MIRA INFORM REPORT

 

 

Report Date :

17.05.2012

 

IDENTIFICATION DETAILS

 

Name :

PLASTENE INDIA LIMITED (w.e.f January 2007)

 

 

Formerly Known As :

OSWAL AGLOIMPEX PRIVATE LIMITED

 

 

Registered Office :

H.B. Jirawala House, 13, Nav Bharat Society, Opposite Punchsheel Bus Stand, Usmanpura, Ahmedabad – 380 013, Gujarat

 

 

Country :

India

 

 

Financials (as on) :

31.03.2011

 

 

Date of Incorporation :

16.10.1998

 

 

Com. Reg. No.:

04-034861

 

 

Paid-up Capital :

Rs. 252.484 Millions

 

 

CIN No.:

[Company Identification No.]

U25209GJ1998PLC034861

 

 

TAN No.:

[Tax Deduction & Collection Account No.]

RKTO00008B

 

 

PAN No.:

[Permanent Account No.]

AAACO3087C

 

 

Legal Form :

A Closely Held Public Limited Liability Company

 

 

Line of Business :

Manufacturer and Exporter of Plastic Packaging Related Product.

 

 

No. of Employees :

1000 (approximately) (In office + In factory)

 

 

RATING & COMMENTS

 

MIRA’s Rating :

Ba (49)

 

RATING

STATUS

PROPOSED CREDIT LINE

41-55

Ba

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

Satisfactory

 

Maximum Credit Limit :

USD 3517184

 

 

Status :

Satisfactory

 

 

Payment Behaviour :

Usually Correct

 

 

Litigation :

Clear

 

 

Comments :

Subject is a well established company having satisfactory track. Trade relations are reported as fair. Business is active. Payments are reported to be usually correct and as per commitments.

 

The company can be considered normal for business dealings at usual trade terms and conditions.

 

NOTES:

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

 

 

INFORMATION PARTYED BY

 

Name :

Mr. Sunil Bhagwat

Designation :

Accounts Manager

Contact No.:

91-79-27561000

 

 

LOCATIONS

 

Registered Office :

H.B. Jirawala House, 13, Nav Bharat Society, Opposite Punchsheel Bus Stand, Usmanpura, Ahmedabad – 380 013, Gujarat, India

Tel. No.:

91-79-27561000/ 27550674 / 27550764

Fax No.:

91-79-27551764

E-Mail :

info@champalalgroup.com

cs@champalalgroup.com

exports@champalalgroup.com

munmuncs@champalalgroup.com

sunil@champalalgroup.com

Website :

www.champalalgroup.com

Area :

1200 Sq Yard

Location :

Owned

 

 

Factory 1 :

Survey No. 317/ 1 Nanichirai, Kutch, Gandhidham - 370 140, Gujarat, India

Location :

Owned

 

 

Factory 2 :

Plot No. 73-74, KASEZ, Gandhidham – 370 230, Gujarat, India

 

 

Factory 3 :

Survey No.1551 and 1552/1, Village Rajpur, Ahmedabad Mehsana Highway No.8.

 

 

Factory 4 :

Plot No. 828, Ambica Industrial Estate, Village Santej, Taluka Kalol, Distrcit Gandhinagar – 382721, Gujarat, India

 

 

DIRECTORS

 

AS ON 29.08.2011

 

Name :

Mr. Champalal Gekachand Parekh

Designation :

Chairman

Address :

Plot No. 131, Sector-4, Gandhidham, Kutch-370201, Gujarat, India

Date of Birth/Age :

06.10.1935

Qualification :

Graduate

Date of Appointment :

08.09.2004

DIN No.:

00199884

 

Other Directorship:

 

S.No.

CIN

Name of the Company

Current designation of the director

Date of appointment at current designation

Original date of appointment

Date of cessation

Company Status

Defaulting status

1

U24220GJ1965PTC002431

DOONGURSEE SALT WORKS PVT LTD

Director

11/04/1986

11/04/1986

-

Active

NO

2

U02000GJ1990PTC013376

OSWAL COMMODITIES PRIVATE LIMITED

Director

19/02/1990

19/02/1990

-

Active

NO

3

U35115GJ1988PTC010741

OSWAL LUMBERS PVT LTD

Director

05/01/2008

04/08/1993

-

Active

NO

4

U15400GJ1993PLC020652

ANKUR CHEMFOOD LIMITED

Director

05/07/1995

05/07/1995

-

Active

NO

5

U01110GJ1995PTC027910

YMP MACHINERIES PRIVATE LIMITED

Director

19/10/1995

19/10/1995

-

Active

NO

6

U25209GJ1998PLC034861

PLASTENE INDIA LIMITED

Director

08/09/2004

08/09/2004

-

Active

NO

7

U17110GJ2004PTC045194

NAKODA COTTON INDUSTRIES PRIVATE LIMITED

Director

22/12/2004

22/12/2004

-

Active

NO

8

U21014GJ2004PTC043494

KANDLA PACKAGING PRIVATE LIMITED

Additional director

10/10/2008

10/10/2008

01/11/2010

Active

NO

 

 

Name :

Mr. Prakash Hiralal Parekh

Designation :

Managing Director

Address :

7/B, Sumati Nagar Society, Usmanpura, Ahmedabad-380013, Gujarat, India

Date of Birth/Age :

26.09.1973

Qualification :

Chemical Engineer

Date of Appointment :

08.09.2004

DIN No.:

00158264

 

Other Directorship:

 

S.No.

CIN

Name of the Company

Current designation of the director

Date of appointment at current designation

Original date of appointment

Date of cessation

Company Status

Defaulting status

1

U25209GJ1998PLC034861

PLASTENE INDIA LIMITED

Managing director

23/12/2010

08/09/2004

-

Active

NO

2

U25200GJ2005PTC047216

PLASPACK SYNTHETICS PRIVATE LIMITED

Director

05/10/2006

05/10/2006

-

Active

NO

3

U45201GJ2008PLC053258

PLASTENE INFRASTRUCTURE LIMITED

Director

14/03/2008

14/03/2008

-

Active

NO

4

U25200GJ2009PLC058586

PLASTENE POLYFILMS LIMITED

Managing director

26/04/2010

16/11/2009

-

Active

NO

 

 

Name :

Mr. Parvesh Chander Chamanlal Suri

Designation :

Director

Address :

A – 3, Navroj Appartments Dafnala, Shahibaugh, Ahmedabad – 380004

Date of Birth/Age :

31.12.1942

Date of Appointment :

12.11.2007

DIN No.:

01861687

 

Other Directorship:

 

S.No.

CIN

Name of the Company

Current designation of the director

Date of appointment at current designation

Original date of appointment

Date of cessation

Company Status

Defaulting status

1

U25209GJ1998PLC034861

PLASTENE INDIA LIMITED

Director

30/09/2008

12/11/2007

-

Active

NO

2

U25200GJ2004PLC045239

OSWAL EXTRUSION LIMITED

Director

29/08/2011

25/01/2011

-

Active

NO

 

 

Name :

Mr. Mahesh Bhandari

Designation :

Director

Address :

502, Aadeshwar Appartment, Sayani Marg, Prabha Devi, Mumbai – 400025

Date of Birth/Age :

07.07.1960

Date of Appointment :

06.08.2010

DIN No.:

01115263

 

Other Directorship:

 

S.No.

CIN

Name of the Company

Current designation of the director

Date of appointment at current designation

Original date of appointment

Date of cessation

Company Status

Defaulting status

1

U23200MH1994PTC077010

ESSEL RPW PROJECTS PRIVATE LIMITED

Director

17/11/2006

17/11/2006

31/01/2008

Active

NO

2

U45203MH2007PTC173577

WESTERN M P INFRASTRUCTURE & TOLL ROADS PRIVATE LIMITED

Director

28/08/2007

28/08/2007

31/01/2008

Active

NO

3

U92190MH2007PLC177148

ESSEL ENTERTAINMENT MEDIA LIMITED

Director

27/12/2007

27/12/2007

31/01/2008

Amalgamated

NO

4

U26956MH1986PLC041779

TAPI PRESTRESSED PRODUCTS LIMITED

Director appointed in casual vacancy

26/04/2008

26/04/2008

-

Active

NO

5

U25209GJ1998PLC034861

PLASTENE INDIA LIMITED

Director

20/09/2010

06/08/2010

-

Active

NO

6

L72200AP1997PLC045396

SANKHYA INFOTECH LIMITED

Director

30/09/2011

20/09/2010

-

Active

NO

7

U40109DL1985PTC114839

NSL RENEWABLE POWER PRIVATE LIMITED

Director

30/09/2011

21/12/2010

19/03/2012

Active

NO

8

U45400AP2007PTC054029

NSL CONVENTIONAL POWER PRIVATE LIMITED

Managing director

30/09/2011

05/01/2011

20/03/2012

Active

NO

 

 

KEY EXECUTIVES

 

Name :

Ms. Munmum Sourendra Dutta

Designation :

Company Secretary

Address :

A/3, Suresha Apartment, Navarangpura, Ahmedabad – 380009, Gujarat, India

Date of Birth/Age :

25.12.1979

Date of Appointment :

07.02.2011

PAN No.:

AJPPD2291J

 

 

Name :

Mr. Sunil Bhagwat

Designation :

Accounts Manager

 

 

MAJOR SHAREHOLDERS / SHAREHOLDING PATTERN

 

AS ON 29.08.2011

 

NAME OF SHAREHOLDERS

TOTAL SHARES

Kushalraj Parekh

10400

Mukesh Parekh

57200

Deepak Parekh

563200

Pritesh Parekh

10400

Suman Dhanpat Parekh

104000

Champalal G. Parekh

1022100

Ratanlai G.Parekh

68900

Ashok Parekh

765700

Geetadevi A Parekh

130000

Dhanpat C Parekh

742820

Reshmidevi C Parekh

65000

Champalal.G. Parekh & Reshmidevi

65000

Vidhyadevi H. Parekh

110500

Manjudevi S. Parekh

117000

Prakash H. Parekh

3066450

YMP Machineries Pvt Ltd(Formly Known as Champalal Agri-lmpex P Ltd)

3960249

Oswal Wood Pvt Ltd

526500

Oswal Lumbers Pvt Ltd

4437732

Lalit Labhchand Golecha

130

Oswal Commodities Pvt Ltd

3916588

Prakash H. Parekh (HLIF)

1987700

Hiralal Champalal Parekh

29250

Chetan S. Parekh

359100

Kamaladevi Hiralal Jirawala

13000

Ramesh Bagrecha

52000

Sanjay Bagrecha

52000

Suman Bagrecha

52000

Parsamal Bagrecha

52000

S.Ashok Kumar (HUF)

120000

S. Vasanth Kumar (HUF)

120000

A. Vanitha

120000

Anupama V.

120000

Ranjeetmal Kastia

13000

GauravSuri

19500

Madhu Prakash Parekh & Prakash Hiralal Parekh

1436500

Sanjay Jayantilal Mandavia

13000

Siddharth Parekh

351300

Manisha Chetan Parekh

1300

Shantilal C. Parekh

21300

Veena Shukla

23400

Saurabh Amin

9750

Gyan Chand Singhvi

9750

Sanjiv Mehta

9750

Santosh Mehta

9750

Neeraj Bhandawat

5850

Madhu P. Parekh

9750

Dalpat Chand Mehta

5200

Daksha Dalpat Mehta

5200

Lalit Munnalal Jain

19500

S. Ashok Kumar

10010

Mamta Mukesh Parekh

130

Jasodadevi R.Parekh

130

Leeladevi K Parekh

130

Pinky Pritesh Parekh

130

Jhaverilal Chandanmal Salecha

130

Sangita Jhaverilal Salecha

130

Sandhya J Jain

260

Naynaben Lalitbhai Golecha

130

Ganpatraj C. Salecha

130

Deepak G. Salecha

130

Nilam D. Salecha

130

Leeladevi Salecha

130

Charmi Salecha

130

Mili Salecha

130

Sanjana Mehta

130

Saloni Mehta

130

Mahavir Parekh

130

Manju Suresh Bagrecha

130

Babita Ramesh Bagrecha

130

Daxa Sanjay Bagrecha

130

Ritu Suman Bagrecha

130

Suresh Parasmal Bagrecha

390

Pravin Jasraj Kothari

15650

Chanda Pravin Kothari

15600

Jivanjot Kumedam

42600

Ramswaroop Puranmal Soni

100

Kaushik Balabhai Kapadia

800

Dipesh Chhajer

200

Rameshbhai Gianani

200

Loonchanji Sevaramji Banthia

100

Ashok Kumar Loonchandji Banthia

100

Vandana A. Vyas

200

Jaysukh M. Lalani

400

Sanjay Mahavirchand Salecha

1200

Gulabbhai Vishindas Gidwani

4925

Sarojkumar Gupta

19500

Neetu Parekh

300000

Rahul Raj Bhandari

25000

Pradeep Tater

25000

Kirit C. Gandhi

2925

Total

25248479

 

AS ON 29.08.2011

 

Equity Share Break up (Percentage of Total Equity)

 

Category

Percentage

Foreign holdings( Foreign institutional investor(s), Foreign companie(s) Foreign financial institution(s), Non-resident Indian(s) or Overseas Corporate bodies or Others

0.10

Bodies corporate

50.86

Directors or relatives of Directors

44.99

Other top fifty shareholders

4.05

Total

100.00

 

 

BUSINESS DETAILS

 

Line of Business :

Manufacturer and Exporter of Plastic Packaging Related Product.

 

 

Products :

Product Description

ITC Code

Plastic Woven Bags/ Sacks

39232990

Plastic Multilayer Bags

39232100

Plastic Woven Fabrics

39269080

 

 

Exports :

 

Products

  • Plastic Aglomerates

Countries :

  • UK
  • Europe
  • USA
  • Canada

 

 

Imports :

 

Products :

  • Raw Material

Countries :

  • USA
  • UK

 

 

Terms :

 

Selling :

Cash and Credit

 

 

Purchasing :

Cash and Credit

 

 

GENERAL INFORMATION

 

Suppliers :

Reliance

 

 

Customers :

·         Wholesalers

·         Retailers

·         Sanghi Cement Limited

 

 

No. of Employees :

1000 (approximately) (In office + In factory)

 

 

Bankers :

  • Bank of Baroda, Corporate Financial Services Branch Baroda, Floor, Opp Petrol Pump, R.C Dutt Road, Alkapuri, Baroda - 390007, Gujarat, India
  • Export-Import Bank of India, Centre One Building, Floor 21, World Trade Centre Complex, Cuffe Parade,, Mumbai - 400005, Maharashtra, India

 

 

Facilities :

Secured Loans :

 

As on 31.03.2011

Rs. in Millions

As on 31.03.2010

Rs. in Millions

Rupee term loans banks secured

307.228

295.080

Working capital loans banks secured

677.884

470.538

Loans taken for vehicles secured

5.339

6.577

Total

990.451

772.195

 

 

Unsecured Loans :

As on 31.03.2011

Rs. in Millions

As on 31.03.2010

Rs. in Millions

From Debt Unsecured

82.582

33.009

Total

 

 

 

 

 

Banking Relations :

--

 

 

Financial Institute :

  • Srei Infrastructure Finance Limited
  • Cholamandalam Finance Limited

 

 

Auditors :

 

Name :

Bhanwar Jain and Company

Chartered Accountants

Address :

302, Kaling Complex, Near Mount Carmel School, Ashram Road, Ahmedabad-380009, Gujarat, India

Tel. No.:

91-79-26583107/26579367

E-mail.:

bmjain2001@yahoo.co.in

 

 

Associates :

  • Plastene Infrastructure Limited
  • Plasto Processors
  • YMP Machineries Private Limited
  • Parekh Polymers
  • Oswal Timber Industries
  • Plastene Polyfilms Limited

 

 

Subsidiaries :

  • Oswal Extrusion Limited

 

 

CAPITAL STRUCTURE

 

AS ON 29.08.2011

 

Authorised Capital :

No. of Shares

Type

Value

Amount

36000000

Equity Shares

Rs.10/- each

Rs.360.000 Millions

 

 

 

 

 

Issued, Subscribed & Paid-up Capital :

No. of Shares

Type

Value

Amount

25248479

Equity Shares

Rs.10/- each

Rs.252.484 Millions

 

 

 

 

 

 

 

 

 

 

 


 

FINANCIAL DATA

[all figures are in Rupees Millions]

 

 

ABRIDGED BALANCE SHEET

 

SOURCES OF FUNDS

 

31.03.2011

31.03.2010

31.03.2009

SHAREHOLDERS FUNDS

 

 

 

1] Share Capital

252.484

231.484

223.249

2] Share Application Money

0.000

220.150

70.000

3] Reserves & Surplus

626.812

312.377

169.373

4] (Accumulated Losses)

0.000

0.000

0.000

NETWORTH

879.296

764.011

462.622

LOAN FUNDS

 

 

 

1] Secured Loans

990.451

772.195

954.521

2] Unsecured Loans

82.582

31.809

20.193

TOTAL BORROWING

1073.033

804.004

974.714

DEFERRED TAX LIABILITIES

107.406

83.368

51.376

 

 

 

 

TOTAL

2059.735

1651.383

1488.712

 

 

 

 

APPLICATION OF FUNDS

 

 

 

 

 

 

 

FIXED ASSETS [Net Block]

993.839

883.499

890.203

Capital work-in-progress

43.207

120.010

22.258

 

 

 

 

INVESTMENT

72.001

63.401

31.992

DEFERREX TAX ASSETS

0.000

0.000

0.000

 

 

 

 

CURRENT ASSETS, LOANS & ADVANCES

 

 

 

 

Inventories

755.597
606.517
406.768

 

Sundry Debtors

568.133
455.644
308.627

 

Cash & Bank Balances

235.492
138.209
113.160

 

Other Current Assets

0.000
0.000
0.000

 

Loans & Advances

382.771
383.510
439.572

Total Current Assets

1941.993
1583.882
1268.127

Less : CURRENT LIABILITIES & PROVISIONS

 

 

 

 

Sundry Creditors

918.977

850.272

520.084

 

Current Liabilities

43.603

134.618

205.265

 

Provisions

47.870
25.011
8.631

Total Current Liabilities

1010.450
1009.901
733.980

Net Current Assets

931.543
573.981
534.146

 

 

 

 

MISCELLANEOUS EXPENSES

19.145

10.492

10.114

 

 

 

 

TOTAL

2059.735

1651.383

1488.712

 

 

 

 PROFIT & LOSS ACCOUNT

 

 

PARTICULARS

31.03.2011

31.03.2010

31.03.2009

 

SALES

 

 

 

 

 

Sales

3612.864

2675.475

2088.485

 

 

Other Income

64.486

43.983

 

 

 

TOTAL                                     (A)

3677.350

2719.458

2088.485

 

 

 

 

 

Less

EXPENSES

 

 

 

 

 

Consumption materials changes inventories

2796.399

1991.918

1589.158

 

 

Manufacturing service costs

239.105

191.471

64.781

 

 

Contract cost

43.054

33.908

 

 

 

Employee related expenses

131.810

91.965

236.157

 

 

Administrative selling other expenses

60.818

66.770

46.154

 

 

Increase/(Decrease) in Stock

0.000

0.000

(21.733)

 

 

TOTAL                                     (B)

3271.186

2376.032

1914.517

 

 

 

 

 

Less

PROFIT BEFORE INTEREST, TAX, DEPRECIATION AND AMORTISATION (A-B)      (C)

406.164

303.101

173.968

 

 

 

 

 

Less

FINANCIAL EXPENSES                         (D)

149.198

119.589

77.779

 

 

 

 

 

 

PROFIT BEFORE TAX, DEPRECIATION AND AMORTISATION (C-D)                                       (E)

256.966

183.512

96.189

 

 

 

 

 

Less/ Add

DEPRECIATION/ AMORTISATION                     (F)

53.586

48.238

31.687

 

 

 

 

 

Less

PRIOR PERIOD ADJUSTMENT

4.995

0.000

0.000

 

 

 

 

 

 

PROFIT BEFORE TAX (E-F)                               (G)

198.385

135.270

64.500

 

 

 

 

 

Less

TAX                                                                  (I)

72.949

54.993

33.889

 

 

 

 

 

 

PROFIT AFTER TAX (G-I)                                  (J)

125.436

80.277

30.611

 

 

 

 

 

 

EARNINGS IN FOREIGN CURRENCY

NA

825.266

736.293

 

 

 

 

 

 

IMPORTS

 

 

 

 

Raw Materials

NA

693.263

484.442

 

Stores & Spares

NA

1.087

--

 

Capital Goods

NA

91.625

--

 

Total

NA

785.975

484.442

 

 

 

KEY RATIOS

 

PARTICULARS

 

 

31.03.2011

31.03.2010

31.03.2009

PAT / Total Income

(%)

3.41

2.95

1.46

 

 

 

 

 

Net Profit Margin

(PBT/Sales)

(%)

5.49

5.06

NA

 

 

 

 

 

Return on Total Assets

(PBT/Total Assets}

(%)

6.76

8.54

5.08

 

 

 

 

 

Return on Investment (ROI)

(PBT/Networth)

 

0.22

0.17

0.13

 

 

 

 

 

Debt Equity Ratio

(Total Liability/Networth)

 

2.37

1.32

1.58

 

 

 

 

 

Current Ratio

(Current Asset/Current Liability)

 

1.92

1.56

1.72

 

 

 

LOCAL AGENCY FURTHER INFORMATION

 

Check List by Info Agents

Available in Report (Yes / No)

1) Year of Establishment

Yes

2) Locality of the firm

Yes

3) Constitutions of the firm

Yes

4) Premises details

Yes

5) Type of Business

Yes

6) Line of Business•

Yes

7) Promoter’s background

Yes

8) No. of employees

Yes

9) Name of person contacted

Yes

10) Designation of contact person

Yes

11) Turnover of firm for last one years

Yes

12) Profitability for last three years

Yes

13) Reasons for variation <> 20%

No

14) Estimation for coming financial year

No

15) Capital in the business

Yes

16) Details of sister concerns

Yes

17) Major suppliers

Yes

18) Major customers

Yes

19) Payments terms

Yes

20) Export / Import details (if applicable)

Yes

21) Market information

--

22) Litigations that the firm / promoter

--

23) Banking Details

Yes

24) Banking facility details

Yes

25) Conduct of the banking account

--

26) Buyer visit details

--

27) Financials, if provided

Yes

28) Incorporation details, if applicable

Yes

29) Last accounts filed at ROC

Yes

30) Major Shareholders, if available

Yes

 

Change of address

 

The situation of the registered office of the company was changed from 317/ 1, Nani Chirai, Kutch – 370 140, Gujarat to the present address w.e.f. 02.01.2006.

 

TRADE REFERENCES:

 

  • Sanghi Cement Limited
  • Reliance

 

Form 8

 

Corporate identity number of the company

U25209GJ1998PLC034861

Name of the company

PLASTENE INDIA LIMITED

Address of the registered office or of the principal place of  business in India of the company

H.B.Jirawala House,13,Nav Bharat society

 Opp.Punchsheel Bus Stand , Usmanpura

Ahmedabad - 380013

Gujarat, INDIA

E-mail : munmumcs@champalalgroup.com

This form is for

Modification of Charge

Charge identification (ID) number of the charge to be modified

90105465

Type of charge

Immovable Property

Particular of charge holder

State Bank of India, 1st Floor, Neptune Tower Annexe, Nr. Gandhigram Railway Station, Ahmedabad – 380 009, Gujarat, India

E-mail : sbi.60327@sbi.co.in

Nature of instrument creating charge

Memorandum of constructive delivery of title deeds for creation of further charge for term loans and working capital facilities where the initial charge is created by way of mortgage by deposit of title deeds dated 26th July 2011

Date of instrument Creating the charge

26.07.2011

Amount secured by the charge

2635.000 Millions

Brief of the principal terms an conditions and extent and operation of the charge

Rate of Interest :

As per Annexure

 

Terms of Repayment :

As per Annexure

 

Margin :

As per Annexure

 

Extent and Operation of the charge:

As per Annexure

Short particulars of the property charged

All that piece of parcel of immovable property situated at 314 (317/1 and 317/2) Village Nani Chirai, Ta Bhachau, District Kutch, Gujarat, India

 

All that piece of parcel of immovable property bearing 1 H. B. Jirawala House, Navbharat Co-Operative Housing Society Limited Opposite Panchsheel Society, Usmanpura, Ahmedabad, Gujarat

 

All that piece of parcel of Non Agricultural land situated at 1551 and 1552/1 Paiki 2, Village Rajpur, Taluka Kadi, District Mehsana, Gujarat, India  

Date of instrument modifying the charge

07.03.2009

Particulars of the present modification

The charge on movable properties of the company is extended from Rs.1715.000 Millions to Rs.2635.000 Millions

 

  

FIXED ASSETS:

  • Land
  • Building
  • Plant and Machinery
  • Electric Installation
  • Furniture, Fixtures and Office Equipments
  • Vehicles

 

 

 

 


CMT REPORT (Corruption, Money Laundering & Terrorism]

 

The Public Notice information has been collected from various sources including but not limited to: The Courts, India Prisons Service, Interpol, etc.

 

1]         INFORMATION ON DESIGNATED PARTY

No records exist designating subject or any of its beneficial owners, controlling shareholders or senior officers as terrorist or terrorist organization or whom notice had been received that all financial transactions involving their assets have been blocked or convicted, found guilty or against whom a judgement or order had been entered in a proceedings for violating money-laundering, anti-corruption or bribery or international economic or anti-terrorism sanction laws or whose assets were seized, blocked, frozen or ordered forfeited for violation of money laundering or international anti-terrorism laws.

 

2]         Court Declaration :

No records exist to suggest that subject is or was the subject of any formal or informal allegations, prosecutions or other official proceeding for making any prohibited payments or other improper payments to government officials for engaging in prohibited transactions or with designated parties.

 

3]         Asset Declaration :

No records exist to suggest that the property or assets of the subject are derived from criminal conduct or a prohibited transaction.

 

4]         Record on Financial Crime :

            Charges or conviction registered against subject:                                                              None

 

5]         Records on Violation of Anti-Corruption Laws :

            Charges or investigation registered against subject:                                                          None

 

6]         Records on Int’l Anti-Money Laundering Laws/Standards :

            Charges or investigation registered against subject:                                                          None

 

7]         Criminal Records

No available information exist that suggest that subject or any of its principals have been formally charged or convicted by a competent governmental authority for any financial crime or under any formal investigation by a competent government authority for any violation of anti-corruption laws or international anti-money laundering laws or standard.

 

8]         Affiliation with Government :

No record exists to suggest that any director or indirect owners, controlling shareholders, director, officer or employee of the company is a government official or a family member or close business associate of a Government official.

 

9]         Compensation Package :

Our market survey revealed that the amount of compensation sought by the subject is fair and reasonable and comparable to compensation paid to others for similar services.

 

10]        Press Report :

            No press reports / filings exists on the subject.

 


 

CORPORATE GOVERNANCE

 

MIRA INFORM as part of its Due Diligence do provide comments on Corporate Governance to identify management and governance. These factors often have been predictive and in some cases have created vulnerabilities to credit deterioration.

 

Our Governance Assessment focuses principally on the interactions between a company’s management, its Board of Directors, Shareholders and other financial stakeholders.

 

 

CONTRAVENTION

 

Subject is not known to have contravened any existing local laws, regulations or policies that prohibit, restrict or otherwise affect the terms and conditions that could be included in the agreement with the subject.

 

 

FOREIGN EXCHANGE RATES

 

Currency

Unit

Indian Rupees

US Dollar

1

Rs.54.29

UK Pound

1

Rs.86.60

Euro

1

Rs.60.87

 

INFORMATION DETAILS

 

Report Prepared by :

SDA


 

SCORE & RATING EXPLANATIONS

 

SCORE FACTORS

 

RANGE

POINTS

HISTORY

1~10

5

PAID-UP CAPITAL

1~10

5

OPERATING SCALE

1~10

5

FINANCIAL CONDITION

 

 

--BUSINESS SCALE

1~10

6

--PROFITABILIRY

1~10

6

--LIQUIDITY

1~10

6

--LEVERAGE

1~10

5

--RESERVES

1~10

6

--CREDIT LINES

1~10

5

--MARGINS

-5~5

----

DEMERIT POINTS

 

 

--BANK CHARGES

YES/NO

YES

--LITIGATION

YES/NO

NO

--OTHER ADVERSE INFORMATION

YES/NO

NO

MERIT POINTS

 

 

--SOLE DISTRIBUTORSHIP

YES/NO

NO

--EXPORT ACTIVITIES

YES/NO

YES

--AFFILIATION

YES/NO

YES

--LISTED

YES/NO

NO

--OTHER MERIT FACTORS

YES/NO

YES

TOTAL

 

49

 

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%)

 


 

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

-

 

 

 

 

 

 

 

 

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.