MIRA INFORM REPORT

 

 

Report No. :

349127

Report Date :

09.11.2015

 

IDENTIFICATION DETAILS

 

Name :

AVTEC LIMITED

 

 

Registered Office :

Pithampur Industrial Area, Sector–III, PO Sagore, District Dhar - 454774, Madhya Pradesh

Tel. No.:

91-7292-411502-04

 

 

Country :

India

 

 

Financials (as on) :

31.03.2013

 

 

Date of Incorporation :

08.02.2005

 

 

Com. Reg. No.:

10-017319

 

 

Capital Investment / Paid-up Capital :

Rs. 250.000 Million

 

 

CIN No.:

[Company Identification No.]

u34103mp2005plc017319

 

 

IEC No.:

Not Divulged

 

 

TAN No.:

[Tax Deduction & Collection Account No.]

BPLA02935C

 

 

PAN No.:

[Permanent Account No.]

AAFCA1313C

 

 

Legal Form :

A Closely Held Public Limited Liability Company

 

 

Line of Business :

Manufacturing and Selling of Powertrains and parts thereof.

 

 

No. of Employees :

100 (Approximately)

 

 

RATING & COMMENTS

 

MIRA’s Rating :

Ba (48)

 

RATING

STATUS

 

PROPOSED CREDIT LINE

41-55

Ba

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

Satisfactory

 

 

Maximum Credit Limit :

USD 7846000

 

 

Status :

Satisfactory

 

 

Payment Behaviour :

Usually correct

 

 

Litigation :

Clear

 

 

Comments :

Subject is part of the CK Birla Group and it is the largest independent manufacturers of powertrain and precision-engineered products in India.

 

As per registrar of companies the date of balance sheet (i.e. financial filed) is show as 31.03.2014 but the documents related to the financials are not been available from any sources.

 

During FY 13, company have reported declined in its operating income due to which profitability of the company has decline. Rating constrained on risk associated with the volatility in raw material prices and exposure toward foreign subsidiary.

 

However the rating continue to drive strength from experience of the promoter group, company moderate capital structure and improving auto industry outlook.

 

Trade relations are fair. Business is active. Payments are reported to be Usually correct.

 

In view of decent capital structure, backed by strong support from CK Birla Group, the company can be considered for normal business dealings with its usual trade terms and conditions.    

 

 

ECGC Country Risk Classification List – March 31, 2015

 

Country Name

Previous Rating

(31.12.2014)

Current Rating

(31.03.2015)

India

A1

A1

 

Risk Category

ECGC Classification

Insignificant

 

A1

Low

 

A2

Moderate

 

B1

High

 

B2

Very High

 

C1

Restricted

 

C2

Off-credit

 

D

 

EXTERNAL AGENCY RATING

 

Rating Agency Name

CARE

Rating

Long Term Bank Facilities : BBB+

Rating Explanation

Moderate degree of safety and moderate credit risk.

Date

October, 2015

 

 

Rating Agency Name

CARE

Rating

Short Term Bank Facilities : A2

Rating Explanation

Strong degree of safety and low credit risk.

Date

October, 2015

 

 

RBI DEFAULTERS’ LIST STATUS

 

Subject’s name is not enlisted as a defaulter in the publicly available RBI Defaulters’ list.

 

 

EPF (Employee Provident Fund) DEFAULTERS’ LIST STATUS

 

Subject’s name is not enlisted as a defaulter in the publicly available EPF (Employee Provident Fund) Defaulters’ list as of 31-03-2015.

 

INFORMATION DENIED

 

 MANAGEMENT NON-COOPERATIVE

 

CONTACT NO.: 91-11-42092100

 

LOCATIONS

 

Registered Office/ Factory 1 :

Pithampur Industrial Area, Sector–III, PO Sagore, District Dhar - 454774, Madhya Pradesh, India

Tel. No.:

91-7292-411502-04

Fax No.:

91-7292-256134/ 400268

E-Mail :

marketing.pup@avtec.in

tapsi.mahajan@avtec.in

Website :

http://www.avtec.in

 

 

Corporate Office :

Birla Tower, 7th Floor, 25, Barakhamba Road, New Delhi – 110001, India

Tel. No.:

91-11-42092100

Fax No.:

91-11-42092199

E-Mail :

corporate@avtec.in

 

 

Regional Office :

Birla Building, 9/1 R N Mukherjee Road, 13th Floor, Kolkata - 700001, West Bengal, India

Tel. No.:

91-33-30573700/ Extn. 2364

 

 

Factory 2 :

Poonapalli Village, Mathagondapalli Post, Hosur – 635114, Tamilnadu, India

Tel. No.:

91-4344-405200

Fax No.:

91-4344-405333

 

 

Factory 3 :

A25, A28, Phase 1, Kadaperi Village MEPZ-SEZ, Tambaram, Chennai – 600045 Tamilnadu, India

Tel. No.:

91-44-42267101/ 42267103

Fax No.:

91-44-42267109

 

 

Factory 4 :

Kharagpur Industrial Growth Centre, Plot No. – 1 and 2, Sector-B , Nimpura, PO – Rakhajungle, West Midnapur – 721301, West Bengal, India

Tel. No.:

91-3222-234335

 

 

Power Unit Plant :

Pithampur, Near Indore, Madhya Pradesh, India

 

 

Overseas Operation :

ASSAG Switzerland

Antriebstechnik – Hauptstrasse 50 CH – 3186 Düdingen

Tel. No.:

41 26 492 99 11

Fax No.:

41 26 492 99 10

E-Mail :

info@assag.ch

 

 

DIRECTORS

 

AS ON 23.06.2014

 

Name :

Mr. Chandrakant Birla

Designation :

Nominee director

Address :

Birla  House, 24, Aurangzaeb Road, New Delhi – 110011, India

Date of Birth/Age :

09.01.1955

Qualification :

Graduation

Date of Appointment :

28.06.2005

Voter ID No.:

DL/01/002/228412

DIN No.:

00118473

Other Directorship :

S.No.

CIN/LLPIN

Name of the Company/ LLP

Current designation of the Director/ Designated Partner

Date of appointment at current designation

Original date of appointment

Date of cessation

Company/ LLP Status

Defaulting status

1

L21011OR1936PLC000117

ORIENT PAPER AND INDUSTRIES LTD.

Director

29/09/1978

29/09/1978

-

Active

NO

2

U29130WB1946PLC013643

NATIONAL ENGG.INDUSTRIES LTD

Director

23/02/1979

23/02/1979

-

Active

NO

3

L74999TG1955PLC000656

HIL LIMITED

Director

04/02/1980

04/02/1980

-

Active

NO

4

L34103WB1942PLC018967

HINDUSTAN MOTORS LTD

Director

13/01/1982

13/01/1982

28/12/2013

Active

NO

5

U74899DL1995PLC064560

BIRLASOFT (INDIA) LIMITED

Director

20/01/1995

20/01/1995

-

Active

NO

6

U74999MH1932PLC001910

NeoSym Industry Limited

Director

31/10/2000

31/10/2000

-

Active

NO

7

U34103MP2005PLC017319

AVTEC LIMITED

Nominee director

28/06/2005

28/06/2005

-

Active

NO

8

U24231DL2003PLC119441

Fresenius Kabi Oncology Limited

Director

27/01/2006

27/01/2006

29/08/2007

Active

NO

9

U51109WB1918PTC003010

BIRLA BROTHERS PVT LTD

Director

29/12/2008

29/12/2008

-

Active

NO

10

L26940OR2011PLC013933

Orient Cement Limited

Director

13/08/2012

23/07/2011

-

Active

NO

 

 

Name :

Haigreve Khaitan

Designation :

Director

Address :

1104, Sterling Sea Face, Dr. Annie Besant Road, Worli, Mumbai – 400018, Maharashtra, India

Date of Birth/Age :

13.07.1970

Qualification :

LL.B

Date of Appointment :

23.06.2014

DIN No.:

00005290

Other Directorship :

 

S.No.

CIN/LLPIN

Name of the Company/ LLP

Current designation of the Director/ Designated Partner

Date of appointment at current designation

Original date of appointment

Date of cessation

Company/ LLP Status

Defaulting status

1

U29192WB1972PTC028222

VINAR SYSTEMS PRIVATE LIMITED

Director

01/08/1994

01/08/1994

-

Active

NO

2

L01119KL1978PLC002947

HARRISONS MALAYALAM LTD

Director

01/10/2014

14/03/1995

-

Active

NO

3

U29130WB1946PLC013643

NATIONAL ENGG.INDUSTRIES LTD

Director

05/02/1998

05/02/1998

29/09/2014

Active

NO

4

L25100MH1958PLC011041

CEAT LIMITED

Director

26/09/2014

29/07/1999

-

Active

NO

5

L25209WB1997PLC085972

XPRO INDIA LIMITED

Director

31/07/2014

13/10/1999

30/01/2015

Active

NO

6

U13202TZ1960PLC000372

THE MADRAS ALUMINIUM COMPANY LIMITED

Director

28/08/2000

28/08/2000

20/07/2011

Amalgamated

NO

7

U74140DL1970PLC005314

KHAITAN CONSULTANTS LIMITED

Director

08/02/2001

08/02/2001

-

Not Available for eFiling

NO

8

L26100GJ1988PLC011663

GUJARAT BOROSIL LIMITED

Director

30/01/2002

30/01/2002

15/01/2009

Active

NO

9

L31300MH2000PLC269261

STERLITE TECHNOLOGIES LIMITED

Director

30/07/2003

30/07/2003

30/09/2014

Active

NO

10

L15492WB1916PLC002697

Dhunseri Petrochem Limited

Director

23/09/2003

23/09/2003

03/07/2010

Active

NO

11

L21010GJ1991PLC019432

SHREE RAMA NEWSPRINT LIMITED

Director

19/09/2008

09/01/2004

05/04/2012

Active

NO

12

U65999MH2002PTC134398

BTS INVESTMENT ADVISORS PRIVATE LIMITED

Director

03/02/2004

03/02/2004

15/11/2011

Active

NO

13

U72900WB2004PTC098938

NEOWORTH PRIVATE LIMITED

Director

27/07/2004

27/07/2004

31/07/2007

Amalgamated

NO

14

U51909WB2004PTC100166

HITECH DEALERS PRIVATE LIMITED

Director

28/12/2004

28/12/2004

20/12/2011

Active

NO

15

U51909WB2004PTC100164

HIGH GROWTH DISTRIBUTORS PRIVATE LIMITED

Director

28/12/2004

28/12/2004

20/12/2011

Active

NO

16

U72200WB2004PTC100314

LEGAL OUTSOURCING PRIVATE LIMITED

Director

28/12/2004

28/12/2004

20/12/2011

Active

NO

17

U51102WB1996PTC081772

SARVASIDDHI COMMERCIALS PRIVATE LIMITED

Director

28/01/2005

28/01/2005

20/12/2011

Active

NO

18

L21300WB1973PLC028854

INTERNATIONAL CONVEYORS LTD.

Director

23/04/2005

23/04/2005

29/10/2007

Active

NO

19

U34103MP2005PLC017319

AVTEC LIMITED

Director

23/06/2014

28/06/2005

-

Active

NO

20

U72300DL1999PTC100368

TECTURA INFOTECH PRIVATE LIMITED.

Director

12/12/2005

12/12/2005

22/03/2007

Active

NO

21

L15432UP1932PLC025186

THE OUDH SUGAR MILLS LIMITED

Director

17/01/2006

17/01/2006

30/11/2012

Active

NO

22

U48985WB1992PLC095301

GREAT EASTERN ENERGY CORPORATION LIMITED

Director

06/02/2006

06/02/2006

17/02/2015

Active

NO

23

L17120MH1946PLC005227

NRC LIMITED

Director

24/07/2006

24/07/2006

30/07/2007

Active

NO

24

U51900WB2006PTC109716

CHARAIVETI VYAPAAR PRIVATE LIMITED

Director

09/08/2006

09/08/2006

17/12/2008

Amalgamated

NO

25

L29120MH1964PLC012955

HINDUSTAN COMPOSITES LIMITED

Alternate director

29/10/2009

04/09/2006

07/09/2010

Active

NO

26

L22210MH1987PLC044505

TCPL Packaging Limited

Additional director

29/06/2007

29/06/2007

27/05/2010

Active

NO

27

U22120MH1913PLC000391

BENNETT COLEMAN AND COMPANY LIMITED

Director

27/07/2010

14/09/2007

12/08/2011

Active

NO

28

L92199GJ1999PLC044045

INOX LEISURE LIMITED

Director

10/09/2014

22/10/2007

-

Active

NO

29

U72200MH1997PTC248097

Worldline India Private Limited

Alternate director

16/01/2008

16/01/2008

10/04/2008

Active

NO

30

U51100MH2000PTC129530

XANTI COMMERCIAL PRIVATE LIMITED

Director

22/09/2008

31/03/2008

20/12/2011

Active

NO

31

U99999MH2000PTC128067

TIARA COMTRADE PRIVATE LIMITED

Director

17/09/2008

31/03/2008

20/12/2011

Active

NO

32

U33100MH1986PTC221693

Merck Life Science Private Limited

Director

18/05/2009

09/09/2008

20/11/2009

Active

NO

33

L27105HR1979PLC009913

JINDAL STEEL AND POWER LIMITED

Director

30/07/2014

14/01/2009

-

Active

NO

34

L01110RJ2006PLC047173

BAJAJ CORP LIMITED

Director

01/08/2014

04/02/2010

30/09/2014

Active

NO

35

L27106MH1984PLC238266

JSW ISPAT STEEL LIMITED

Director

21/12/2011

13/01/2011

-

Amalgamated

NO

36

L26940OR2011PLC013933

Orient Cement Limited

Additional director

23/07/2011

23/07/2011

25/06/2012

Active

NO

37

L24230GJ1972PLC002126

TORRENT PHARMACEUTICALS LTD

Director

30/07/2014

23/01/2012

-

Active

NO

38

L02101KA1955PLC001936

THE WEST COAST PAPER MILLS LIMITED

Director

31/07/2012

29/05/2012

09/10/2013

Active

NO

39

L26942GJ1981PLC004717

AMBUJA CEMENTS LIMITED

Director

11/09/2014

27/07/2012

-

Active

NO

40

L64202MH2001PLC134147

Firstsource Solutions Limited

Director

06/08/2013

05/12/2012

19/09/2014

Active

NO

41

U85110KA1961PLC001433

BHARAT FRITZ WERNER LIMITED

Director

23/09/2013

06/08/2013

30/09/2014

Active

NO

42

U51909WB1943PLC011283

KARAM CHAND THAPAR & BROS (COAL SALES ) LTD

Director

26/09/2014

27/11/2013

09/09/2015

Active

NO

43

U99999MH2000PLC128110

BIRLA SUN LIFE INSURANCE COMPANY LIMITED

Director

16/06/2015

30/01/2015

-

Active

NO

44

U65993MH2007PLC175649

Mahindra Holdings Limited

Director

18/02/2015

18/02/2015

-

Active

NO

45

L27102MH1994PLC152925

JSW Steel Limited

Additional director

30/09/2015

30/09/2015

-

Active

NO

 

 

Name :

Amal Ganguli

Designation :

Director

Address :

J-6/7, DLF Phase II, Gurgaon – 122002, Haryana, India

Date of Birth/Age :

17.10.1939

Qualification :

Chartered Accountant

Date of Appointment :

23.06.2014

Voter ID No.:

TER0132944

DIN No.:

00013808

Other Directorship :

 

S.No.

CIN/LLPIN

Name of the Company/ LLP

Current designation of the Director/ Designated Partner

Date of appointment at current designation

Original date of appointment

Date of cessation

Company/ LLP Status

Defaulting status

1

U74899DL1993PTC051811

M L INFOMAP PRIVATE LIMITED

Director

20/01/1993

20/01/1993

-

Active

NO

2

U72200DL1991PLC046909

Flextronics Software Systems Limited

Director

08/01/2001

08/01/2001

-

Amalgamated

NO

3

L74140DL1991PLC046369

HCL TECHNOLOGIES LIMITED

Director

04/12/2014

08/05/2003

-

Active

NO

4

L35921TN1949PLC002905

TUBE INVESTMENTS OF INDIA LIMITED

Director

02/06/2003

02/06/2003

29/07/2010

Active

NO

5

L51909DL1986PLC024222

SAMTEL COLOR LIMITED

Director

10/10/2003

10/10/2003

02/02/2007

Active

NO

6

L92111DL1988PLC033099

NEW DELHI TELEVISION LIMITED

Director

14/05/2004

14/05/2004

-

Active

NO

7

L17120MH1897PLC000163

CENTURY TEXTILE AND INDUSTRIES LIMITED

Director

25/07/2014

31/07/2004

04/11/2014

Active

NO

8

U34103MP2005PLC017319

AVTEC LIMITED

Director

23/06/2014

27/07/2005

-

Active

NO

9

L74999DL1991PLC042749

ICRA LIMITED

Director

12/06/2006

30/03/2006

25/07/2014

Active

NO

10

U64202DL1992PLC048053

HUGHES COMMUNICATIONS INDIA LIMITED

Director

30/09/2014

20/04/2006

-

Active

NO

11

L34103DL1981PLC011375

MARUTI SUZUKI INDIA LIMITED

Director

05/09/2006

05/09/2006

-

Active

NO

12

L64200MH1986PLC039266

Tata Communications Limited

Director

13/09/2006

13/09/2006

16/10/2014

Active

NO

13

U93090MH2006PTC165286

PineBridge Investments Trustee Company (India) Private Limited

Director

15/12/2006

15/12/2006

05/10/2012

Active

NO

14

U65993DL2006PLC149728

Aricent Technologies (Holdings) Limited

Director

29/09/2014

06/08/2007

-

Active

NO

15

U24239AP2005PTC047518

LAURUS LABS PRIVATE LIMITED

Director

13/06/2013

30/08/2007

-

Active

NO

16

L15421UP1932PLC022174

TRIVENI ENGINEERING AND INDUSTRIES LIMITED

Director

29/12/2009

19/01/2009

10/05/2011

Active

NO

17

L64200MH1995PLC086354

TATA TELESERVICES (MAHARASHTRA) LIMITED

Director

13/08/2009

24/03/2009

25/09/2014

Active

NO

18

L29110UP1995PLC041834

TRIVENI TURBINE LIMITED

Director

06/09/2011

10/05/2011

-

Active

NO

19

L26943RJ1976PLC001705

MANGALAM CEMENT LTD

Director

29/07/2013

11/02/2013

-

Active

NO

20

U74900DL2010PLC203968

NDTV LIFESTYLE HOLDINGS LIMITED

Additional director

31/03/2015

31/03/2015

22/08/2015

Active

NO

21

U45202KA1994FLC015118

INFORMATION TECHNOLOGY PARK LIMITED

Director

06/05/2015

06/05/2015

-

Active

NO

22

U74999TN2003PLC051878

ASCENDAS IT PARK (CHENNAI) LIMITED

Director

14/05/2015

14/05/2015

-

Active

NO

 

 

Name :

Mr. Prabhakar Sitaraman Kadapa

Designation :

Managing Director

Address :

C-83, Sarita Vihar, Mathura Road, New Delhi – 110078, India

Date of Birth/Age :

03.07.1958

Qualification :

B. Tech (Mech. Engg.); Post Graduate in Tool Engg.

Experience :

31 Years

Date of Appointment :

12.01.2014

PAN No.:

ADAPK8517H

Voter ID No.:

NWD1226604

DIN No.:

00059374

Other Directorship :

 

S.No.

CIN/LLPIN

Name of the Company/ LLP

Current designation of the Director/ Designated Partner

Date of appointment at current designation

Original date of appointment

Date of cessation

Company/ LLP Status

Defaulting status

1

U31109TG1997PTC035316

TECUMSEH PRODUCTS INDIA PRIVATE LIMITED

Managing director

28/07/2006

28/07/2006

30/12/2008

Active

NO

2

U34103MP2005PLC017319

AVTEC LIMITED

Managing director

12/01/2014

12/01/2009

-

Active

NO

 

 

Name :

Mr. Ananthanarayanan Sankara Narayanan

Designation :

Nominee director

Address :

12, First Avenue, Harrington Road, Chennai – 600031, Tamilnadu, India 

Date of Birth/Age :

29.07.1942

Qualification :

B.E (Hons.) Mech; Diploma in Industrial Engineering, Germany; International Senior Management Program Harvard Graduate

Date of Appointment :

28.06.2005

Voter ID No.:

BDZ5274220

DIN No.:

00385632

Other Directorship :

 

.No.

CIN/LLPIN

Name of the Company/ LLP

Current designation of the Director/ Designated Partner

Date of appointment at current designation

Original date of appointment

Date of cessation

Company/ LLP Status

Defaulting status

1

U74899DL1995PLC064560

BIRLASOFT (INDIA) LIMITED

Director

16/05/2000

16/05/2000

-

Active

NO

2

U74140WB1991PTC094523

ACCORD GROUP (INDIA) PRIVATE LIMITED

Director

01/04/2002

01/04/2002

27/03/2008

Active

NO

3

L34103WB1942PLC018967

HINDUSTAN MOTORS LTD

Director

24/05/2004

24/05/2004

-

Active

NO

4

U74999MH1932PLC001910

NeoSym Industry Limited

Director

01/12/2014

06/07/2004

-

Active

NO

5

U34103MP2005PLC017319

AVTEC LIMITED

Nominee director

28/06/2005

28/06/2005

-

Active

NO

6

U65110WB1973PTC028870

A B C CONSULTANTS PVT LTD

Director

02/05/2012

02/05/2012

21/11/2013

Active

NO

7

U34103WB1937PLC008866

HINDUSTAN MOTOR FINANCE CORPORATION LTD.

Additional director

26/12/2013

26/12/2013

10/05/2014

Active

NO

 

 

Name :

Mr. Niten Malhan

Designation :

Director

Address :

Flat No. 2705, 27th Floor, North Tower, The Imperial Building, MP Mill Compound, Tardeo, Mumbai – 400034, Maharashtra, India 

Date of Birth/Age :

02.08.1971

Date of Appointment :

12.06.2013

DIN No.:

00614624

Other Directorship :

 

S.No.

CIN/LLPIN

Name of the Company/ LLP

Current designation of the Director/ Designated Partner

Date of appointment at current designation

Original date of appointment

Date of cessation

Company/ LLP Status

Defaulting status

1

U74899DL1992PLC049022

LEMON TREE HOTELS LIMITED

Director

29/09/2006

26/07/2006

-

Active

NO

2

U55101DL2005PTC138835

SPANK HOTELS PRIVATE LIMITED

Director

29/09/2006

26/07/2006

-

Amalgamated

NO

3

U55101DL2002PTC118179

CITRUS HOTELS PRIVATE LIMITED

Director

29/09/2006

26/07/2006

28/08/2009

Amalgamated

NO

4

U10102DL1997PLC085837

ACB (INDIA) LIMITED

Nominee director

30/11/2006

30/11/2006

-

Active

NO

5

U27102DL2003PTC259757

ARYAN ISPAT AND POWER PRIVATE LIMITED

Nominee director

30/11/2006

30/11/2006

10/05/2011

Active

NO

6

U40102DL2001PTC134230

ARYAN ENERGY PRIVATE LIMITED

Nominee director

30/11/2006

30/11/2006

10/05/2011

Active

NO

7

U10200DL2002PTC115155

KARTIKAY COAL WASHERIES PRIVATE LIMITED

Nominee director

30/11/2006

30/11/2006

10/05/2011

Active

NO

8

L17110GJ1931PLC000454

SINTEX INDUSTRIES LIMITED

Director

30/11/2006

30/11/2006

30/11/2007

Active

NO

9

U29199DL2003PTC122193

ARYAN CLEAN COAL TECHNOLOGIES PRIVATE LIMITED.

Nominee director

30/11/2006

30/11/2006

10/05/2011

Active

NO

10

U22210GJ1981PTC047207

WRITERS AND PUBLISHERS Private LIMITED

Nominee director

06/12/2006

06/12/2006

29/11/2007

Active

NO

11

L22210GJ1995PLC047208

D.B. CORP LIMITED

Additional director

28/09/2011

12/12/2006

17/08/2012

Active

NO

12

U74140MH2004PTC145467

WARBURG PINCUS INDIA PRIVATE LIMITED

Managing director

01/01/2007

01/01/2007

-

Active

NO

13

U55101DL2006PTC144533

MERINGUE HOTELS PRIVATE LIMITED

Director

26/09/2007

26/03/2007

28/08/2009

Active

NO

14

U10100DL1996PLC251093

SPECTRUM COAL AND POWER LIMITED

Nominee director

13/04/2007

13/04/2007

10/05/2011

Active

NO

15

U25111MH2007PTC172456

ATC TIRES PRIVATE LIMITED

Director

29/08/2007

29/08/2007

26/06/2013

Active

NO

16

L74899DL1988PLC033314

PUNJ-LLOYD LIMITED

Director

28/07/2008

31/10/2007

07/03/2013

Active

NO

17

L31900DL1983PLC016304

HAVELLS INDIA LIMITED

Director

11/07/2008

26/11/2007

05/07/2013

Active

NO

18

U40102DL2008PTC177939

ARYAN CHHATTISGARH POWER GENERATION PRIVATE LIMITED

Director

09/05/2008

09/05/2008

10/05/2011

Active

NO

19

U40102DL2008PTC177940

ARYAN M.P.POWER GENERATION PRIVATE LIMITED

Director

09/05/2008

09/05/2008

10/05/2011

Active

NO

20

U73100MH2000PLC192798

METROPOLIS HEALTHCARE LIMITED

Nominee director

28/09/2010

02/07/2010

06/04/2015

Active

NO

21

U40101DL2010PLC206025

ACB (INDIA) POWER LIMITED

Director

20/07/2010

20/07/2010

10/05/2011

Active

NO

22

U40100MP2010PTC023554

DILIIGENT POWER PRIVATE LIMITED

Nominee director

26/04/2011

26/04/2011

-

Active

NO

23

U40100MP2008PLC020903

DB POWER (MADHYA PRADESH) LIMITED

Nominee director

26/04/2011

26/04/2011

-

Active

NO

24

U40109MP2006PLC019008

D B POWER LIMITED

Nominee director

26/04/2011

26/04/2011

-

Active

NO

25

U55101DL2003PTC207912

Fleur Hotels Private Limited

Director

19/07/2012

09/05/2012

-

Active

NO

26

U34103MP2005PLC017319

AVTEC LIMITED

Director

12/06/2013

04/04/2013

-

Active

NO

27

U24239AP2005PTC047518

LAURUS LABS PRIVATE LIMITED

Director

29/10/2014

29/10/2014

-

Active

NO

28

U45400MH2011PTC216545

PRL Developers Private Limited

Nominee director

04/08/2015

04/08/2015

-

Active

NO

29

U60231KA2009PTC050991

EMBASSY INDUSTRIAL PARKS PRIVATE LIMITED

Nominee director

28/10/2015

28/10/2015

-

Active

NO

30

AAB-4951

NNA CRE PROPERTIES LLP

Designated Partner

01/05/2013

01/05/2013

-

Active

NO

 

 

Name :

Mr. Viraj Sawhney

Designation :

Director

Address :

Flat No. 11A, Jolly Makeri Premises Co-operative Society Limited, Cuffe Parade, Mumbai – 400005, Maharashtra, India

Date of Birth/Age :

16.01.1977

Date of Appointment :

12.06.2013

DIN No.:

02227110

Other Directorship :

 

S.No.

CIN/LLPIN

Name of the Company/ LLP

Current designation of the Director/ Designated Partner

Date of appointment at current designation

Original date of appointment

Date of cessation

Company/ LLP Status

Defaulting status

1

U40106DL2005PLC143431

Helios Photo Voltaic Limited

Alternate director

09/06/2008

09/06/2008

30/07/2008

Active

NO

2

L51909DL1983PLC015418

MOSER BAER INDIA LIMITED

Nominee director

08/09/2009

19/03/2009

28/09/2011

Active

NO

3

U34103MP2005PLC017319

AVTEC LIMITED

Director

12/06/2013

04/04/2013

-

Active

NO

4

U74140MH2004PTC145467

WARBURG PINCUS INDIA PRIVATE LIMITED

Managing director

01/01/2015

01/01/2014

-

Active

NO

5

U63090MH1997PLC108197

CONTINENTAL WAREHOUSING CORPORATION (NHAVA SEVA) LIMITED

Nominee director

27/08/2014

27/08/2014

-

Active

NO

6

U63000DL2012PTC241107

ECOM EXPRESS PRIVATE LIMITED

Director

03/06/2015

03/06/2015

-

Active

NO

7

U60231KA2009PTC050991

EMBASSY INDUSTRIAL PARKS PRIVATE LIMITED

Nominee director

28/10/2015

28/10/2015

-

Active

NO

 

Name :

Manjira Khurana

Designation :

Additional director

Address :

104, Gautam Nagar, New Delhi - 110049, India

Date of Appointment :

21.07.2015

DIN No.:

00260969

Other Directorship :

 

S.No.

CIN/LLPIN

Name of the Company/ LLP

Current designation of the Director/ Designated Partner

Date of appointment at current designation

Original date of appointment

Date of cessation

Company/ LLP Status

Defaulting status

1

U51101DL1983GOI016518

AIRLINE ALLIED SERVICES LIMITED

Director

01/05/2009

06/06/2005

19/06/2009

Active

NO

2

U74899DL1992PTC051215

WEBCOM INDIA PRIVATE LIMITED

Director

03/11/2011

15/01/2009

-

Active

NO

3

U34103MP2005PLC017319

AVTEC LIMITED

Director

21/07/2015

27/03/2015

-

Active

NO

 

 

Name :

Srinivasa Varadhan Echambadi Tirumalai

Designation :

Additional director

Address :

B249, 1st Floor, Greater Kailash, Part I, New Delhi - 110048, India

Date of Appointment :

21.07.2015

DIN No.:

00263942

Other Directorship :

 

S.No.

CIN/LLPIN

Name of the Company/ LLP

Current designation of the Director/ Designated Partner

Date of appointment at current designation

Original date of appointment

Date of cessation

Company/ LLP Status

Defaulting status

1

U31901WB1961PLC025330

HM EXPORT LTD

Director

22/03/2004

22/03/2004

-

Active

NO

2

U74999MH1932PLC001910

NeoSym Industry Limited

Director

01/12/2014

21/04/2006

-

Active

NO

3

U15421WB1934PLC008026

RANCHI ENTERPRISES AND PROPERTIES LTD.

Director

22/08/2007

04/01/2007

-

Active

NO

4

U51900WB1966PLC026949

SOORYA VANIJYA & INVESTMENTS LTD.

Director

05/01/2007

05/01/2007

-

Active

NO

5

L02710MP1938PLC000132

CENTRAL INDIA INDUSTRIES LTD.

Director

04/08/2008

03/09/2007

-

Active

NO

6

U62200DL2004PTC131655

FORUM I AVIATION Private Limited

Director

24/09/2008

13/11/2007

-

Active

NO

7

U72200DL1999PLC100410

BIRLASOFT ENTERPRISES LTD

Director

30/09/2009

13/02/2009

-

Amalgamated

NO

8

U74899DL1971PLC005601

AMER INVESTMENTS (DELHI) LIMITED

Director

24/05/2010

28/12/2009

-

Active

NO

9

U72900DL2010PLC197773

Birlasoft Technologies Limited

Director

07/01/2010

07/01/2010

-

Amalgamated

NO

10

U74140DL2014PLC272562

CK Birla Healthcare Limited

Director

07/01/2015

17/10/2014

-

Active

NO

11

U74999DL2015PLC275123

CKB Dental Care Limited

Director

07/01/2015

07/01/2015

06/02/2015

Active

NO

12

U34103MP2005PLC017319

AVTEC LIMITED

Director

21/07/2015

08/05/2015

-

Active

NO

 

 

KEY EXECUTIVES

 

Name :

Mrs. Ruchika Gupta

Designation :

Secretary

Address :

B-3/93, Paschim Vihar, New Delhi – 110063, India

Date of Birth/Age :

06.08.1974

Date of Appointment :

15.02.2012

PAN No.:

AHBPG5420E

 

Name :

Ravi Kant Malhotra

Designation :

CFO

Address :

E-134, Kalka Ji, New Delhi -110019, India

Date of Appointment :

21.03.2011

PAN No.:

AAEPM9200A

 

 

MAJOR SHAREHOLDERS / SHAREHOLDING PATTERN

 

AS ON 23.06.2014

 

Names of Shareholders

 

No. of Shares

 

Hindustan Motors Limited, India

 

10000

Highdell Investment Limited, India

 

7500000

National Bearing Company (Jaipur) Limited, India

 

1094000

Central India Industries Limited, India

 

2649000

Universal Trading Company Limited, India

 

380000

Gwalior Finance Corporation Limited, India

 

1198500

Rajasthan Industries Limited, India

 

815000

HM Export Limited, India

 

4800000

Nirmala Birla

 

102500

Chandrakant Birla

 

192000

Avani Birla

 

33500

Amita Birla

 

27000

Avanti Birla

 

96000

National Engineering Industries Limited, India

 

3067000

Amer Investments (Delhi) Limited, India

 

1712000

Hitaishi Investments Limited, India

 

255500

Bengal Rubber Company Limited, India

 

727000

India Silica Magnesiteworks Limited, India

 

204500

Soorya Vanijya and Investment Limited, India

 

136500

 

 

 

Total

 

 

25000000

 

 

AS ON 23.06.2014

 

Equity Share Breakup

Percentage of Holding

Category

 

Bodies corporate

68.20

Directors or relatives of directors

1.80

Others

30.00

Total

 

100.00

 

 

 

 

BUSINESS DETAILS

 

Line of Business :

Manufacturing and Selling of Powertrains and parts thereof.

 

 

Products/ Services :

ITC Code No.

 

Product Descriptions

84082020

Engines / Power Unit

 

 

Brand Names :

Not Divulged

 

 

Agencies Held :

Not Divulged

 

 

Exports :

Not Divulged

 

 

Imports :

Not Divulged

 

 

Terms :

 

Selling :

Not Divulged

 

 

Purchasing :

Not Divulged

 

PRODUCTION STATUS : NOT AVAILABLE

 

 

GENERAL INFORMATION

 

Suppliers :

Reference :

Not Divulged

Name of the Person :

Not Divulged

Contact No.:

Not Divulged

Since How Long Known :

Not Divulged

Maximum Limit Dealt :

Not Divulged

Experience :

Not Divulged

Remark:

Not Divulged

 

 

Customers :

·         Ford

·         GM

·         Godrej

·         OEPL

·         Sauer Danfoss

·         Amac

·         Ashok Leyland

·         Axletech International

·         Caterpillar

·         Daimler

·         Telcon

·         Tata

·         Magna

·         Mahindra

·         Eicher

·         L&T

·         TIL

·         Tata Motors

 

Reference :

Not Divulged

Name of the Person :

Not Divulged

Contact No.:

Not Divulged

Since How Long Known :

Not Divulged

Maximum Limit Dealt :

Not Divulged

Experience :

Not Divulged

Remark:

Not Divulged

 

 

 

No. of Employees :

100 (Approximately)

 

 

Bankers :

·         Barclays Bank PLC

Eros Corporate Towers, Nehru Place, New Delhi-19, New Delhi - 110019, India

 

·         Standard Chartered Bank

(Acting as an Security Agent) C D U, Narain Manzil, 23 Barakhamba Road, New Delhi - 110001, India

 

·         Citi Bank N.A.

Citibank, 3, Jeevan Bharti Building, Parliament Street, New Delhi - 110001, India

 

·         Kotak Mahindra Bank Limited

7TH Floor, Ambadeep Building, Kasturba Gandhi Marg, New Delhi - 110001, India

 

·         DBS Bank Limited

Upper Ground Floor, Birla Tower, 25, Barakhamba Road, New Delhi - 110001, India

 

·         State Bank of India

Industrial Finance Branch, World Trade Center, Cuffe Parade, Mumbai - 400005, Maharashtra, India

 

·         HDFC Bank Limited

HDFC Bank House, Senapati Bapat Marg, Lower Parel [West], Mumbai - 400013, Maharashtra, India

 

 

Facilities :

 

SECURED LOANS

31.03.2013

(Rs. In Million)

31.03.2012

(Rs. In Million)

LONG-TERM BORROWINGS

 

 

Rupee term loans from banks

20.834

112.500

Foreign currency term loans from banks

363.504

378.094

Term loans from others

Repayment Term of Foreign currency Loan from GE Capital Services is 16 quarterly installments of Rs. 12.500 Million and Rs. 18.750 Million respectively for each tranche.

331.250

456.250

SHORT TERM BORROWINGS

 

 

Working capital loans from banks

The loans are repayable on demand. Interest on cash credit facilities/working capital loans varied from 10% to 12.50% during the year.

513.269

458.573

Loans repayable on demand from banks

The loans are repayable on demand. Interest on packing credit in foreign currency varied from 2% to 5.27% during the year.

124.913

254.938

 

 

 

Total

 

1353.770

1660.355

 

Notes:

 

LONG-TERM BORROWINGS

 

(i) The loan together with interest and other charges thereon are secured by first pari passu charge by way of hypothecation of all Company's Stock in trade and Book Debts, both present and future. This facility is further secured by second pari passu charge by way of hypothecation of all Company's moveable properties, both present and future situated at Power Unit Plant, Pithampur (PUP), Power Products Division, Hosur (PPD) and Madras Processing Zone, Chennai (MEPZ) and by way equitable mortgage on all immovable properties situated at PUP (except properties of the value of Rs. 1.719 Million) and PPD.

 

(ii) The loan together with interest and other charges thereon are secured by first pari passu charge by way of hypothecation of moveable Plant and Machinery of the Company situated at the Power Unit Plant at Pithampur, Indore and Power Products Division at Hosur, Tamil Nadu. This facility is further secured by first pari passu charge by way of equitable mortgage of all immovable properties situated at PUP (except properties of the value of Rs. 1.719 Million) and PPD.

 

(iii) The loan together with interest and other charges thereon are secured by first pari passu charge by way of hypothecation of all moveable fixed assets of the Company, both present and future, situated at Kharagpur, West Bengal. This facility is further secured by first pari passu charge by way of equitable mortgage of all immovable properties of the Company situated at the said plant.

 

(iv) The loans together with interest and other charges thereon are secured by first pari passu charge by way of hypothecation of moveable Plant and Machinery of the Company situated at the PUP, PPD and MEPZ. This facility is further secured by first pari passu charge by way of equitable mortgage of all immovable properties situated at PUP (except properties of the value of Rs. 1.719 Million) and PPD. This facility is further secured by second pari passu charge by way of hypothecation of Company's Current Assets, both present and future.

 

 

SHORT TERM BORROWINGS

 

The secured borrowings from banks together with interest and other charges are secured by first pari passu charge by way of hypothecation of all Company's Stock in trade and Book Debts, both present and future. These facilities are further secured by second pari passu charge by way of hypothecation of all Company's moveable properties, both present and future situated at PUP, PPD and MEPZ and by second pari passu charge by way of equitable mortgage on all immovable properties situated at PUP, Pithampur (except properties of the value of Rs. 1.719 Million) and PPD. The loans are repayable on demand. Interest on cash credit facilities/working capital loans varied from 10% to 12.50% during the year. Interest on packing credit in foreign currency varied from 2% to 5.27% during the year.

 

 

Auditors :

 

Name :

S.R. Batliboi and Company LLP

Chartered Accountants

Address :

6th Floor, Hindustan Times Building, 18-20, K. G. Marg, New Delhi – 110001, India

Income-tax PAN of auditor or auditor's firm :

AALFS0560L

 

 

Subsidiary company

[AS ON 31.03.2013] :

  • AVTEC (Europe) Powertrain AG w.e.f. February 03, 2012
  • ASS AG, Switzerland w.e.f. May 21, 2012
  • ASS Evolvere, Switzerland w.e.f. May 21, 2012
  • ASS Norma, Switzerland w.e.f. May 21, 2012
  • ASS CGP, Switzerland w.e.f. May 21, 2012

 

 

Associate [AS ON 31.03.2013]:

Hindustan Motors Limited [L34103WB1942PLC018967] (Till March 28, 2013)

 

 

 

Other parties which significantly influence /are influenced by the Company (either individually or with others) [AS ON 31.03.2013] :

  • ACTIS Powertrain Investments Limited
  • HM Exports Limited [U31901WB1961PLC025330] (Till March 28, 2013)

 

 

CAPITAL STRUCTURE

 

AS ON 23.06.2014

 

Authorised Capital :

No. of Shares

Type

Value

Amount

 

 

 

 

25,000,000

Equity Shares

Rs. 10/- each

Rs. 250.000 Million

 

Issued, Subscribed & Paid-up Capital :

No. of Shares

Type

Value

Amount

 

 

 

 

25,000,000

Equity Shares

Rs. 10/- each

Rs. 250.000 Million

 


 

FINANCIAL DATA

[all figures are in Rupees Million]

 

ABRIDGED BALANCE SHEET

 

SOURCES OF FUNDS

 

31.03.2013

31.03.2012

31.03.2011

I.              EQUITY AND LIABILITIES

 

 

 

(1)Shareholders' Funds

 

 

 

(a) Share Capital

250.000

250.000

250.000

(b) Reserves & Surplus

2496.084

2405.251

2162.220

(c) Money received against share warrants

0.000

0.000

0.000

 

 

 

 

(2) Share Application money pending allotment

0.000

0.000

0.000

Total Shareholders’ Funds (1) + (2)

2746.084

2655.251

2412.220

 

 

 

 

(3) Non-Current Liabilities

 

 

 

(a) long-term borrowings

715.588

946.844

614.246

(b) Deferred tax liabilities (Net)

121.838

118.932

109.236

(c) Other long term liabilities

0.000

0.000

0.000

(d) long-term provisions

17.313

12.120

27.271

Total Non-current Liabilities (3)

854.739

1077.896

750.753

 

 

 

 

(4) Current Liabilities

 

 

 

(a) Short term borrowings

720.821

713.511

624.102

(b) Trade payables

1188.653

1115.141

879.701

(c) Other current liabilities

509.263

457.708

623.276

(d) Short-term provisions

91.046

88.734

56.471

Total Current Liabilities (4)

2509.783

2375.094

2183.550

 

 

 

 

TOTAL

6110.606

6108.241

5346.523

 

 

 

 

II.            ASSETS

 

 

 

(1) Non-current assets

 

 

 

(a) Fixed Assets

 

 

 

(i) Tangible assets

2615.963

2824.391

2459.870

(ii) Intangible Assets

14.399

47.976

86.353

(iii) Capital work-in-progress

412.548

105.077

273.871

(iv) Intangible assets under development

164.849

158.433

110.236

(b) Non-current Investments

225.762

5.382

0.000

(c) Deferred tax assets (net)

0.000

0.000

0.000

(d)  Long-term Loan and Advances

43.178

41.405

28.981

(e) Other Non-current assets

0.218

1.301

0.110

Total Non-Current Assets

3476.917

3183.965

2959.421

 

 

 

 

(2) Current assets

 

 

 

(a) Current investments

0.000

10.006

0.000

(b) Inventories

639.581

740.234

702.585

(c) Trade receivables

1734.253

1733.339

1329.319

(d) Cash and cash equivalents

66.253

263.908

152.216

(e) Short-term loans and advances

184.796

169.354

188.332

(f) Other current assets

8.806

7.435

14.650

Total Current Assets

2633.689

2924.276

2387.102

 

 

 

 

TOTAL

6110.606

6108.241

5346.523

 

 

PROFIT & LOSS ACCOUNT

 

 

PARTICULARS

 

31.03.2013

31.03.2012

31.03.2011

 

SALES

 

 

 

 

 

Revenue from operations

6295.370

6502.219

5384.357

 

 

Other Income

9.839

27.902

47.587

 

 

TOTAL                                     (A)

6305.209

6530.121

5431.944

 

 

 

 

 

Less

EXPENSES

 

 

 

 

 

Cost of materials consumed

3700.716

3794.832

2948.514

 

 

Purchases of stock-in-trade

148.860

386.902

272.405

 

 

Changes in inventories of finished goods, work-in-progress and stock-in-trade

72.281

(77.506)

36.035

 

 

Employee benefit expense

734.616

634.625

570.926

 

 

Other expenses

841.694

758.712

657.705

 

 

TOTAL                                     (B)

5498.167

5497.565

4485.585

 

 

 

 

 

Less

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

807.042

1032.556

946.359

 

 

 

 

 

Less

FINANCIAL EXPENSES                                    (D)

206.306

193.593

153.370

 

 

 

 

 

 

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

600.736

838.963

792.989

 

 

 

 

 

Less/ Add

DEPRECIATION/ AMORTISATION                     (F)

371.209

404.294

433.838

 

 

 

 

 

 

PROFIT BEFORE TAX (E-F)                              (G)

229.527

434.669

359.151

 

 

 

 

 

Less

TAX                                                                  (H)

80.196

133.527

85.393

 

 

 

 

 

 

PROFIT AFTER TAX (G-H)                                (I)

149.331

301.142

273.758

 

 

 

 

 

 

EARNINGS IN FOREIGN CURRENCY

 

 

 

 

 

Export Earnings

507.549

592.508

540.704

 

 

Professional and Consultation Fees 

147.040

0.000

0.000

 

 

Other Earnings

4.099

23.588

0.000

 

TOTAL EARNINGS

658.688

616.096

540.704

 

 

 

 

 

 

IMPORTS

 

 

 

 

 

Raw Materials

318.706

360.126

322.334

 

 

Stores & Spares

4.999

7.257

10.536

 

 

Capital Goods

161.228

281.331

32.500

 

TOTAL IMPORTS

484.933

648.714

365.370

 

 

 

 

 

 

Earnings Per Share (Rs.)

5.97

12.05

10.95

 

 

 

CURRENT MATURITIES OF LONG TERM DEBT DETAILS

 

Particulars

 

31.03.2013

31.03.2012

31.03.2011

Current Maturities of Long term debt

378.256

363.235

424.817

Cash generated from operations

NA

NA

NA

Net cash flows from (used in) operations

772.323

516.121

683.099

Net cash flows from (used in) operating activities

884.455

575.933

663.930

 

 

KEY RATIOS

 

PARTICULARS

 

 

31.03.2013

31.03.2012

31.03.2011

Net Profit Margin
(PAT / Sales)

(%)

2.37

4.63

5.08

 

 

 

 

 

Operating Profit Margin
(PBIDT/Sales)

(%)

12.82

15.88

17.58

 

 

 

 

 

Return on Total Assets

(PBT/Total Assets}

(%)

4.32

7.44

7.24

 

 

 

 

 

Return on Investment (ROI)

(PBT/Networth)

 

0.08

0.16

0.15

 

 

 

 

 

Debt Equity Ratio

(Total Debt/Networth)

 

0.66

0.76

0.69

 

 

 

 

 

Current Ratio

(Current Asset/Current Liability)

 

1.05

1.23

1.09

 

 

FINANCIAL ANALYSIS

[all figures are in Rupees Million]

 

DEBT EQUITY RATIO

 

 

Particular

31.03.2011

31.03.2012

31.03.2013

 

(Rs. In Million)

(Rs. In Million)

(Rs. In Million)

Share Capital

250.000

250.000

250.000

Reserves & Surplus

2162.220

2405.251

2496.084

Share Application money pending allotment

0.000

0.000

0.000

Net worth

2412.220

2655.251

2746.084

 

 

 

 

long-term borrowings

614.246

946.844

715.588

Short term borrowings

624.102

713.511

720.821

Current Maturities of Long Term Debt

424.817

363.235

378.256

Total borrowings

1663.165

2023.590

1814.665

Debt/Equity ratio

0.689

0.762

0.661

 

 

 

 

YEAR-ON-YEAR GROWTH

 

 

Year on Year Growth

31.03.2011

31.03.2012

31.03.2013

 

(Rs. In Million)

(Rs. In Million)

(Rs. In Million)

Sales

5384.357

6502.219

6295.370

 

 

20.761

(3.181)

 

 

 

NET PROFIT MARGIN

 

Net Profit Margin

31.03.2011

31.03.2012

31.03.2013

 

(Rs. In Million)

(Rs. In Million)

(Rs. In Million)

Sales

5384.357

6502.219

6295.370

Profit

273.758

301.142

149.331

 

5.08%

4.63%

2.37%

 

 

 

 

 

LOCAL AGENCY FURTHER INFORMATION

 

 

Sr. No.

Check list by info agents

Available in Report (Yes/No)

1

Year of establishment

Yes

2

Constitution of the entity -Incorporation details

Yes

3

Locality of the entity

Yes

4

Premises details

No

5

Buyer visit details

---

6

Contact numbers

Yes

7

Name of the person contacted

Yes

8

Designation of contact person

Yes

9

Promoter’s background

Yes

10

Date of Birth of Proprietor / Partners / Directors

Yes

11

Pan Card No. of Proprietor / Partners

Yes

12

Voter Id Card No. of Proprietor / Partners

Yes

13

Type of business

Yes

14

Line of Business

Yes

15

Export/import details (if applicable)

No

16

No. of employees

Yes

17

Details of sister concerns

Yes

18

Major suppliers

No

19

Major customers

Yes

20

Banking Details

Yes

21

Banking facility details

Yes

22

Conduct of the banking account

--

23

Financials, if provided

Yes

24

Capital in the business

Yes

25

Last accounts filed at ROC, if applicable

No

26

Turnover of firm for last three years

Yes

27

Reasons for variation <> 20%

--

28

Estimation for coming financial year

No

29

Profitability for last three years

Yes

30

Major shareholders, if available

Yes

31

External Agency Rating, if available

Yes

32

Litigations that the firm/promoter involved in

---

33

Market information

---

34

Payments terms

Yes

35

Negative Reporting by Auditors in the Annual Report

No

 

 

INDEX OF CHARGES

 

S.NO.

CHARGE ID

DATE OF CHARGE CREATION/MODIFICATION

CHARGE AMOUNT SECURED

CHARGE HOLDER

ADDRESS

SERVICE REQUEST NUMBER (SRN)

1

10572122

13/05/2015

352,294,250.00

ICICI BANK LIMITED

LANDMARKRACE COURCE CIRCLE, ALKAPURI, BARODA, GUJ 
ARAT - 390015, INDIA

C55024970

2

10549238

13/02/2015

200,000,000.00

ICICI BANK LIMITED

LANDMARKRACE COURCE CIRCLE, ALKAPURI, BARODA, GUJ 
ARAT - 390015, INDIA

C43693522

3

10550552

06/02/2015

400,000,000.00

ICICI BANK LIMITED

LANDMARKRACE COURCE CIRCLE, ALKAPURI, BARODA, GUJ 
ARAT - 390015, INDIA

C44316149

4

10522199

19/09/2014

200,000,000.00

KOTAK MAHINDRA BANK LIMITED

7TH FLOOR, AMBADEEP BUILDING,, 14 K G MARG,, NEW 
DELHI, DELHI - 110001, INDIA

C22733786

5

10508504

16/02/2015 *

700,000,000.00

ICICI BANK LIMITED

LANDMARKRACE COURCE CIRCLE, ALKAPURI, BARODA, GUJ 
ARAT - 390015, INDIA

C46010906

6

10508501

11/07/2014

300,000,000.00

ICICI BANK LIMITED

LANDMARKRACE COURCE CIRCLE, ALKAPURI, BARODA, GUJ 
ARAT - 390015, INDIA

C10913051

7

10482365

21/02/2014

200,000,000.00

HDFC BANK LIMITED

HDFC BANK HOUSESENAPATI BAPAT MARG, LOWER PAREL W 
, MUMBAI, MAHARASHTRA - 400013, INDIA

B98406283

8

10423550

06/02/2014 *

385,000,000.00

STANDARD CHARTERED BANK

(ACTING AS AN SECURITY AGENT) C D U, NARAIN MANZI 
L, 23 BARAKHAMBA ROAD, NEW DELHI, DELHI - 110001, 
INDIA

B97585392

9

10379176

19/09/2014 *

280,000,000.00

KOTAK MAHINDRA BANK LIMITED

7TH FLOOR, AMBADEEP BUILDING,, K .G .MARG,, NEW D 
ELHI, DELHI - 110001, INDIA

C22735534

10

10326761

25/10/2012 *

300,000,000.00

DBS BANK LTD.

UPPER GROUND FLOOR, BIRLA TOWER, 25, BARAKHAMBA R 
OAD, NEW DELHI, DELHI - 110001, INDIA

B62197736

 

* Date of charge modification

 

 

UNSECURED LOANS

 

PARTICULARS 

31.03.2013

(Rs. In Million)

31.03.2012

(Rs. In Million)

SHORT TERM BORROWINGS

 

 

Working capital loans from banks

The loans are repayable on demand. Interest on working capital loans varied from 10% to 12.50% during the year.

82.639

0.000

 

 

 

Total

 

82.639

0.000

 

NATURE OF OPERATIONS (AS ON 31.03.2013)

 

Subject was incorporated on February 8, 2005 and is engaged in the manufacturing and selling of Powertrains and parts thereof.

 

 

GROWTH INITIATIVES(AS ON 31.03.2013)

 

Acquisition of ASSAG (AS ON 31.03.2013)

 

The integration and closing activities to acquire ASSAG, Switzerland (through the Company's wholly owned subsidiary AVTEC (Europe) Powertrain Limited) were completed during the year 2012-13. ASSAG is a pioneer in the face gear technology with several patents, designs and copyrights to its credit and a solution provider in gear trains of high precision and high quality systems/subsystems.

 

Major Customer wins (AS ON 31.03.2013)

 

The Company has won business from a major European automobile manufacturer to supply engines and transmissions.

 

The Company is also working closely with new / existing customers to obtain new orders.

 

MANAGEMENT DISCUSSION AND ANALYSIS REPORT (AS ON 31.03.2013)

 

OVERVIEW OF THE ECONOMY

 

India's economic growth slowed down to approximately 5 per cent in the year 2012-13 and in year 2013-14 it is estimated to be 6.4 per cent. This expectation is based on better macro-economic management of budget and current account deficits, several policy measures and consequent revival of demand, together with a higher level of economic activity and business confidence.

 

On the global front, uncertainly remains due to the problems continuing to be faced by several Eurozone countries. The US continues to recover very slowly with economic growth no more than 2.2 per cent in 2012.

 

AUTOMOTIVE INDUSTRY OVERVIEW

 

A combination of slow economic growth, high interest rates and spiralling cost of fuel has resulted in sluggish demand for automotive vehicles. The highlights of the Indian Automotive Industry's performance in segments relevant to the Company are as follows:

 

·         Production 2012-13 (excluding 2 and 3 wheelers):

·         Total vehicles - 4.1 mn, a decrease of 0.2 per cent over last year

·         Passenger vehicles - 3.2 mn, an increase of 2.8 per cent over last year

·         Medium and Heavy commercial vehicles - 0.3 mn, a decrease of 27.6 per cent over last year

·         Light commercial vehicles - 0.6 mn, an increase of 1.6 per cent over last year

·         Domestic Sales 2012-13 (excluding 2 and 3 wheelers):

·         Total vehicles - 3.5 mn, an increase of 1.2 per cent over last year

·         Passenger vehicles - 2.7 mn, an increase of 2.2 per cent over last year

·         Medium and Heavy commercial vehicles - 0.3 mn, a decrease of 23.2 per cent over last year

·         Light commercial vehicles - 0.5 mn, an increase of 14.0 per cent over last year

·         Export Sales 2012-13 (excluding 2 and 3 wheelers):

·         Total vehicles - 0.6 mn, an increase of 5.6 per cent over last year

·         Going forward, 2013-14 projections for automotive segments relevant to the company are as follows:

·         Passenger vehicles - 5-7 per cent

·         Medium and Heavy commercial vehicles - 1-3 per cent

·         Light commercial vehicles - 10-12 per cent

 

 

BUSINESS OUTLOOK

 

In line with the projections for different automotive segments, the Company has a presence in the potentially niche areas of high growth utility vehicles and light commercial vehicles.

 

To cater to the growing demand for utility vehicles, Ford India plans to introduce its SUV 'Ecosport' this year in India.

 

The light commercial vehicle 'Dost', introduced by Nissan Ashok Leyland has been well received by customers in the southern and western regions. The manufacturer plans to introduce the vehicle in other regions of India.

 

Daimler India introduced a range of medium and heavy commercial vehicles, Rs. Bharat Benz', in India during the year. This vehicle class, having been accepted by customers, Daimler now plans to increase penetration through introduction of more variants.

 

The above programs provide measured volume growth to the Company in 2013-14.

 

The Company expects new business opportunities by way of higher sales to existing customers and also from new customers.

 

The Company acquired ASSAG, a Switzerland based design to prototype company through its subsidiary AVTEC (Europe) Powertrain Limited, and through successful integration achieved profitable growth in the year 2012-13. This is a creditable feat to achieve in first year of integration. The integration of ASSAG will help the Company to take advantage of synergies across the value chain.

 

As the global automotive manufacturers increase their presence in India, intense competition among original equipment manufacturers will lead to cost pressures on the suppliers. Cognizant of this fact and as a continuous endeavour, the Company practices lean manufacturing and constantly strives to reduce costs.

 

 

CONTINGENT LIABILITIES:

 

PARTICULARS

31.03.2013

(Rs. In Million)

31.03.2012

(Rs. In Million)

Contingent liabilities (not provided for) in respect of :*

 

 

(a) Demands raised by Income tax department for the assessment years 2007-2008 to 2011-2012 being disputed by the Company**

36.482

7.400

(b) Show cause notices issued by the Central excise/custom authority, but

disputed by the Company (excluding excise duties and penalties with respect to certain transactions with customers, which are under litigation before CESTAT. The consequences of the litigation on the Company are protected by an indemnity from the said customers)**

18.781

15.074

(c) Sales tax**

5.769

0.631

(d) Corporate Guarantee given on behalf of a subsidiary towards loan taken from DBS Bank Singapore.

629.288

0.000

(e) Other claims against the Company not acknowledged as debts

9.030

4.836

Total

 

699.350

27.941

 

NOTE:

*(a) to (e) excludes liabilities pertaining to period prior to purchase of business from Hindustan Motors Limited (HML), since the same are borne by HML.

** Based on the discussions with its solicitor, the management believes that the Company has strong chance of success and hence no provision against these is considered necessary.

 

 

FIXED ASSETS:

 

·         Land

·         Buildings

·         Plant and equipment

·         Furniture and fixtures

·         Vehicles

·         Office equipment

·         Other equipments

·         Brands and trade marks

·         Brands

·         Computer software

·         Know-how

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 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 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. 65.79

UK Pound

1

Rs. 99.95

Euro

1

Rs.71.55

 

 

INFORMATION DETAILS

 

Information gatherd by :

SVA

 

 

Analysis Done by :

KAS

 

 

Report Prepared by :

SNT

 


 

SCORE & RATING EXPLANATIONS

 

SCORE FACTORS

 

RANGE

POINTS

HISTORY

1~10

6

PAID-UP CAPITAL

1~10

5

OPERATING SCALE

1~10

6

FINANCIAL CONDITION

 

 

--BUSINESS SCALE

1~10

6

--PROFITABILIRY

1~10

5

--LIQUIDITY

1~10

5

--LEVERAGE

1~10

5

--RESERVES

1~10

5

--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

NO

--AFFILIATION

YES/NO

YES

--LISTED

YES/NO

NO

--OTHER MERIT FACTORS

YES/NO

YES

DEFAULTERS 

 

 

--RBI

YES/NO

NO

--EPF

YES/NO

NO

TOTAL

 

48

 

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.