MIRA INFORM REPORT

 

Report No. :

321445

Report Date :            

08.06.2015

 

IDENTIFICATION DETAILS

 

Name :

MAGNESITA REFRATÁRIOS SA

 

 

Registered Office :

Praça Louis Ensch, 240 - Cidade Industrial, Zip Code 32210-050 - Contagem/Mg

 

 

Country :

Brazil

 

 

Financials (as on) :

31.12.2011

 

 

Date of Incorporation :

26.12.2006

 

 

Legal Form :

Publicly held corporation

 

 

Line of Business :

Manufacture of refractory ceramic products

 

 

No. of Employees :

6300

 


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, 2012

 

Country Name

Previous Rating

                   (31.12.2011)                  

Current Rating

(31.03.2012)

Brazil

A2

A2

 

Risk Category

ECGC Classification

Insignificant

 

A1

Low

 

A2

Moderate

 

B1

High

 

B2

Very High

 

C1

Restricted

 

C2

Off-credit

 

D

 


Company name

 

MAGNESITA REFRATÁRIOS S/A

 

 

company ADDRESSES

 

MAIN ADDRESS:

PRAÇA LOUIS ENSCH, 240 - CIDADE INDUSTRIAL

ZIP CODE/CITY:

32210-050 - CONTAGEM/MG

 

 

PHONE:

31 3368-1432

FAX:

31 3348-8566

E-MAIL:

magnesita@magnesita.com.br

WEB SITE:

www.magnesita.com.br

 

BRANCHES:

 

 

 

ADDRESS:

RUA BEGÔNIA, 169 SETOR A CAMPINA VERDE

ZIP CODE/CITY:

32150-350 CONTAGEM/MG

 

 

ADDRESS:

AVENIDA ALTINO ARANTES - S/Nş. LADO ESQUERDO JUNDIAPEBA

ZIP CODE/CITY:

08750-500 MOGI DAS CRUZES/SP

 

 

ADDRESS:

RUA JORNALISTA ZOLTAN GLUECK, 93

ZIP CODE/CITY:

32210-090 CONTAGEM/MG

 

THE COMPANY ALSO HAS OTHER BRANCHES LOCATED IN: BRUMADO/BA, CONCEIÇĂO DO PARÁ/MG, PONTA GROSSA/PR, BOM SUCESSO DE ITARARÉ/SP, MOGI DAS CRUZES/SP, ONÇA DO PITANGUI/MG, ITAMARANDIBA/MG, UBERABA/MG, CUBATĂO/SP, POÇOS DE CALDAS/MG AND JOĂO PINHEIRO/MG.

 

 

LEGAL DATA

 

MAIN ACTIVITIES:

 

MANUFACTURE OF REFRACTORY CERAMIC PRODUCTS.

 

LEGAL FORM:

PUBLICLY HELD CORPORATION

 

 

INCORPORATION DATE:

26/12/2006

REGISTER DATE:

26/12/2006

BALANCE SHEET FILING DATE:

31/12

TAX CONTRIBUTOR NUMBER(CNPJ):

08.684.547/0001-65

STATE REGISTER:

001066066.00-16

 

 

SHARE CAPITAL:

R$ 2.528.146.113,65

LAST REGISTER OF CAPITAL:

22/02/2011

 

BOARD OF DIRECTORS:

 

 

 

RONALDO IABRUDI DOS SANTOS PEREIRA

PRESIDENT DIRECTOR

FLÁVIO REZENDE BARBOSA

INVESTORS RELATIONS DIRECTOR

AFONSO CELSO RESENDE

DIRECTOR

FABRÍCIO RODRIGUES AMARAL

DIRECTOR

WAGNER MARIANO SAMPAIO

DIRECTOR

LUIS RODOLFO MARIANI BITTENCOURT

DIRECTOR

GUSTAVO LÚCIO GONÇALVES FRANCO

DIRECTOR

MILTON JOSÉ DE OLIVEIRA SACRAMENTO

DIRECTOR

OTTO ALEXANDRE LEVY REIS

DIRECTOR

YAN HOFFSTETTER

DIRECTOR

PETER PAUL LOURENÇO ESTERMANN

DIRECTOR

GILMAR FAVA CARRARA

DIRECTOR

OCTAVIO CORTES PEREIRA LOPES

DIRECTOR

 

 

AUTHORIZED USE OF SIGNATURE

 

THE DIRECTORS ARE AUTHORIZED TO SIGN ON BEHALF OF THE COMPANY.

 

SHAREHOLDERS / PARTNERS:

 

 

 

ALUMINA HOLDINGS, LLC (UNITED STATES)

30,36%

REARDEN L HOLDINGS 3 S.ŔR.L (LUXEMBOURG)

7,20%

FAMA INVESTIMENTOS LTDA.

7,16%

MAG - FUNDO DE INVESTIMENTO EM PARTICIPAÇŐES

3,27%

GIF-II FUNDO DE INVESTIMENTO EM PARTICIPAÇŐES

1,70%

GPCP4 - FUNDO DE INVESTIMENTO EM PARTICIPAÇŐES

0,39%

OTHERS

49,92%

 

AFFILIATES / SUBSIDIARIES:

 

 

 

ILIAMA PARTICIPAÇŐES S.L.

100,00%

LWB ISLAND COMPANY LTD.

100,00%

MAGNESITA GRUNDSTUCKS BETEILIGUNGS GMBH

100,00%

MAGNESITA REFRACTORIES CORPORATION

100,00%

MAGNESITA INSIDER REFRATÁRIOS LTDA.

100,00%

MAG-TEC LTDA.

100,00%

RASA - REFRACTARIOS ARGENTINOS S.A. I. C. Y M.

100,00%

REFRACTÁRIOS MAGNESITA COLÔMBIA S.A

100,00%

REFRACTÁRIOS MAGNESITA DEL PERU S.A.C.

100,00%

REFRACTÁRIOS MAGNESITA URUGUAY S.A.

100,00%

INSIDER - INSUMOS REFRATÁRIOS PARA SIDERURGIA LTDA.

 

MAGNESITA S.A.

 

MAGNESITA REFRACTORIES GMBH (GERMANY)

 

MAGNESITA REFRACTORIES S.C.S (FRANCE)

 

MAGNESITA RESOURCE (ANHUI) CO. LTD. (CHINA)

 

SHANXI LWB TAIGANG REFRACTORIES COMPANY LTD. (CHINA)

 

SINTERCO S.A. (BELGIUM)

 

KROSAKI MAGNESITA REFRACTORIES LLC (UNITED STATES)

 

MAGNESITA ENVOY ASIA LTD. (TAIWAN)

 

MAGNESITA REFRACTORIES COMPANY (UNITED STATES)

 

 

 

COMPANY'S BACKGROUND

 

RPAR HOLDING S/A WAS ESTABLISHED ON DECEMBER 26, 2006 TO BE A HOLDING COMPANY. ON AUGUST 06, 2007 THE SHAREHOLDERS' MEETING APPROVED THE ALTERATION OF THE SUBJECT'S CORPORATE NAME FROM SIBAÚMA PARTICIPAÇŐES S.A. TO RPAR HOLDING S.A. AND THEN TO MAGNESITA REFRATARIOS S/A.

 

FROM DECEMBER 11, 2006 TO SEPTEMBER 26, 2007 THE COMPANY DID NOT GENERATE ANY REVENUE.

 

ON SEPTEMBER 27, 2007 THE COMPANY COMPLETED THE ACQUISITION OF SHARES OF 70,7% OF THE VOTING SHARE CAPITAL OF MAGNESITA S.A. AND 3,1% OF PREFERRED SHARES, TOTALING 38,6% OF THE SHARE CAPITAL OF MAGNESITA S/A.

 

IN DECEMBER 2007 THE SUBJECT CARRIED OUT A PUBLIC OFFERING TO ACQUIRE COMMON SHARES OF DA MAGNESITA S.A., REPRESENTING 29,27% OF THE VOTING CAPITAL AND 15,39% OF THE SOCIAL CAPITAL.

 

ON FEBRUARY 20, 2008 THE COMPANY TOOK OVER ITS WHOLE-OWNED SUBSIDIARY PARTIMAG S.A.

 

ON FEBRUARY 21, 2008 THE COMPANY MAGNESITA REFRATARIOS S/A TOOK OVER THE COMPANY MAGNESITA S.A. (FOUNDED ON JULY 13, 1940) CNPJ 19.791.268/0001-17. AND ADOPTED THE CURRENT CORPORATE NAME.

 

ON APRIL 30, 2008 THE SUBJECT TOOK OVER THE FOLLOWING COMPANIES:

 

IKERA INDUSTRIA E COMERCIO LTDA - CNPJ 18.751.883/0001-37;

MAGNESITA SERVICE LTDA - CNPJ 20.466.512/0001-55;

RISA - REFRATÁRIOS E ISOLANTES LTDA - CNPJ 19.791.334/0001-59;

REFRATEC PRODUTOS ELETROFUNDIDOS LTDA - CNPJ 20.128.609/0001-58;

REFRATEC PARTICIPAÇŐES LTDA - CNPJ 06.165.397/0001-58;

SĂO JOSE ADMINISTRAÇĂO DE MATÉRIAS PRIMAS - CNPJ 60.681.160/0001-75;

RISA MATERIAIS CERÂMICOS LTDA - CNPJ 07.886.734/0001-69.

 

FURTHER DETAILS ABOUT THE SUBJECT'S HISTORY ARE SO FAR NOT KNOWN.

 

PUBLIC INFORMATION:

 

 

PROTESTS

 

10  PROTESTS,TOTAL AMOUNT R$ 6.939,60

    DATE OF FIRST PROTEST: MAY/2009  R$ 18/3,13

    DATE OF HIGHEST PROTEST: FEBRUARY/2012  R$ 2.001,64

 

DETAILS OF LATEST PROTESTS:

 

NOTARY OFFICE:

DATE:

VALUE:

CARTÓRIO DE RJ-VOLTA REDONDA

03/04/2012

R$ 1.555,60

CARTÓRIO DE MG-CONTAGEM

09/04/2012

R$ 407,40

CARTÓRIO DE BA-BRUMADO

27/02/2012

R$ 950,95

CARTÓRIO DE BA-BRUMADO

10/02/2012

R$ 259,94

CARTÓRIO DE BA-BRUMADO

27/02/2012

R$ 2.001,64

 

LAWSUITS:

 

 

 

DATE:

COURT OF LAW:

 

1

FEDERAL LAWSUIT

18/10/10

VARA DE MG-MONTES CLAROS

1

STATE LAWSUIT

22/12/09

VARA DE SP-SĂO CAETANO DO SUL

 

 

FINANCIAL INFORMATION

 

GENERAL BALANCE SHEETS AS OF 31/12/2011, 31/12/2010 AND 31/12/2009.

( FIGURES ARE IN THOUSANDS OF REAIS ).

 

ASSETS

 

 

 

CURRENT:

31/12/2011

31/12/2010

31/12/2009

 

 

 

 

CASH AND BANKS

595.498

518.974

188.495

INVESTMENTS

43.842

 

 

CLIENTS

358.805

362.891

333.750

INVENTORY

234.590

252.276

267.241

RECOVERABLE TAXES

52.815

46.641

50.250

BANKS-ESCROW ACCOUNT

 

 

24.485

CREDIT AND VALUES

 

65.189

65.189

DISPOSAL OF REAL ESTATE

 

605

 

OTHER CREDITS

5.173

641

 

 

----------------

----------------

----------------

TOTAL CURRENT ASSETS

1.290.723

1.247.217

929.410

 

LONG-TERM RECEIVABLES:

 

 

 

 

 

 

 

RECOVERABLE TAXES

 

 

1.774

JUDICIAL DEPOSITS

9.731

10.681

9.445

DISPOSAL OF REAL ESTATE

 

69.007

59.886

TRIBUTARY CREDITS

 

 

157.558

PREMIUM TO AMORTIZE

62.211

71.099

88.874

INTERCOMPANY CREDITS

56.983

49.148

 

DEFERRED TAXES

 

2.326

 

OTHER CREDITS

19.488

1.956

321

 

----------------

----------------

----------------

TOTAL LONG-TERM RECEIVABLES

148.413

204.217

317.858

 

FIXED ASSETS:

 

 

 

 

 

 

 

INVESTMENTS

1.037.645

936.370

914.241

FIXED ASSETS

447.956

337.124

386.426

INTANGIBLE

1.082.683

1.082.366

1.368.868

 

----------------

----------------

----------------

TOTAL FIXED ASSETS

2.568.284

2.355.860

2.669.535

 

================

================

================

TOTAL ASSETS

4.007.420

3.807.294

3.916.803

 

LIABILITIES:

 

 

 

CURRENT:

31/12/2011

31/12/2010

31/12/2009

 

 

 

 

LOANS AND FINANCING

85.479

105.010

346.704

SUPPLIERS

163.004

85.273

79.295

TAXES & CONTRIBUTIONS

18.367

20.953

25.303

DIVIDENDS

9.415

410

1.049

SOCIAL / LABOR OBLIGATIONS

60.438

59.743

42.777

ACCOUNTS PAYABLE

4.267

7.467

 

OTHER DEBTS

29.153

8.990

22.960

 

----------------

----------------

----------------

TOTAL CURRENT LIABILITIES

370.123

287.846

518.088

 

LONG TERM LIABILITIES:

 

 

 

 

 

 

 

LOANS AND FINANCING

853.455

1.169.506

901.167

PROVISIONS

63.886

94.130

106.246

DEFERRED TAXES

30.569

 

130.160

OTHER

51.056

54.466

40.809

 

----------------

----------------

----------------

TOTAL LONG TERM LIABILITIES

998.966

1.318.102

1.178.382

 

NET EQUITY:

 

 

 

 

 

 

 

SHARE CAPITAL

2.528.146

2.388.845

2.386.032

CAPITAL RESERVES

234.326

104.576

99.126

PROFIT RESERVES

34.130

3.495

2.856

ADJUSTMENTS

-158.271

-227.796

-118.507

ACCRUED PROFIT (LOSS)

 

-67.774

-149.174

 

----------------

----------------

----------------

TOTAL NET EQUITY

2.638.331

2.201.346

2.220.333

 

================

================

================

TOTAL LIABILITIES

4.007.420

3.807.294

3.916.803

 

PROFIT AND LOSS ACCOUNTS AS OF 31/12/2011, 31/12/2010 AND 31/12/2009.

( FIGURES ARE IN THOUSANDS OF REAIS ).

 

 

31/12/2011

31/12/2010

31/12/2009

 

 

 

 

GROSS SALES

1.495.262

1.627.107

1.306.033

(-) TAXES ON SALES

326.589

369.002

286.380

 

----------------

----------------

----------------

NET SALES

1.168.673

1.258.105

1.019.653

(-) COST OF SOLD GOODS

782.024

805.617

639.477

 

----------------

----------------

----------------

GROSS PROFIT

386.649

452.488

380.176

OPERATING REVENUE (EXPENSE)

-189.161

-216.586

-209.005

FINANCIAL REVENUE(EXPENSE)

-49.455

-102.085

-176.003

 

----------------

----------------

----------------

OPERATIONAL PROFIT (LOSS)

148.033

133.817

-4.832

CONTRIBUTION/INCOME TAX

-50.122

-42.052

-25.152

 

----------------

----------------

----------------

NET PROFIT (LOSS)

97.911

91.765

-29.984

 

RATIOS:

31/12/2011

31/12/2010

31/12/2009

 

QUICK RATIO

2,85

 

3,46

 

1,28

 

CURRENT RATIO

3,49

 

4,33

 

1,79

 

ACCOUNTS RECEIVABLE TURNOVER

3,26

TIMES

3,47

TIMES

3,06

TIMES

DAYS' SALES IN RECEIVABLES

110,53

DAYS

103,84

DAYS

117,83

DAYS

INVENTORY TURNOVER

3,33

TIMES

3,19

TIMES

2,39

TIMES

ACCOUNTS PAYABLE PERIOD

75,04

DAYS

38,11

DAYS

44,64

DAYS

RETURN ON ASSETS

,29

TIMES

,33

TIMES

,26

TIMES

SALES TURNOVER ON NET EQUITY

,44

TIMES

,57

TIMES

,46

TIMES

NET WORTH TIE-UP

,17

 

,15

 

,17

 

INDEBTEDNESS

,52

 

,73

 

,76

 

EQUITY RATIO

65,84

%

57,82

%

56,69

%

WORKING CAPITAL RATIO

248,73

%

333,29

%

79,39

%

GENERAL SOLVENCY

2,93

 

2,37

 

2,31

 

RETURN ON NET EQUITY

3,71

%

4,17

%

-1,35

%

RETURN ON SALES (PROFIT MARGIN)

8,38

%

7,29

%

-2,94

%

GROSS PROFIT MARGIN

33,08

%

35,97

%

37,28

%

OPERATIONAL RESULT

12,67

%

10,64

%

-,47

%

SALES TURNOVER ON LIABILITIES

3,16

TIMES

4,37

TIMES

1,97

TIMES

FOREIGN CURRENCY ON ASSETS

 

 

 

 

 

 

FOREIGN CURRENCY ON LIABILITIES

 

 

 

 

 

 

 

EXCHANGE RATE:

 

 

US$ 1,00 = R$ 1,83

 - OFFICIAL RATE ON 16/04/2012

US$ 1,00 = R$ 1,87

 - OFFICIAL RATE ON 31/12/2011

US$ 1,00 = R$ 1,66

 - OFFICIAL RATE ON 31/12/2010

US$ 1,00 = R$ 1,74

 - OFFICIAL RATE ON 31/12/2009

 

COMMENTS ON THE FINANCIAL INFORMATION:

 

FOLLOWS ATTACHED WORKSHEET WITH MAIN FINANCIAL RATIOS.

 

THE ANNUAL FIGURES SHOW A GOOD FINANCIAL STANDING. IT SHOWED GOOD LIQUIDITY RATIOS AND GOOD WORKING CAPITAL, AS WELL AS LOW LEVEL OF INDEBTEDNESS. SALES DROPPED BU THE COMPANY MADE HIGHER PROFIT.

 

REAL ESTATE:

OWNED PREMISES ARE VALUED AT R$ 289.820.000,00

 

VEHICLES:

NOT AVAILABLE

 

MACHINES:

OWNED MACHINES AND EQUIPMENTS ARE VALUED AT R$ 340.922.000,00

 

 

INSURANCE

 

THE COMPANY AND ITS SUBSIDIARIES HAVE INSURANCE POLICIES WHICH COVERS OPERATIONAL RISKS OVER ITS INDUSTRIAL PLANTS, MACHINERY AND INVENTORIES. IT ALSO COVERS CEASING PROFIT, FIRE, FLOODING AND OTHER EVENTS AS SHOWED IN DECEMBER 31, 2011:

 

COVERAGE:

INSURED AMOUNT

VALUE:

R$ 2.760.557.000,00

 

 

COVERAGE:

CEASING PROFIT

VALUE:

R$ 777.986.000,00

 

 

COVERAGE:

CIVIL LIABILITY

VALUE:

R$ 268.856.000,00

 

 

BANKING REFERENCES

 

 

BRANCH/PHONE:

CITY:

BANCO BRADESCO S/A

31 3361-7588

CONTAGEM/MG

BANCO DO BRASIL S/A

31 3248-7900

BELO HORIZONTE/MG

 

REMARKS: IN BRAZIL THE BANKS ARE PROHIBITED BY LAW TO PROVIDE INFORMATION OR ANY KIND OF COMMENTS ABOUT THEIR CLIENTS. DUE TO THIS LAW PROHIBITION WE ARE UNABLE TO PROVIDE ANY BANKING DETAILS.

 

ACCORDING TO THE CENTRAL BANK OF BRAZIL OFFICIAL REPORT, THE COMPANY HAS NO RETURNED CHECKS UP TO DATE. (IN THE TERMS OF "CIRCULAR 1682 BRAZILIAN CENTRAL BANK"). DATE RESEARCHED: APRIL 16, 2012.

 


ACTIVITIES COMMENTS

 

MANUFACTURE OF REFRACTORY CERAMIC PRODUCTS.

 

IMPORT AND EXPORT:

 

IMPORTS FROM:

NOT AVAILABLE.

 

EXPORTS TO:

NOT AVAILABLE.

 

MAIN CLIENTS:

 

 

 

 

 

DOMESTIC CLIENTS:

 

 

ARCELOR BRASIL

 

 

CIA SIDERÚRGICA NACIONAL - CSN

 

 

CIA SIDERÚRGICA PAULISTA - COSIPA

 

 

GRUPO GERDAU

 

 

USINAS SID. DE MINAS GERAIS S/A - USIMINAS

 

 

 

STAFF:

 

THE COMPANY HAS: 6300 EMPLOYEE(S)

 

 

CONCEPT AND FULFILMENT

 

THE SUBJECT IS A WELL ESTABLISHED COMPANY BUT TOOK OVER THE ACTIVITIES OF A COMPANY WHICH ACTIVITIES DATE BACK TO 1940. SO FAR IT HAS A CLEAR TRADE HISTORY AND SATISFACTORY PAYMENT BEHAVIOR.

 

THE COMPANY HAS TRADE RELATIONS WITH SEVERAL SUPPLIERS IN BRAZIL. THE SUPPLIERS EXTEND CREDIT FACILITIES TO THE SUBJECT IN TERMS AND AMOUNTS ACCORDING TO THE COMPANY'S NEEDS AND SO FAR NO PAYMENT PROBLEMS ARE NOTED.

 

THE LAWSUITS REPORTED ARE NOT RELATED WITH TRADE DEBTS. THEY ARE RELATED TO TAX DEBTS THAT FOR ANY REASON THE COMPANY HAS NOT YET PAID. USUALLY THIS KIND OF SUITS DO NOT AFFECT THE COMPANY REPUTATION BUT IN THE SUBJECT SPECIFIC CASE IT IS NOT POSSIBLE TO EVALUATE AS THERE ARE SEVERAL SUITS REGISTERED AND NO DETAILS REGARDING THE AMOUNTS INVOLVED ARE AVAILABLE FOR PUBLIC INSPECTION.

 

THE PROTESTS FOUND DO NOT AFFECT SUBJECT'S REPUTATION.

 

MAIN SUPPLIERS:

 

 

 

 

 

DOMESTIC SUPPLIERS:

 

 

ALCOA ALUMÍNIO S/A

 

 

ELFUSA GERAL DE ELETROFUSĂO LTDA

 

 

FERROVIA CENTRO ATLÂNTICA S/A

 

 

NACIONAL DE GRAFITE LTDA

 

 

PERSTORP DO BRASIL IND. E COM. LTDA

 

 

SAINT GOBAIN MATS. CERÂMICOS LTDA

 

 

 

PAYMENT HISTORY:

 

22 SUPPLIERS REPORTED PAYMENTS:

   TOTAL AMOUNT:  R$ 4.373.923,00

 

AMOUNT OF INVOICES PAID: 801

TOTAL OF PROMPT PAYMENTS: 56,8%

TOTAL OF DELAYED PAYMENTS: 43,2%

 

HIGHEST INVOICE: R$ 144.296,00

 

 

OUTSTANDING INVOICES DUE WITHIN THE NEXT 60 DAYS:

 

---------------------------

SUPPLIERS:

INVOICES:

TOTAL AMOUNT:

DUE WITHIN 30 DAYS

4

23

R$ 22.906,89

DUE WITHIN 60 DAYS

2

6

R$ 4.803,43

ALL

4

29

R$ 27.710,32

 

 

FINAL OPINION

 

THE SUBJECT IS A WELL-ESTABLISHED COMPANY. IT SHOWS A CLEAR TRADE HISTORY AND SATISFACTORY PAYMENT BEHAVIOR.

 

BASED ON THE GENERAL INFORMATION AVAILABLE IT IS BELIEVED THAT GOOD TRADE RELATIONS MAY BE ESTABLISHED. CREDIT FACILITIES MAY BE EXTENDED WITHIN TERMS AND AMOUNTS ADEQUATE TO THE COMPANY’S FINANCIAL STRENGTH.

.

 

 

 


 

MAGNESITA REFRATÁRIOS S/A

BALANCE SHEET ANALYSIS

FIGURES ARE IN THOUSANDS OF REAIS

 

31-12-11

 

31-12-10

 

31-12-09

 

ASSETS

 

%

 

%

 

%

Current Assets

 $              1,290,723

32.21

 $              1,247,217

32.76

 $             929,410

23.73

Fixed Assets

 $              2,568,284

64.09

 $              2,355,860

61.88

 $          2,669,535

68.16

TOTAL ASSETS

 $              4,007,420

100.00

 $              3,807,294

100.00

 $          3,916,803

100.00

LIABILITIES

 

 

 

 

 

 

Current Liabilities

 $                 370,123

9.24

 $                 287,846

7.56

 $             518,088

13.23

Long-Term Liabilities

 $                 998,966

24.93

 $              1,318,102

34.62

 $          1,178,382

30.09

TOTAL LIABILITIES

 $              1,369,089

34.16

 $              1,605,948

42.18

 $          1,696,470

43.31

Deferred Income

 $                            -  

0.00

 $                            -  

0.00

 $                        -  

0.00

Net Equity

 $              2,638,331

65.84

 $              2,201,346

57.82

 $          2,220,333

56.69

TOTAL LIABILITIES + NET EQUITY

 $              4,007,420

100.00

 $              3,807,294

100.00

 $          3,916,803

100.00

PROFIT AND LOSS ACCOUNTS

 

 

 

 

 

 

Net Sales

 $              1,168,673

100.00

 $              1,258,105

100.00

 $          1,019,653

100.00

Costs

 $                 782,024

66.92

 $                 805,617

64.03

 $             639,477

62.72

Gross Profit

 $                 386,649

33.08

 $                 452,488

35.97

 $             380,176

37.28

Operating expenses

 $                (189,161)

-16.19

 $                (216,586)

-17.22

 $            (209,005)

-20.50

operational Result

 $                 148,033

12.67

 $                 133,817

10.64

 $                (4,832)

-0.47

Net Profit (loss)

 $                   97,911

8.38

 $                   91,765

7.29

 $              (29,984)

-2.94

COMPLEMENTARY DATA

 

 

 

 

 

 

Inventory

 $                 234,590

 

 $                 252,276

 

 $             267,241

 

Accounts receivable

 $                 358,805

 

 $                 362,891

 

 $             333,750

 

Accounts Payable

 $                 163,004

 

 $                   85,273

 

 $               79,295

 

Property, plant and equipment

 $                 447,956

 

 $                 337,124

 

 $             386,426

 

Purchases

 $              2,568,284

 

 $              2,355,860

 

 $          2,669,535

 

Financial Expenses

 $                  (49,455)

 

 $                (102,085)

 

 $            (176,003)

 

Foreign Currency Assets

 

 

 

 

 

 

Foreign Currency Liabilities

 

 

 

 

 

 

Working Capital

 $                 920,600

 

 $                 959,371

 

 $             411,322

 

RATIOS:

 

 

 

 

 

 

QUICK RATIO

                           2.85

 

                           3.46

 

                       1.28

 

CURRENT RATIO

                           3.49

 

                           4.33

 

                       1.79

 

ACCOUNTS RECEIVABLE TURNOVER

                           3.26

times

                           3.47

times

                       3.06

times

DAYS' SALES IN RECEIVABLES

                       110.53

days

                       103.84

days

                   117.83

days

INVENTORY TURNOVER

                           3.33

times

                           3.19

times

                       2.39

times

ACCOUNTS PAYABLE PERIOD

                         75.04

days

                         38.11

days

                     44.64

days

RETURN ON ASSETS

                           0.29

times

                           0.33

times

                       0.26

times

SALES TURNOVER ON NET EQUIY

                           0.44

times

                           0.57

times

                       0.46

times

NET WORTH TIE-UP

                           0.17

 

                           0.15

 

                       0.17

 

ENDEBTEDNESS

                           0.52

 

                           0.73

 

                       0.76

 

EQUITY RATIO

                         65.84

%

                         57.82

%

                     56.69

%

WORKING CAPITAL RATIO

                       248.73

%

                       333.29

%

                     79.39

%

GENERAL SOLVENCY

                           2.93

 

                           2.37

 

                       2.31

 

RETURN ON NET EQUITY

                           3.71

%

                           4.17

%

                      (1.35)

%

RETURN ON SALES (PROFIT MARGIN)

                           8.38

%

                           7.29

%

                      (2.94)

%

GROSS PROFIT MARGIN

                         33.08

%

                         35.97

%

                     37.28

%

OPERATIONAL RESULT

                         12.67

%

                         10.64

%

                      (0.47)

%

SALES TURNOVER ON LIABILITIES

                           3.16

times

                           4.37

times

                       1.97

times

FOREIGN CURRENCY ON ASSETS

                               -  

%

                               -  

%

                           -  

%

FOREIGN CURRENCY ON LIABILITIES

                               -  

%

                               -  

%

                           -  

%

 

 

 

 

 

 

FOREIGN EXCHANGE RATES

 

Currency

Unit

Indian Rupees

US Dollar

1

Rs.63.90

UK Pound

1

Rs.71.82

Euro

1

Rs.97.97

 

 

INFORMATION DETAILS

 

Report Prepared by :

TPT

 

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.