address              Dr.-Joh.-Heidenhain-Str. 5

                         D 83301 Traunreut

 Size:                 210.000,00sq.m

 Residential floor      35.000,00sq.m

 space/ Usable floor

 space:

 

 Land register documents were not available.

 

 


BANKERS

 

Principal bank

UNICREDIT BANK - HYPOVEREINSBANK, TRAUNSTEIN, OBERBAY

Sort. code: 71022182, BIC: HYVEDEMM453

 

 

FINANCIAL FIGURES

 

 Turnover:            2009               EUR        483.520.000,00

                      2010               EUR        483.510.000,00

 further business figures:

 Employees:                                                  3.022

 - thereof permanent staff:                                  2.698

 - Trainees:                                                   153

 

 

 BALANCE SHEETS

 

 Balance sheet ratios 2008

 Equity ratio [%]:                 62,85

 Liquidity ratio:                   1,21

 Return on total capital [%]:       7,38

 

 Balance sheet ratios 2007

 Equity ratio [%]:                 62,77

 Liquidity ratio:                  10,00

 Return on total capital [%]:       5,09

 

Equity ratio

The equity ratio indicates the portion of the equity as compared to the total capital. The higher the equity ratio, the better the economic stability (solvency) and thus the financial autonomy of a company.

 

Liquidity ratio

The liquidity ratio shows the proportion between adjusted receivables and net liabilities. The higher the ratio, the lower the company's financial dependancy from external creditors.

 

Return on total capital

The return on total capital shows the efficiency and return on the total capital employed in the company. The higher the return on total capital, the more economically does the company work with the invested capital.


Type of balance

 sheet:               Company balance sheet

 

 Financial year:      01.01.2008 - 31.12.2008

 

 ASSETS                                  EUR        955.182.654,18

  Fixed assets                           EUR        549.837.118,47

   Intangible assets                     EUR          5.234.329,56

    Concessions, licences, rights        EUR          5.234.329,56

   Tangible assets                       EUR        306.899.875,70

    Land / similar rights                EUR        169.724.476,83

    Plant / machinery                    EUR         70.555.843,00

    Other tangible assets / fixtures and

    fittings                             EUR         31.843.296,19

    Advance payments made / construction

    in progress                          EUR         34.776.259,68

   Financial assets                      EUR        237.702.913,21

    Shares in participations /

    subsidiaries and the like            EUR        222.458.804,80

     Shares in related companies         EUR        215.334.340,03

     Shares in investee companies        EUR          7.124.464,77

    Loans to participations /

    subsidiaries and the like            EUR         14.500.000,00

     Loans to related companies          EUR         14.500.000,00

    Other loans                          EUR            744.108,41

  Current assets                         EUR        401.303.127,07

   Stocks                                EUR         62.324.920,99

    Raw materials, consumables and

    supplies                             EUR         33.977.912,56

    Finished goods / work in progress    EUR         28.347.008,43

   Accounts receivable                   EUR         83.785.135,71

    Trade debtors                        EUR         27.791.170,74

    Amounts due from related companies   EUR         42.811.681,75

    Amounts due from investee companies  EUR            227.645,94

    Other debtors and assets             EUR         12.954.637,28

   Investments in current assets         EUR        161.450.680,45

    Other investments                    EUR        161.450.680,45

   Liquid means                          EUR         93.742.389,92

  Remaining other assets                 EUR          4.042.408,64

   Accruals (assets)                     EUR          4.042.408,64

 

 LIABILITIES                             EUR        955.182.654,18

  Shareholders' equity                   EUR        596.587.507,86

   Capital                               EUR        210.000.000,00

    Subscribed capital (share capital)   EUR        210.000.000,00

   Reserves                              EUR        316.250.921,51

    Capital reserves                     EUR        122.700.000,00

    Retained earnings / revenue reserves EUR        193.550.921,51

   Balance sheet profit/loss (+/-)       EUR         70.336.586,35

    Annual surplus / annual deficit      EUR         70.336.586,35

  Provisions                             EUR        190.965.000,00

   Pension provisions and comparable

   provisions                            EUR        130.444.000,00

   Provisions for taxes                  EUR          1.464.000,00

   Other / unspecified provisions        EUR         59.057.000,00

  Liabilities                            EUR        167.630.146,32

   Financial debts                       EUR        111.337.502,32

    Liabilities due to banks             EUR        111.337.502,32

   Other liabilities                     EUR         56.292.644,00

    Trade creditors (for IAS incl. bills

    of exchange)                         EUR          9.892.897,35

    Liabililties due to related companiesEUR         27.823.502,24

    Liabilities due to investee companiesEUR          1.022.708,88

    Unspecified other liabilities        EUR         17.553.535,53

     thereof liabilities from tax /

     financial authorities               EUR         10.938.935,13

     thereof liabilities from social

     security                            EUR            216.886,89

 

 Profit and loss account (cost-summary method) according to Comm.

 Code (HGB)

  Sales                                  EUR        537.800.976,53

  Inventory change + own costs (+/-)     EUR          1.921.841,74

   Inventory change (+/-)                EUR         -1.224.335,67

   Capitalised own costs                 EUR          3.146.177,41

  Other operating income                 EUR         18.751.932,66

  Cost of materials                      EUR        177.328.125,01

   Raw materials and supplies, purchased

   goods                                 EUR        162.022.244,58

   Purchased services                    EUR         15.305.880,43

  Gross result (+/-)                     EUR        381.146.625,92

  Staff expenses                         EUR        177.107.997,31

   Wages and salaries                    EUR        142.290.908,33

   Social security contributions and

   expenses for pension plans and

   benefits                              EUR         34.817.088,98

  Total depreciation                     EUR         43.220.692,99

   Depreciation on tangible / intangible

   asssets (incl. start-up and exp. of

   bus.                                  EUR         43.220.692,99

  Other operating expenses               EUR         91.786.400,28

  Operating result from continuing

  operations                             EUR         69.031.535,34

  Result from participating interests

  (+/-)                                  EUR         39.800.872,88

   Expenses / income from participations EUR         47.080.694,72

    Income from transfer of profits      EUR          2.332.242,32

    Income from related companies        EUR         44.748.452,40

   Expenses for participations           EUR          7.279.821,84

    Expenses for other participations    EUR          7.279.821,84

  Interest result (+/-)                  EUR          5.572.099,58

   Interest and similar income           EUR         11.144.254,66

    thereof from related companies       EUR            279.321,69

   Interest and similar expenses         EUR          5.572.155,08

    thereof paid to related companies    EUR            822.621,80

  Other financial result                 EUR        -22.646.118,12

   Depreciation on financial assets and

   marketable securities                 EUR         22.646.118,12

  Financial result (+/-)                 EUR         22.726.854,34

  Result from ordinary operations (+/-)  EUR         91.758.389,68

  Income tax / refund of income tax (+/-)EUR        -21.421.803,33

  Tax (+/-)                              EUR        -21.421.803,33

  Annual surplus / annual deficit        EUR         70.336.586,35

 

 Type of balance

 sheet:               Company balance sheet

 

 Financial year:      01.01.2007 - 31.12.2007

 

 ASSETS                                  EUR        848.447.048,53

  Fixed assets                           EUR        522.222.489,72

   Intangible assets                     EUR          5.660.221,56

    Concessions, licences, rights        EUR          5.660.221,56

   Tangible assets                       EUR        283.533.635,69

    Land / similar rights                EUR        161.438.322,63

    Plant / machinery                    EUR         58.502.683,30

    Other tangible assets / fixtures and

    fittings                             EUR         31.545.259,01

    Advance payments made / construction

    in progress                          EUR         32.047.370,75

   Financial assets                      EUR        233.028.632,47

    Shares in participations /

    subsidiaries and the like            EUR        215.781.100,40

     Shares in related companies         EUR        215.427.400,13

     Shares in investee companies        EUR            353.700,27

    Loans to participations /

    subsidiaries and the like            EUR         14.500.000,00

     Loans to related companies          EUR         14.500.000,00

    Securities included in fixed assets  EUR          1.976.000,00

    Other loans                          EUR            771.532,07

  Current assets                         EUR        325.076.306,21

   Stocks                                EUR         65.548.573,55

    Raw materials, consumables and

    supplies                             EUR         35.977.229,45

    Finished goods / work in progress    EUR         29.571.344,10

   Accounts receivable                   EUR        108.189.889,69

    Trade debtors                        EUR         28.150.462,55

    Amounts due from related companies   EUR         66.314.487,18

    Amounts due from investee companies  EUR            361.646,18

    Other debtors and assets             EUR         13.363.293,78

   Investments in current assets         EUR         15.307.222,49

    Other investments                    EUR         15.307.222,49

   Liquid means                          EUR        136.030.620,48

  Remaining other assets                 EUR          1.148.252,60

   Accruals (assets)                     EUR          1.148.252,60

 

 LIABILITIES                             EUR        848.447.048,53

  Shareholders' equity                   EUR        528.750.921,51

   Capital                               EUR        210.000.000,00

    Subscribed capital (share capital)   EUR        210.000.000,00

   Reserves                              EUR        316.250.921,51

    Capital reserves                     EUR        122.700.000,00

    Retained earnings / revenue reserves EUR        193.550.921,51

   Balance sheet profit/loss (+/-)       EUR          2.500.000,00

    Balance sheet profit / loss          EUR          2.500.000,00

  Provisions                             EUR        185.950.000,00

   Pension provisions and comparable

   provisions                            EUR        123.622.000,00

   Other / unspecified provisions        EUR         62.328.000,00

  Liabilities                            EUR        133.746.127,02

   Financial debts                       EUR         71.571.083,46

    Liabilities due to banks             EUR         71.571.083,46

   Other liabilities                     EUR         62.175.043,56

    Trade creditors (for IAS incl. bills

    of exchange)                         EUR         14.348.155,19

    Liabililties due to related companiesEUR         36.657.723,12

    Liabilities due to investee companiesEUR            203.750,61

    Unspecified other liabilities        EUR         10.965.414,64

     thereof liabilities from tax /

     financial authorities               EUR          5.669.401,90

     thereof liabilities from social

     security                            EUR            527.549,03

 

 Profit and loss account (cost-summary method) according to Comm.

 Code (HGB)

  Sales                                  EUR        517.702.492,92

  Inventory change + own costs (+/-)     EUR          6.015.788,79

   Inventory change (+/-)                EUR          3.863.611,98

   Capitalised own costs                 EUR          2.152.176,81

  Other operating income                 EUR         10.947.892,34

  Cost of materials                      EUR        165.854.393,46

   Raw materials and supplies, purchased

   goods                                 EUR        150.904.128,69

   Purchased services                    EUR         14.950.264,77

  Gross result (+/-)                     EUR        368.811.780,59

  Staff expenses                         EUR        173.713.415,35

   Wages and salaries                    EUR        139.645.122,80

   Social security contributions and

   expenses for pension plans and

   benefits                              EUR         34.068.292,55

  Total depreciation                     EUR         39.625.406,05

   Depreciation on tangible / intangible

   asssets (incl. start-up and exp. of

   bus.                                  EUR         39.625.406,05

  Other operating expenses               EUR         89.852.515,97

  Operating result from continuing

  operations                             EUR         65.620.443,22

  Result from participating interests

  (+/-)                                  EUR         11.195.377,98

   Expenses / income from participations EUR         13.249.465,08

    Income from transfer of profits      EUR          1.666.699,55

    Income from related companies        EUR         11.582.765,53

   Expenses for participations           EUR          2.054.087,10

    Expenses for other participations    EUR          2.054.087,10

  Interest result (+/-)                  EUR         -4.351.991,83

   Interest and similar income           EUR          5.783.454,93

    thereof from related companies       EUR            160.927,39

   Interest and similar expenses         EUR         10.135.446,76

    thereof paid to related companies    EUR            921.705,00

  Other financial result                 EUR         -7.757.314,00

   Depreciation on financial assets and

   marketable securities                 EUR          7.757.314,00

  Financial result (+/-)                 EUR           -913.927,85

  Result from ordinary operations (+/-)  EUR         64.706.515,37

  Income tax / refund of income tax (+/-)EUR        -21.326.213,62

  Other taxes / refund of taxes          EUR           -374.904,49

  Tax (+/-)                              EUR        -21.701.118,11

  Annual surplus / annual deficit        EUR         43.005.397,26


FOREIGN EXCHANGE RATES

 

Currency

Unit

Indian Rupees

US Dollar

1

Rs.48.91

UK Pound

1

Rs.77.30

Euro

1

Rs.64.11

 

 

RATING EXPLANATIONS

 

RATING

STATUS

 

 

PROPOSED CREDIT LINE

>86

Aaa

Possesses an extremely sound financial base with the strongest capability for timely payment of interest and principal sums

 

Unlimited

71-85

Aa

Possesses adequate working capital. No caution needed for credit transaction. It has above average (strong) capability for payment of interest and principal sums

 

Large

56-70

A

Financial & operational base are regarded healthy. General unfavourable factors will not cause fatal effect. Satisfactory capability for payment of interest and principal sums

 

Fairly Large

41-55

Ba

Overall operation is considered normal. Capable to meet normal commitments.

 

Satisfactory

26-40

B

Capability to overcome financial difficulties seems comparatively below average.

 

Small

11-25

Ca

Adverse factors are apparent. Repayment of interest and principal sums in default or expected to be in default upon maturity

 

Limited with full security

<10

C

Absolute credit risk exists. Caution needed to be exercised

 

 

Credit not recommended

----

NB

New Business

----

 

This score serves as a reference to assess SC’s credit risk and to set the amount of credit to be extended. It is calculated from a composite of weighted scores obtained from each of the major sections of this report. The assessed factors and their relative weights (as indicated through %) are as follows:

 

Financial condition (40%)            Ownership background (20%)                 Payment record (10%)

Credit history (10%)                    Market trend (10%)                                Operational size (10%)

 

 

 

PRIVATE & CONFIDENTIAL : This information is provided to you at your request, you having employed MIPL for such purpose. You will use the information as aid only in determining the propriety of giving credit and generally as an aid to your business and for no other purpose. You will hold the information in strict confidence, and shall not reveal it or make it known to the subject persons, firms or corporations or to any other. MIPL does not warrant the correctness of the information as you hold it free of any liability whatsoever. You will be liable to and indemnify MIPL for any loss, damage or expense, occasioned by your breach or non observance of any one, or more of these conditions

This report is issued at your request without any risk and responsibility on the part of MIRA INFORM PRIVATE LIMITED (MIPL) or its officials.