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3decades

 

MIRA INFORM REPORT

 

 

Report No. :

487218

Report Date :

20.01.2018

 

IDENTIFICATION DETAILS

 

Name :

EUROSTAR  DIAMOND  TRADERS  NV

 

 

Registered Office :

Hoveniersstraat  53-Bus  79, 2018 Antwerpen

 

 

Country :

Belgium

 

 

Financials (as on) :

31.12.2015

 

 

Date of Incorporation :

22.02.1991

 

 

Com. Reg. No.:

443117279

 

 

Legal Form :

Public  Limited  Company

 

 

Line of Business :

Wholesale  of  diamonds  and other  precious  stones

 

 

No. of Employees :

37 

 

 

RATING & COMMENTS

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

 

MIRA’s Rating :

B

 

Credit Rating

Explanation

Rating Comments

B

Medium Risk

Business dealings permissible on a regular monitoring basis

 

Status :

Moderate

 

 

Payment Behaviour :

Unknown

 

 

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

(30.06.2017)

Current Rating

(30.09.2017)

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. Industry is concentrated mainly in the more heavily-populated region of Flanders in the north. Belgium is 100% 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.

Belgium’s GDP grew by 1.6% in 2017, unemployment stood at 7.5%, and the budget deficit was 2.1% of GDP. The economy largely recovered from the March 2016 terrorist attacks, which 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 tax policy, 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.

 

Source : CIA

 


COMPANY NAME

 

EUROSTAR  DIAMOND  TRADERS  NV 

 

 

Company summary                        

 

Business  number

443117279

Branche  Unit  Number

2052038562

Company  name

EUROSTAR  DIAMOND  TRADERS  NV

Address

HOVENIERSSTRAAT  53-BUS  79

 

2018 ANTWERPEN

Date  of  establishment

22/02/1991

Telephone  number

3232137777

Mobile  number

-

Fax  number

032137799

Liable  for  VAT

yes

VAT  Number

BE.0443.117.279  Check  VAT  number

 

 

Commentary

 

The  business  was  established  over  26  years  ago. The  business  has  37  employees.

The  business  has  been  at  the  address  for  over  13  years.

Operating  Result  in  the  latest  trading  period  decreased  143%  on  the  previous  trading  period.

Pre-tax  profits  decreased  by  423%  compared  to  the  previous  trading  period.

The  business  saw  an  increase  in  their  Cash  Balance  of  462%  during  the  latest  trading  period.

 

 

Annual  accounts

 

DATE  OF  LATEST  ACCOUNTS

TURNOVER

PROFIT  BEFORE  TAX

NET  WORTH

WORKING  CAPITAL

31/12/2015

2,384,241,112

-29,982,179

320,115,892

265,980,073

31/12/2014

2,496,816,416

9,271,248

288,329,596

217,174,380

31/12/2013

2,278,879,219

6,849,390

246,864,122

177,508,883

Accounts

 

 

 

 

DATE  OF  LATEST  ACCOUNTS

BALANCE  TOTAL

NUMBER  OF  EMPLOYEES

CAPITAL

CASHFLOW

31/12/2015

765,009,716

37

165,000,000

-29,484,251

31/12/2014

672,424,061

40

135,894,000

8,313,578

31/12/2013

644,377,646

43

119,641,500

8,779,324

 

Payment  expectations

 

Past  payments

 

Payment  expectation  days

38.42

Industry  average  payment

200.55

Industry  average  day  sales

211.46

expectation  days

 

outstanding

 

Day  sales  outstanding

56.50

 

 

 

 

Court  data  summary

 

BANKRUPTCY  DETAILS

Court  action  type

no

 

 

PROTESTED  BILLS

Bill  amount

-

 

 

NSSO  DETAILS

Date  of  summons

-

 

 

Company  information 

 

Business  number

443117279

Company  name

EUROSTAR  DIAMOND

 

 

 

TRADERS  NV

Fax  number

032137799

Date  founded

22/02/1991

Company  status

active

Company  type

Public  limited  company

Currency

Euro  (€)

Date  of  latest  accounts

31/12/2015

Activity  code

46761

Number  of  staff

37

Activity  description

Wholesale  of  diamonds  and other  precious  stones

 

 

Belgian  Bullettin  of  Acts Publications

moniteur  belge

 

 

 

 

Contractor  details

 

Registered  contractor

-

number

 

Contractor  description

-

Date  struck  off  register

 

Personnel  (NSSO  classification)

 

Code

-

Description

-

Joint  Industrial  Committee  (JIC)

 

Significant  Events

 

Event  Date

16/09/2015

Event  Description

 

Event  Details

Rechtzetting  akte  dd.  01  september  2015.

Event  Date

03/06/2003

Event  Description

Merger  by  acquisition

Event  Details

 

 

 

Company accounts                                  

 

Assets

 

 

 

 

 

 

 

 

 

Annual  accounts

31-12-2015

%

31-12-2014

%

31-12-2013

%

31-12-2012

%

31-12-2011

Weeks

52

 

52

 

52

 

52

 

52

Currency

EUR

 

EUR

 

EUR

 

EUR

 

EUR

Total  fixed  assets

56,695,375

-22.97

73,606,290

2.09

72,101,102

-19.61

89,691,568

11.34

80,557,020

Intangible  fixed  assets

15,900

-22.16

20,427

-

0

-100

1,503

-78.59

7,021

Tangible  fixed  assets

6,235,399

18.54

5,260,011

13.01

4,654,527

-0.61

4,682,985

-6.47

5,007,060

Land  &  building

5,454,200

19.73

4,555,546

10.72

4,114,508

-1.61

4,181,690

-3.91

4,351,687

Plant  &  machinery

671,250

7.70

623,243

34.69

462,733

5.63

438,073

40.65

311,462

Furniture  &  Vehicles

109,949

35.37

81,223

5.09

77,286

22.24

63,223

-81.62

343,911

Leasing  &  Other  Similar

0

-

0

-

0

-

0

-

0

Rights

 

 

 

 

 

 

 

 

 

Other  tangible  assets

0

0

-1

-

0

0

-1

-

0

Financial  fixed  assets

50,444,076

-26.17

68,325,852

1.30

67,446,575

-20.66

85,007,080

12.53

75,542,939

Total  current  assets

708,314,341

18.29

598,817,771

4.64

572,276,544

11.00

515,547,137

3.76

496,874,850

Inventories

274,803,311

8.59

253,053,513

-4.75

265,670,187

-2.16

271,535,104

16.44

233,203,212

Raw  materials  &

0

-

0

-

0

-

0

-

0

consumables

 

 

 

 

 

 

 

 

 

Work  in  progress

0

-

0

-

0

-

0

-

0

Finished  goods

274,803,311

8.59

253,053,513

-4.75

265,670,187

-2.16

271,535,104

16.44

233,203,212

Other  stocks

0

-

0

-

0

-

0

-

0

Trade  debtors

369,067,195

29.54

284,902,574

8.71

262,086,597

40.95

185,941,607

-10.81

208,475,293

Other  amounts  receivable

54,687,486

-6.49

58,484,430

42.16

41,139,759

-25.83

55,465,980

2.31

54,214,444

Cash

8,472,500

462

1,506,088

-35.24

2,325,767

12.67

2,064,188

401

411,749

Miscellaneous  current assets

1,131,548

51.74

745,731

-21.13

945,527

120

428,382

-24.87

570,152

Total  Assets

765,009,716

13.77

672,424,061

4.35

644,377,646

6.47

605,238,705

4.82

577,431,870

Liabilities

 

 

 

 

 

 

 

 

 

Total  shareholders  equity

320,131,792

11.02

288,350,023

16.81

246,864,122

-0.95

249,229,356

0.34

248,389,958

Issued  share  capital

165,000,000

21.42

135,894,000

13.58

119,641,500

-4.33

125,053,500

-1.94

127,528,500

Share  premium  account

0

-

0

-

0

-

0

-

0

Revaluation  reserve

0

-

0

-

0

-

0

-

0

Reserves

155,131,792

1.76

152,456,023

19.83

127,222,622

2.45

124,175,856

2.74

120,861,458

Provisions  for  Liabilities  &

1,126,000

21.42

927,374

13.58

816,463

-4.33

853,395

-1.94

870,285

Charges

 

 

 

 

 

 

 

 

 

Deffered  taxes

0

-

0

-

0

-

0

-

0

Creditors

443,751,924

15.82

383,146,664

-3.42

396,697,061

11.70

355,155,953

8.22

328,171,626

Other  long  term  loans

1,417,656

-5.70

1,503,273

-22.09

1,929,400

-45.36

3,531,364

-42.83

6,177,076

Other  long  term  liabilities

0

-

0

-

0

-100

1

0

1

Total  long  term  debts

2,543,656

4.65

2,430,647

-11.48

2,745,863

-37.38

4,384,760

-37.78

7,047,362

Current  portion  of  long  term

249,164

-21.03

315,510

1.38

311,219

8.90

285,781

4.39

273,769

debt

 

 

 

 

 

 

 

 

 

Financial  debts

187,428,932

5.61

177,479,929

-24.99

236,604,865

15.74

204,420,957

-6.13

217,774,376

Trade  creditors

251,973,249

25.10

201,414,429

29.12

155,990,397

8.27

144,072,283

43.08

100,694,631

Amounts  Payable  for  Taxes,

1,801,291

4.17

1,729,144

304

427,447

-43.47

756,163

36.55

553,764

Remuneration  &  Social

 

 

 

 

 

 

 

 

 

Security

 

 

 

 

 

 

 

 

 

Miscellaneous  current

881,632

25.16

704,379

-50.87

1,433,733

-31.38

2,089,405

-22.56

2,698,010

liabilities

 

 

 

 

 

 

 

 

 

Total  current  liabilities

442,334,268

15.90

381,643,391

-3.32

394,767,661

12.27

351,624,589

9.20

321,994,550

Total  Liabilities

765,009,716

13.77

672,424,061

4.35

644,377,646

6.47

605,238,705

4.82

577,431,870

ratio  analysis

 

 

 

 

 

 

 

 

 

TRADING  PERFORMANCE

 

 

 

 

 

 

 

 

 

Profit  Before  Tax

-1.26

-440

0.37

23.33

0.30

0

0.30

-60.0

0.75

Return  on  capital  employed

-9.29

-391

3.19

16.42

2.74

14.64

2.39

-64.33

6.70

Return  on  total  assets

-3.92

-384

1.38

30.19

1.06

6.00

1.00

-66.22

2.96

employed

 

 

 

 

 

 

 

 

 

Return  on  net  assets

-9.37

-390

3.22

16.25

2.77

13.99

2.43

-64.73

6.89

employed

 

 

 

 

 

 

 

 

 

Sales  /  net  working  capital

8.96

-22.09

11.50

-10.44

12.84

2.56

12.52

-4.43

13.10

Stock  turnover  ratio

11.53

13.71

10.14

-13.04

11.66

-11.87

13.23

29.96

10.18

Creditor  days

38.42

29.36

29.70

17.62

25.25

-2.96

26.02

57.22

16.55

Debtor  days

56.50

35.65

41.65

-0.79

41.98

26.94

33.07

-0.42

33.21

SHORT  TERM  STABILITY

 

 

 

 

 

 

 

 

 

Current  ratio

1.60

1.91

1.57

8.28

1.45

-1.36

1.47

-4.55

1.54

Liquidity  ratio  /  acid  ratio

0.98

7.69

0.91

16.67

0.78

13.04

0.69

-15.85

0.82

Current  debt  ratio

1.38

4.55

1.32

-17.50

1.60

13.48

1.41

8.46

1.30

Cashflow

-29,484,251

-454

8,313,578

-5.31

8,779,324

46.95

5,974,203

-65.42

17,275,402

Net  worth

320,115,892

11.02

288,329,596

16.80

246,864,122

-0.95

249,227,853

0.34

248,382,937

LONG  TERM  STABILITY

 

 

 

 

 

 

 

 

 

Gearing

59.07

-5.00

62.18

-35.73

96.75

15.80

83.55

-7.44

90.27

Equity  in  percentage

41.85

-2.40

42.88

11.93

38.31

-6.97

41.18

-4.28

43.02

Total  debt  ratio

1.39

4.51

1.33

-17.39

1.61

12.59

1.43

8.33

1.32

Working  capital

265,980,073

22.47

217,174,380

22.35

177,508,883

8.29

163,922,548

-6.27

174,880,300

Profit  &  loss

 

 

 

 

 

 

 

 

 

Operating  Income

2,385,039,010

-4.49

2,497,105,301

9.56

2,279,245,593

11.04

2,052,720,510

-10.44

2,291,998,656

Turnover

2,384,241,112

-4.51

2,496,816,416

9.56

2,278,879,219

11.05

2,052,065,925

-10.45

2,291,560,804

Total  operating

2,393,630,319

-3.29

2,475,173,612

9.79

2,254,536,677

11.56

2,020,888,500

-9.02

2,221,198,672

expenses

 

 

 

 

 

 

 

 

 

Gross  Operating

0

-

-

-

-

-

-

-

-

Margin

 

 

 

 

 

 

 

 

 

Operating  Charges

2,394,428,217

-3.27

2,475,462,497

9.78

2,254,903,051

11.54

2,021,543,085

-9.01

2,221,636,524

Employee  costs

4,459,365

7.70

4,140,704

15.79

3,576,150

3.03

3,470,852

-7.77

3,763,348

Wages  and  salary

3,210,195

7.93

2,974,204

14.87

2,589,236

9.18

2,371,615

-6.45

2,535,188

Employee  pension costs

0

-

-

-

-

-

-

-

-

Social  security contributions

970,193

13.71

853,247

18.19

721,918

-11.70

817,594

-4.51

856,210

Other  employee costs

278,977

-10.94

313,253

18.21

264,996

-5.91

281,642

-24.28

371,950

Director

0

-

-

-

-

-

-

-

-

remuneration

 

 

 

 

 

 

 

 

 

Amortization  and

493,261

36.06

362,522

1.11

358,540

14.11

314,194

-15.95

373,817

depreciation

 

 

 

 

 

 

 

 

 

Operating  result

-9,389,207

-143

21,642,804

-11.09

24,342,542

-21.92

31,177,425

-55.69

70,362,132

Total  financial income

3,272,636

-48.21

6,319,636

316

1,518,934

-16.76

1,824,718

-33.95

2,762,499

Total  financial expenses

23,865,608

27.68

18,691,192

-1.69

19,012,086

-29.41

26,934,953

-51.92

56,015,956

Results  on ordinary  operations  before taxation

-29,982,179

-423

9,271,248

35.36

6,849,390

12.89

6,067,190

-64.54

17,108,675

Extraordinary Income

8,593

-

-

-

17,135,940

42308

40,407

144

16,506

Extraordinary Charges

22,758

-

-

-

13,610,350

14638

92,345

174

33,586

Extraordinary

-14,165

-

0

-100

3,525,590

6788

-51,938

-204

-17,080

items

 

 

 

 

 

 

 

 

 

Results  for  the

-29,996,344

-423

9,271,248

-10.64

10,374,979

72.48

6,015,252

-64.81

17,091,595

Year  Before

 

 

 

 

 

 

 

 

 

Taxation

 

 

 

 

 

 

 

 

 

Taxation

-18,832

-101

1,320,192

-32.44

1,954,195

450

355,244

86.96

190,011

Results  on

ordinary

operations  after

taxation

-29,963,347

-476

7,951,056

62.43

4,895,195

-14.30

5,711,946

-66.24

16,918,664

Net  result

-29,977,512

-477

7,951,056

-5.58

8,420,784

48.78

5,660,009

-66.51

16,901,585

Profit  (Loss)  for the  Year  to  be appropiated

-29,977,512

-477

7,951,056

-5.58

8,420,784

48.78

5,660,009

-66.51

16,901,585

Dividends

0

-

-

-

-

-

-

-

-

 

 

Social Balance Sheet Details               

 

Social  Balance  Sheet  Details

 

 

 

Social  Balance  Sheet

 

Total

 

During  the  reporting  year

 

 

 

ended  31-12-2015

 

 

 

Full-time  Employees

 

36

 

Part-time  Employees

 

5

 

Total  Fte  Employees

 

39

 

Number  of  hours  worked

 

 

 

Full-time  Employees

 

60,440

 

Part-time  Employees

 

5,596

 

Total

 

66,036

 

Personnel  Charges

 

 

 

Full-time  Employees

 

4,081,471

 

Part-time  Employees

 

377,894

 

Total

 

4,459,365

 

Benefits  In  Addition  To  Wages

 

0

 

During  the  previous  reporting  year

 

 

 

Average  number  employees  in  Fte

 

43

 

Actual  working  hours

 

73,200

 

Personnel  Charges

 

5,027,567

 

Benefits  In  Addition  To  Wages

 

0

 

Type  of  Contract

Full-Time

Part-Time

Total  Fte

Unlimited  Duration

35

4

37

Contracts

 

 

 

Limited  Duration  Contracts

0

0

0

Contracts  For  Specific  Work

0

0

0

Contracts  Regarding Substitution

0

0

0

Gender  and  Education Level

 

 

 

Men

Full-Time

Part-Time

Total  Fte

Primary  education

0

0

0

Secondairy  education

20

0

20

Higher  education  (non

0

0

0

university)

 

 

 

Higher  education

0

0

0

(university)

 

 

 

Women

Full-Time

Part-Time

Total  Fte

Primary  education

0

0

0

Secondairy  education

15

4

17

Higher  education  (non

0

0

0

university)

 

 

 

Higher  education

0

0

0

(university)

 

 

 

Working  Category

Full-Time

Part-Time

Total  Fte

Management

0

0

0

White  collar  worker

35

4

37

Blue  collar  worker

0

0

0

Other

0

0

0

Temporary  personnel

 

Total

 

Average  number  of  temporary  staff

 

0

 

Actual  working  hours

 

0

 

Cost  of  temporary  staff

 

0

 

New  staff  and  leavers

Full-Time

Part-Time

Total  Fte

New  Starters

5

3

7

Leavers

0

0

0

Total  of  formal  continuing  vocational  training  initiatives

 

 

 

for  workers  paid  by  the  employer

Male

Female

 

Number  of  employees

0

0

 

Number  of  training  hours

0

0

 

Net  costs  for  enterprise

0

0

 

Total  of  less  formal  and  informal  continuing  vocational

 

 

 

training  initiatives  for  workers  paid  by  the  employer

Male

Female

 

Number  of  employees

0

0

 

Number  of  training  hours

0

0

 

Net  costs  for  enterprise

0

0

 

Total  of  initial  training  initiatives  at  the  expense  of  the

 

 

 

employer

Male

Female

 

Number  of  employees

0

0

 

Number  of  training  hours

0

0

 

Net  costs  for  enterprise

0

0

 

 

 

Industry  comparison

 

Activity  code

46761

Activity  description

Wholesale  of  diamonds  and  other  precious  stones

 

 

Payment  Information

 

Payment  Information  Summary

 

Total  number  of  Invoices  available

120

Total  number  of  Invoices  paid  within  or  up  to  30  days  after  the  due  date

94

Total  number  of  Invoices  paid  more  than  30  days  after  the  due  date

18

Total  number  of  Invoices  currently  outstanding  where  the  due  date  has  not  yet  been  reached

1

Total  number  of  Invoices  currently  outstanding  beyond  the  due  date

7

 

 

Suspension  of  payments  /  moratorium  history

Amount

-

Details

-

Payment  expectations

 

Payment  expectation  days

38.42

Day  sales  outstanding

56.50

Industry  comparison

 

Activity  code

46761

Activity  description

Wholesale  of  diamonds  and  other  precious  stones

Industry  average  payment

200.55

expectation  days

 

Industry  average  day  sales

211.46

outstanding

 

 

 

Industry  quartile  analysis

 

Payment  expectations

 

Company  result

38.42

Lower

129.55

Median

60.34

Upper

26.55

 

 

Day  sales  outstanding

Company  result

56.50

Lower

134.27

Median

82.06

Upper

45.45

 

 

Shareholder  Details             

 

Summary

 

Group  -  Number  of  Companies

0

Linkages  -  Number  of  Companies

0

Number  of  Countries

0

 

 

Group  Structure

No  group  structure  for  this  company.

 

 

Minority  Shareholders

No  minority  shareholders  found

 

 

Minority  Interests

 

Business

Company  name

%

Date  of

number

 

 

accounts

347532632

EUROSTARS  FRANCE

25

31/12/2016

 

 

Linked  Companies

 

Summary

 

Group  -  Number  of  Companies

0

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

01/09/2015

Street

 

Post  code

 

Country

 

Name

Kunal  Mehta

Position

Director

Start  Date

13/10/2006

Street

 

Post  code

 

Country

 

Name

Kaushik  Mehta

Position

Managing  Director

Start  Date

30/06/2010

Date  of  birth

29/06/1949

Street

25 EEKHOORNLAAN  ANTWERPEN

Post  code

2610

Country

Belgium

Name

Raj  Kothari

Position

Director

Start  Date

01/01/2011

Date  of  birth

20/05/1966

Street

97 INGENIEUR  HAESAERTSLAAN  ANTWERPEN

Post  code

2610

Country

Belgium

Former  director  details

 

Name

Sachin  Mehta

Position

Managing  Director

Start  Date

30/06/2010

End  Date

01/09/2015

Date  of  birth

09/01/1964

Street

39 FAZANTENLAAN  ANTWERPEN

Post  code

2610

Country

Belgium

Name

Ashish  Kothari

Position

Managing  Director

Start  Date

30/06/2010

End  Date

01/09/2015

Street

7 FAZANTENLAAN  ANTWERPEN

Post  code

2610

Country

Belgium

 


 

FOREIGN EXCHANGE RATES

 

Currency

Unit

Indian Rupees

US Dollar

1

INR 63.72

UK Pound

1

INR 88.64

Euro

1

INR 78.14

Euro

1

INR 78.03 

 

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

 

 

INFORMATION DETAILS

 

Analysis Done by :

NIY

 

 

Report Prepared by :

SYL

                                                


 

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.