MIRA INFORM REPORT

 

 

Report No. :

494027

Report Date :

23.02.2018

 

 

 

IDENTIFICATION DETAILS

 

Name :

LIFE SUPPLIES NV

 

 

Registered Office :

Industrielaan 25, 2250 Olen

 

 

Country :

Belgium

 

 

Financials (as on) :

31.12.2016

 

 

Date of Incorporation :

01.06.1973

 

 

Com. Reg. No.:

413458441

 

 

Legal Form :

Public Limited Company

 

 

Line of Business :

Non-Specialized Wholesale Trade

 

 

No. of Employees :

12

 

 

RATING & COMMENTS

(Mira Inform has adopted New Rating mechanism w.e.f. 23rd January 2017)

 

MIRA’s Rating :

A++

 

Credit Rating

 

Explanation

Rating Comments

A++

Minimum Risk

Business dealings permissible with minimum risk of default

 

Status :

Excellent

 

 

Payment Behaviour :

Regular

 

 

Litigation :

Clear

 

NOTES :

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

 

 

ECGC Country Risk Classification List

 

Country Name

Previous Rating

(30.09.2017)

Current Rating

(31.12.2017)

Belgium

A2

A2

 

Risk Category

 

ECGC Classification

Insignificant

 

A1

Low Risk

 

A2

Moderately Low Risk

 

B1

Moderate Risk

 

B2

Moderately High Risk

 

C1

High Risk

 

C2

Very High Risk

 

D

 


 

BELGIUM - ECONOMIC OVERVIEW

 

Belgium’s central geographic location and highly developed transport network have helped develop a well-diversified economy, with a broad mix of transport, services, manufacturing, and high tech. Service and high-tech industries are concentrated in the northern Flanders region while the southern region of Wallonia is home to industries like coal and steel manufacturing. Belgium is completely reliant on foreign sources of fossil fuels, and the planned closure of its seven nuclear plants by 2025 should increase its dependence on foreign energy. Its role as a regional logistical hub makes its economy vulnerable to shifts in foreign demand, particularly with EU trading partners. Roughly three-quarters of Belgium's trade is with other EU countries, and the port of Zeebrugge conducts almost half its trade with the United Kingdom alone, leaving Belgium’s economy vulnerable to the outcome of negotiations on the UK’s exit from the EU.

 

Belgium’s GDP grew by 1.7% in 2017 and the budget deficit was 1.5% of GDP. Unemployment stood at 7.3%, however the unemployment rate is lower in Flanders than Wallonia, 4.4% compared to 9.4%, because of industrial differences between the regions. The economy largely recovered from the March 2016 terrorist attacks that mainly impacted the Brussels region tourist and hospitality industry. Prime Minister Charles MICHEL's center-right government has pledged to further reduce the deficit in response to EU pressure to decrease Belgium's high public debt of about 104% of GDP, but such efforts could also dampen economic growth. In addition to restrained public spending, low wage growth and higher inflation promise to curtail a more robust recovery in private consumption.

 

The government has pledged to pursue a reform program to improve Belgium’s competitiveness, including changes to labor market rules and welfare benefits. These changes have generally made Belgian wages more competitive regionally, but risk worsening tensions with trade unions and triggering extended strikes. In 2017, Belgium approved a tax reform plan to ease corporate rates from 33% to 29% by 2018 and down to 25% by 2020. The tax plan also included benefits for innovation and SMEs, intended to spur competitiveness and private investment.

 

Source : CIA

 

 


Company summary

 

Business number                     413458441

Branche Unit Number               2195126133

Company name                        LIFE SUPPLIES NV

Address                                   INDUSTRIELAAN 25

2250 OLEN

Date of establishment               01/06/1973

Telephone number                   3238662884

Mobile number                         -

Fax number                              014768132

Liable for VAT                          Yes

VAT Number                            BE.0413.458.441 Check VAT number

 

 

Commentary

 

The business was established over 44 years ago.

The business has 12 employees.

The business is part of a group.

The business has been at the address for over 6 years.

Operating Result in the latest trading period decreased 41% on the previous trading period.

Pre-tax profits decreased by 67% compared to the previous trading period.

The business saw a decrease in their Cash Balance of 32% during the latest trading period.

 

ANNUAL ACCOUNTS

 

DATE  OF  LATEST  ACCOUNTS

TURNOVER

PROFIT  BEFORE  TAX

NET  WORTH

WORKING  CAPITAL

31/12/2016

54,305,997

195,408

1,609,088

2,023,930

31/12/2015

48,104,933

607,963

1,553,811

1,938,175

31/12/2014

42,069,221

671,234

1,197,906

1,578,585

 

 

 

 

 

ACCOUNTS

 

 

 

 

 

DATE  OF  LATEST  ACCOUNTS

BALANCE  TOTAL

NUMBER  OF  EMPLOYEES

CAPITAL

CASHFLOW

31/12/2016

11,838,972

12

268,000

230,083

31/12/2015

14,473,707

9

268,000

489,204

31/12/2014

10,701,278

8

268,000

516,954

 

 

 

Payment expectations

 

Past payments

 

Payment expectation days

42.79

Industry average payment expectation days

97.79

Industry average day sales outstanding

126.61

Day sales outstanding

24.17

 

 

 

Court data summary

 

BANKRUPTCY DETAILS

 

Court action type

No

 

 

 

PROTESTED BILLS

Bill amount

NSSO DETAILS

Date of summons

--

 

 

 

 

 

Company information

 

Business  Number

413458441

Company  Name

LIFE  SUPPLIES  NV

Fax  Number

01476  81  32

Date  Founded

01/06/1973

Company  Status

active

Company  Type

Public Limited Company

Currency

Euro  (€)

Date  of  Latest  Accounts

31/12/2016

Activity  Code

46900

Number  of  Staff

12

Activity  Description

Non-specialized wholesale trade

 

 

Belgian  Bullettin  of  Acts Publications

Moniteur  Belge

 

 

 

 

Joint Industrial Committee (JIC)

 

JIC Code                      116

Description                  Joint committee for the chemical industry

category

 

JIC Code                      207

Description                  Joint committee for the employees off he chemical industry

category

 

Significant Events

Event Date                    22/09/2009

Event Description         New co-ordinated text of the statutes filed

Event Details                Commentaar 22-09-2009: Doelsuitbreiding.

 

 

Company accounts

 

Assets

 

 

 

 

 

 

 

 

 

Annual  accounts

31-12-2016

%

31-12-2015

%

31-12-2014

%

31-12-2013

%

31-12-2012

Weeks

52

 

52

 

52

 

52

 

52

Currency

EUR

 

EUR

 

EUR

 

EUR

 

EUR

Total  fixed  assets

238,330

2.71

232,031

0.59

230,673

-12.02

262,200

-17.95

319,558

Intangible  fixed  assets

131,921

91.48

68,895

138

28,852

-26.60

39,308

-21.52

50,085

Tangible  fixed  assets

81,300

-41.10

138,028

-29.83

196,714

-11.70

222,784

21.25

183,745

Land  &  building

0

-

0

-

0

-

0

-

0

Plant  &  machinery

21,284

-32.69

31,621

-10.49

35,327

78.45

19,797

1068

1,694

Furniture  &  Vehicles

20,841

17.10

17,798

-9.75

19,719

63.56

12,056

131

5,211

Leasing  &  Other  Similar  Rights

0

-

0

-

0

-

0

-

0

Other  tangible  assets

39,175

-55.79

88,609

-37.45

141,668

-25.80

190,932

7.97

176,840

Financial  fixed  assets

25,108

0

25,108

391

5,108

4629

108

-99

85,728

Total  current  assets

11,600,642

-18.54

14,241,676

36.02

10,470,605

11.45

9,395,296

25.98

7,457,968

Inventories

6,821,753

-21.42

8,680,963

54.32

5,625,244

52.49

3,688,943

45.81

2,529,906

Raw  materials  &  consumables

0

-

0

-

0

-

0

-

0

Work  in  progress

0

-

0

-

0

-

0

-

0

Finished  goods

6,821,753

-21.42

8,680,963

54.32

5,625,244

52.49

3,688,943

45.81

2,529,906

Other  stocks

0

-

0

-

0

-

0

-

0

Trade  debtors

3,596,824

-13.12

4,139,951

-9.86

4,592,925

-13.82

5,329,258

11.40

4,784,026

Other  amounts  receivable

518,527

7.99

480,165

343

108,243

-59.48

267,106

205

87,319

Cash

609,921

-32.46

903,019

633

123,059

29.39

95,107

176

34,421

Miscellaneous  current  assets

53,617

42.68

37,578

77.81

21,134

42.00

14,883

-33.25

22,295

Total  Assets

11,838,972

-18.20

14,473,707

35.25

10,701,278

10.81

9,657,496

24.17

7,777,526

Liabilities

 

 

 

 

 

 

 

 

 

Total  shareholders  equity

1,741,009

7.29

1,622,706

32.28

1,226,758

55.19

790,505

39.60

566,264

Issued  share  capital

268,000

0

268,000

0

268,000

0

268,000

0

268,000

Share  premium  account

174,000

0

174,000

0

174,000

0

174,000

0

174,000

Revaluation  reserve

0

-

0

-

0

-

0

-

0

Reserves

1,299,009

10.02

1,180,706

50.45

784,758

125

348,505

180

124,264

Provisions  for  Liabilities  &  Charges

0

-

0

-

0

-

0

-

0

Deffered  taxes

0

-

0

-

0

-

0

-

0

Creditors

10,097,963

-21.42

12,851,001

35.64

9,474,520

6.85

8,866,991

22.96

7,211,262

Other  long  term  loans

521,250

-4.79

547,500

-6.01

582,500

-5.67

617,500

3.87

594,489

Other  long  term  liabilities

0

-

0

-

0

-

0

-

0

Total  long  term  debts

521,250

-4.79

547,500

-6.01

582,500

-5.67

617,500

3.87

594,489

Current  portion  of  long  term  debt

26,250

-25.00

35,000

0

35,000

0

35,000

10.77

31,596

Financial  debts

3,000,000

-21.05

3,800,000

51.93

2,501,129

-49.13

4,916,292

11.39

4,413,642

Trade  creditors

6,310,692

-22.04

8,095,003

38.52

5,844,022

92.67

3,033,147

50.64

2,013,566

Amounts  Payable  for  Taxes, Remuneration  &  Social  Security

214,799

-21.02

271,968

-42.52

473,145

109

225,372

93.43

116,514

Miscellaneous  current  liabilities

24,971

-75.40

101,529

162

38,725

-2.41

39,680

-4.28

41,455

Total  current  liabilities

9,576,713

-22.16

12,303,501

38.37

8,892,020

7.79

8,249,491

24.68

6,616,773

Total  Liabilities

11,838,972

-18.20

14,473,707

35.25

10,701,278

10.81

9,657,496

24.17

7,777,526

 

 

RATIO  ANALYSIS

 

TRADING  PERFORMANCE

 

 

 

 

 

 

 

 

 

Profit  Before  Tax

0.36

-71.43

1.26

-21.25

1.60

48.15

1.08

369

0.23

Return  on  capital  employed

8.64

-69.15

28.01

-24.50

37.10

57.34

23.58

480

4.06

Return  on  total  assets  employed

1.65

-60.71

4.20

-33.01

6.27

82.27

3.44

463

0.61

Return  on  net  assets  employed

11.22

-70.06

37.47

-31.52

54.72

30.32

41.99

404

8.33

Sales  /  net  working  capital

26.83

8.10

24.82

-6.87

26.65

-0.41

26.76

11.78

23.94

Stock  turnover  ratio

12.56

-30.42

18.05

35.00

13.37

11.14

12.03

-4.22

12.56

Creditor  days

42.79

-31.51

62.48

20.48

51.86

40.96

36.79

0

36.79

Debtor  days

24.17

-23.05

31.41

-21.18

39.85

-37.18

63.44

-26.84

86.71

SHORT  TERM  STABILITY

 

 

 

 

 

 

 

 

 

Current  ratio

1.21

4.31

1.16

-1.69

1.18

3.51

1.14

0.88

1.13

Liquidity  ratio  /  acid  ratio

0.50

11.11

0.45

-16.67

0.54

-21.74

0.69

-6.76

0.74

Current  debt  ratio

5.50

-27.44

7.58

4.55

7.25

-30.56

10.44

-10.62

11.68

Cashflow

230,083

-52.97

489,204

-5.37

516,954

77.52

291,210

342

65,810

Net  worth

1,609,088

3.56

1,553,811

29.71

1,197,906

59.47

751,198

45.53

516,179

LONG  TERM  STABILITY

 

 

 

 

 

 

 

 

 

Gearing

203.76

-24.55

270.07

6.23

254.22

-63.91

704.46

-20.85

890.00

Equity  in  percentage

14.87

31.94

11.27

-1.91

11.49

39.78

8.22

12.14

7.33

Total  debt  ratio

5.80

-26.77

7.92

2.59

7.72

-31.19

11.22

-11.86

12.73

Working  capital

2,023,930

4.42

1,938,175

22.78

1,578,585

37.77

1,145,805

36.21

841,195

 

 

PROFIT  &  LOSS

 

Operating  Income

54,482,158

12.62

48,377,728

14.45

42,271,166

37.39

30,767,848

52.24

20,209,939

Turnover

54,305,997

12.89

48,104,933

14.35

42,069,221

37.21

30,659,684

52.25

20,137,843

Total  operating  expenses

53,831,210

13.83

47,291,903

14.98

41,131,111

36.67

30,094,238

50.65

19,975,749

Gross  Operating  Margin

-

-

-

-

-

-

-

-

-

Operating  Charges

54,483,448

14.55

47,564,699

15.08

41,333,056

36.85

30,202,403

50.65

20,047,844

Employee  costs

907,969

36.92

663,140

5.74

627,152

61.29

388,829

25.69

309,345

Wages  and  salary

591,815

24.63

474,862

6.29

446,748

60.13

278,989

26.23

221,010

Employee  pension  costs

-

-

-

-

-

-

-

-

-

Social  security  contributions

155,870

38.92

112,199

21.15

92,615

35.68

68,260

10.63

61,701

Other  employee  costs

160,284

110

76,079

-13.34

87,789

111

41,580

56.12

26,634

Director  remuneration

147,298

1.43

145,216

-52.50

305,730

7.15

285,340

59.49

178,906

Amortization  and  depreciation

111,780

19.86

93,256

15.56

80,702

20.51

66,969

69.23

39,574

Operating  result

474,787

-41.60

813,030

-13.33

938,110

65.91

565,445

248

162,094

Total  financial  income

207,586

-51.05

424,075

53.38

276,477

106

133,851

-5.16

141,135

Total  financial  expenses

485,674

-22.80

629,141

15.79

543,354

47.92

367,336

43.45

256,079

Results  on  ordinary  operations before  taxation

195,408

-67.86

607,963

-9.43

671,234

102

331,960

604

47,150

Extraordinary  Income

1,290

-4.70

1,354

-45.85

2,500

-87.55

20,080

348

4,472

Extraordinary  Charges

-

-

-

-

-

-

-

-

-

Extraordinary  items

1,290

-4.70

1,354

-45.85

2,500

-87.55

20,080

348

4,472

Results  for  the  Year  Before Taxation

196,698

-67.72

609,317

-9.56

673,734

91.38

352,041

581

51,622

Taxation

78,395

-63.26

213,369

-10.15

237,481

85.82

127,799

403

25,386

Results  on  ordinary  operations after  taxation

117,013

-70.35

394,595

-9.03

433,753

112

204,161

838

21,764

Net  result

118,303

-70.12

395,948

-9.24

436,253

94.55

224,241

754

26,236

Profit  (Loss)  for  the  Year  to  be appropriated

67,939

-65.74

198,313

-54.54

436,253

94.55

224,241

754

26,236

Dividends

-

-

-

-

-

-

-

-

-

 

 

Social BALANCE SHEET DETAILS

 

Social  Balance  Sheet

Total

During  the  reporting  year

 

ended  31-12-2016

 

Full-time  Employees

11

Part-time  Employees

0

Total  Fte  Employees

12

 

 

Number  of  hours  worked

 

Full-time  Employees

19,091

Part-time  Employees

254

Total

19,345

 

 

Personnel  Charges

 

Full-time  Employees

897,165

Part-time  Employees

10,804

Total

907,969

Benefits  In  Addition  To  Wages

-

 

 

During  the  previous  reporting  year

 

Average  number  employees  in  Fte

9

Actual  working  hours

14,207

Personnel  Charges

663,140

Benefits  In  Addition  To  Wages

9,432

 

 

Type  of  Contract

 

Full-Time

Part-Time

Total  Fte

Unlimited  Duration Contracts

13

-

13

 

 

Gender  and  Education

 

 

 

Level

 

 

 

Men

Full-Time

 

Part-Time

Total  Fte

Primary  education

3

-

3

 

 

Women

 

Full-Time

Part-Time

Total  Fte

Primary  education

9

-

9

 

 

Working  Category

Full-Time

Part-Time

Total  Fte

Management

-

-

-

White  collar  worker

12

-

12

Blue  collar  worker

1

-

1

 

 

Temporary  personnel

Total

 

Average  number  of  temporary  staff

3

Actual  working  hours

5,384

Cost  of  temporary  staff

231,074

 

 

New  staff  and  leavers

Full-Time

 

Part-Time

Total  Fte

New  Starters

4

1

5

Leavers

-

1

1

 

Total  of  formal  continuing  vocational  training  initiatives for  workers  paid  by  the  employer

 

Male

Female

Number  of  employees

8

6

Number  of  training  hours

104

158

Net  costs  for  enterprise

2,112

3,720

 

 

Industry comparison

 

Activity code

46900

Activity description

Non-specialized wholesale trade

 

 

Payment expectations

 

Payment expectation days

42.79

Day sales outstanding

24.17

 

 

Industry comparison  

 

Activity code

46900

Activity description

Non-specialized wholesale trade

Industry average payment expectation days

97.79

Industry average day sales outstanding

126.61

 

Industry quartile analysis

 

Payment expectations

 

Company result

42.79

Lower

99.32

Median

49.09

Upper

24.15

 

 

Day sales outstanding

 

Company result

24.17

Lower

112.12

Median

63.79

Upper

26.47

Shareholder details

 

Group Structure

 

Company  Name

 

Number

Latest Financials

- LIFE  SUPPLIES  NV

413458441

31-12-2016

- - LIFE  SUPPLIES  B.V.

62277553

31-12-2016

 

Minority Shareholders

No minority shareholders found

 

Minority Interests

No minority interest found

 

Individual Shareholders

 

SHAREHOLDER  NAME

 

 

 

Forename

Chantal

Middle  name

-

Surname

Voets

 

 

 

 

 

 

SHAREHOLDER  DETAILS

 

 

 

Start  date

21/03/2011(estimated)

End  date

-

Percentage  owned

0.13%

 

 

 

 

 

 

SHAREHOLDER  ADDRESS

 

 

 

Street  name

Langestraat

House  number

39A

Postal  town

Aarschot

 

 

Post  code

3202

Country

Belgium

 

 

 

 

SHAREHOLDER  NAME

 

 

 

Forename

Herman

Middle  name

-

Surname

Meynaerts

 

 

 

 

 

 

SHAREHOLDER  DETAILS

 

 

 

Start  date

21/03/2011(estimated)

End  date

-

Percentage  owned

0.13%

 

 

 

 

 

 

SHAREHOLDER  ADDRESS

 

 

 

Street  name

Langestraat

House  number

39A

Postal  town

Aarschot

 

 

Post  code

3202

Country

Belgium

 

 

 

 

Linked Companies

 

Summary

 

Group  -  Number  of  Companies

2

Linkages  -  Number  of  Companies

0

Number  of  Countries

0

 

Summons

There is no data for this company.

 

Protested Bills

There is no data for this company

 

Bankruptcy and other legal events

There is no data for this company

 

 

Director details

 

CURRENT DIRECTOR DETAILS

 

Position

Managing  Director

Start  Date

30/09/2013

 

 

Name

ARTEMIS  INTERNATIONAL  BVBA

Position

Director

Start  Date

30/09/2013

 

 

Name

BV  MAGICAL  CHEMICAL  BO

Position

Managing  Director

Start  Date

12/04/2012

 

 

Position

Director

Start  Date

12/04/2012

 

 

Name

Chantal  Voets

Position

Managing  Director

Start  Date

23/02/2011

Date  of  birth

16/02/1965

Street

39 LANGESTRAAT  AARSCHOT

Post  code

3202

Country

Belgium

 

 

Position

Director

Start  Date

23/02/2011

Date  of  birth

16/02/1965

Street

39 LANGESTRAAT  AARSCHOT

Post  code

3202

Country

Belgium

 

 

Name

Herman  Meynaerts

Position

Director

Start  Date

23/02/2011

Date  of  birth

04/01/1961

Street

39 LANGESTRAAT  AARSCHOT

Post  code

3202

Country

Belgium

 

FORMER DIRECTOR DETAILS

 

Name

ARTEBEAU  BVBA

Position

Managing  Director

Start  Date

01/06/2011

End  Date

30/09/2013

 

 

Position

Director

Start  Date

01/06/2011

End  Date

30/09/2013

 

 

Name

Herman  Meynaerts

Position

Managing  Director

Start  Date

23/02/2011

End  Date

01/06/2011

Date  of  birth

04/01/1961

Street

39 LANGESTRAAT  AARSCHOT

Post  code

3202

Country

Belgium

 

 

Position

Permanent  representative  legal  entity

Start  Date

01/06/2011

End  Date

30/09/2013

Date  of  birth

04/01/1961

Street

39 LANGESTRAAT  AARSCHOT

Post  code

3202

Country

Belgium

 

 

Position

Manager

Start  Date

09/12/2004

End  Date

23/02/2011

Date  of  birth

04/01/1961

Street

39 LANGESTRAAT  AARSCHOT

Post  code

3202

Country

Belgium

 

 

Name

FEEDWAY  BO

Position

Director

Start  Date

23/02/2011

End  Date

17/05/2013

 

 

Name

NICOLAS  LAERON

Position

Permanent  representative  legal  entity

Start  Date

23/02/2011

End  Date

17/05/2013

 

 

Name

Chantal  Voets

Position

Manager

Start  Date

20/12/2005

End  Date

23/02/2011

Date  of  birth

16/02/1965

Street

39 LANGESTRAAT  AARSCHOT

Post  code

3202

Country

Belgium

 

 

Name

Pieter  Daeseleire

Position

Manager

Start  Date

04/12/2008

End  Date

23/02/2011

Date  of  birth

22/06/1967

Street

9 MONNIKENHOFSTRAAT  RUMST

Post  code

2840

Country

Belgium

 

 

Name

Joris  Coppye

Position

Manager

Start  Date

09/12/2004

End  Date

15/06/2010

Date  of  birth

15/06/1966

Street

32 CHARLESLEI  BRASSCHAAT

Post  code

2930

Country

Belgium

 

 

Name

Kristien  Hellemans

Position

Manager

Start  Date

20/12/2005

End  Date

15/06/2010

Date  of  birth

19/02/1967

Street

32 CHARLESLEI  BRASSCHAAT

Post  code

2930

Country

Belgium

 

FORMER MANDATES IN OTHER COMPANIES

 

Name

AZELIS  BENELUX  NV

Business  number

864977011

Position

Managing  Director

Start  Date

31/08/2009

End  Date

25/01/2010

 

 

Business  number

864977011

Position

Director

Start  Date

31/08/2009

End  Date

25/01/2010

 

 

Business  number

864977011

Position

Permanent  representative  legal  entity

Start  Date

31/08/2009

End  Date

25/01/2010


 

FOREIGN EXCHANGE RATES

 

Currency

Unit

Indian Rupees

US Dollar

1

INR 65.05

UK Pound

1

INR 90.41

Euro

1

INR 79.83

Euro

1

INR 79.79

 

Note : Above are approximate rates obtained from sources believed to be correct

 

 

INFORMATION DETAILS

 

Analysis Done by :

VAR

 

 

Report Prepared by :

TPT

 


 

RATING EXPLANATIONS

 

Credit Rating

 

Explanation

Rating Comments

A++

Minimum Risk

Business dealings permissible with minimum risk of default

A+

Low Risk

Business dealings permissible with low risk of default

A

Acceptable Risk

Business dealings permissible with moderate risk of default

B

Medium Risk

Business dealings permissible on a regular monitoring basis

C

Medium High Risk

Business dealings permissible preferably on secured basis

D

High Risk

Business dealing not recommended or on secured terms only

NB

New Business

No recommendation can be done due to business in infancy stage

NT

No Trace

No recommendation can be done as the business is not traceable

 

NB is stated where there is insufficient information to facilitate rating. However, it is not to be considered as unfavourable.

 

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 are as follows:

 

·         Financial condition covering various ratios

·         Company background and operations size

·         Promoters / Management background

·         Payment record

·         Litigation against the subject

·         Industry scenario / competitor analysis

·         Supplier / Customer / Banker review (wherever available)

 

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.