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Irb Infrastructure Developers Limited

Profile data last updated: 15/12/2024

Established in 1998, Irb Infrastructure Developers Limited has 27 years of operational experience. Its CIN is L65910MH1998PLC115967, with registration number 115967. The company operates as company limited by shares. The firm’s authorized share capital totals ₹615.00 crore. Irb Infrastructure Developers Limited’s paid-up capital stands at ₹603.90 crore.

The firm focuses on other financial intermediation. [this group includes financial intermediation other than that conducted by monetary institutions.]. Irb Infrastructure Developers Limited is officially registered in Mumbai. Its official registered office is situated at Off No-11th Floor/1101 Hiranandani Knowledge Park, Technology Street,hill Side Avenue, Powa, I, Mumbai City, Mumbai, Maharashtra, India, 400076. The entity is active and conducting operations. The Permanent Account Number assigned to the company is AABCD1071G. As per official records, the company’s LEI is 335800XGO3AITGW6AK27. Irb Infrastructure Developers Limited can be contacted at [email protected]. The leadership team includes Tushar Kantilal Kawedia (CFO), Sudhir Rao Hoshing (CEO) and Satinder Singh Rana (CEO).

Company Overview

CIN
L65910MH1998PLC115967
Date of Incorporation
26/07/1998
Company Status
Active
RoC
Mumbai
Registration Number
115967
Balance sheet date
31/03/2024
Company Category
Company limited by shares
Company Sub Category
Non-government company
Listed in Stock Exchange
Yes
Class of Company
Public Limited Company
LEI Number
335800XGO3AITGW6AK27
LEI Status
Issued
Authorized Capital
₹6,15,00,00,000.00
Paid up Capital
₹6,03,90,00,000.00
Activity
Other financial intermediation. [This group includes financial intermediation other than that conducted by monetary institutions.]
PAN
AABCD1071G

GST Numbers

StateGST NumberStatus
Gujarat24AABCD1071G1Z7Active
Haryana06AABCD1071G1Z5Active
Himachal Pradesh02AABCD1071G1ZDActive
Karnataka29AABCD1071G1ZXActive
Madhya Pradesh23AABCD1071G1Z9Active
Maharashtra27AABCD1071G2Z0Inactive
27AABCD1071G3ZZActive
27AABCD1071G1Z1Active
Punjab03AABCD1071G1ZBActive
Rajasthan08AABCD1071G1Z1Inactive

Balance Sheet

Metric31/03/202531/03/202431/03/202331/03/2022
Total Non Current Liabilities Net Minority Interest₹30,32,315.10L₹27,26,650.20L₹25,08,279.70L₹27,12,359.90L
Accumulated Depreciation-₹22,662.40L-₹19,634.60L-₹15,436.70L-₹14,279.80L
Total Liabilities Net Minority Interest₹34,06,939.20L₹31,17,580.90L₹29,38,727.80L₹30,00,097.90L
Tangible Book Value-₹3,80,385.90L-₹10,85,492.50L-₹12,15,870.90L-₹13,78,379.80L
Long Term Debt₹18,69,484.20L₹16,85,427.80L₹14,24,769.90L₹15,47,471.70L
Goodwill₹780.40L₹780.40L₹780.40L₹780.40L
Long Term Provisions₹754.80L₹585.99L₹5,103.00L₹5,204.30L
Current Debt And Capital Lease Obligation₹1,88,529.50L₹1,79,910.70L₹2,49,594.50L₹1,21,404.20L
Total Assets₹53,89,597.10L₹44,92,031.40L₹42,76,617.70L₹42,56,662.00L
Machinery Furniture Equipment₹35,340.80L₹27,645.00L₹26,198.50L₹25,602.50L
Total Equity Gross Minority Interest₹19,82,657.90L₹13,74,450.50L₹13,37,889.90L₹12,56,564.10L
Gross PPE₹1,21,335.10L₹1,11,922.50L₹1,10,465.90L₹1,13,079.20L
Common Stock₹60,390.00L₹60,390.00L₹60,390.00L₹60,390.00L
Total Capitalization₹38,52,142.10L₹30,59,878.30L₹27,62,659.80L₹28,04,035.80L
Derivative Product Liabilities₹0.00L₹6,215.80L₹0.00L₹0.00L
Total Debt₹20,59,932.00L₹18,65,338.50L₹16,74,819.30L₹16,69,726.50L
Goodwill And Other Intangible Assets₹23,63,043.80L₹24,59,943.00L₹25,53,760.80L₹26,34,943.90L
Other Equity Interest₹0.60L₹13,14,060.52L₹12,77,499.97L₹11,96,174.13L
Other Non Current Liabilities₹9,51,476.30L₹10,09,037.60L₹10,64,902.60L₹11,20,631.60L
Capital Stock₹60,390.00L₹60,390.00L₹60,390.00L₹60,390.00L
Additional Paid In Capital₹6,44,025.10L₹6,44,025.10L₹6,44,025.10L₹6,44,025.10L
Invested Capital₹40,40,390.00L₹32,39,350.20L₹30,11,858.50L₹29,25,090.80L
Cash Cash Equivalents And Short Term Investments₹3,24,601.40L₹1,83,910.70L₹1,79,951.30L₹1,84,642.60L
Total Non Current Assets₹47,98,723.60L₹40,08,088.30L₹35,80,107.80L₹37,43,916.40L
Net Tangible Assets-₹3,80,385.90L-₹10,85,492.50L-₹12,15,870.90L-₹13,78,379.80L
Prepaid Assets₹37,343.00L₹41,319.30L₹43,346.90L₹24,361.10L
Cash And Cash Equivalents₹1,83,928.50L₹22,680.70L₹28,613.50L₹4,616.60L
Stockholders Equity₹19,82,657.90L₹13,74,450.50L₹13,37,889.90L₹12,56,564.10L
Other Short Term Investments₹1,40,672.90L₹1,61,230.00L₹1,51,337.80L₹1,80,026.00L
Share Issued₹60,390.00L₹60,390.00L₹60,390.00L₹60,390.00L
Current Assets₹5,90,883.60L₹4,83,953.20L₹6,96,520.00L₹5,12,755.70L
Working Capital₹2,16,259.50L₹93,022.50L₹2,66,071.90L₹2,25,017.70L
Net Debt₹18,73,803.60L₹18,42,219.00L₹16,45,355.10L₹16,63,910.10L
Current Debt₹1,88,247.90L₹1,79,471.90L₹2,49,198.70L₹1,21,055.00L
Ordinary Shares Number₹60,390.00L₹60,390.00L₹60,390.00L₹60,390.00L
Long Term Debt And Capital Lease Obligation₹18,71,402.50L₹16,85,427.80L₹14,25,224.80L₹15,48,322.30L
Current Liabilities₹3,74,624.10L₹3,90,930.70L₹4,30,448.10L₹2,87,738.00L
Net PPE₹98,672.70L₹92,287.90L₹95,029.20L₹98,799.40L
Retained Earnings₹12,83,562.40L₹6,59,448.60L₹6,16,528.10L₹5,52,028.30L
Construction In Progress₹122.50L₹854.90L₹779.30L₹3,056.50L
Common Stock Equity₹19,82,657.90L₹13,74,450.50L₹13,37,889.90L₹12,56,564.10L
Other Non Current Assets₹10.10L₹10.10L₹10.00L₹10.10L
Other Intangible Assets₹23,62,263.40L₹24,59,162.60L₹25,52,980.40L₹26,34,163.50L
Inventory₹33,858.40L₹29,308.90L₹29,900.10L₹31,745.90L
Other Properties₹70,164.00L₹68,374.10L₹68,654.20L₹68,999.30L

Cash Flow

Metric31/03/202531/03/202431/03/202331/03/202231/03/2021
Changes In Cash₹1,62,685.80L-₹6,788.70L₹25,327.70L-₹60,075.50L₹0.00L
Financing Cash Flow-₹71,971.20L-₹47,717.20L-₹86,050.40L₹58,856.50L₹0.00L
Net Income₹6,48,068.40L₹60,581.64L₹88,952.78L₹36,139.92L₹0.00L
Free Cash Flow₹1,77,254.70L₹3,81,478.50L₹1,33,323.40L-₹1,02,546.80L₹0.00L
Investing Cash Flow₹37,536.10L-₹3,64,450.00L-₹65,034.90L-₹1,55,343.30L₹0.00L
End Cash Position₹1,85,953.10L₹23,267.30L₹30,056.00L₹4,728.30L₹0.00L
Capital Expenditure-₹19,866.20L-₹23,900.00L-₹43,089.60L-₹1,38,958.10L₹0.00L
Beginning Cash Position₹23,267.30L₹30,056.00L₹4,728.30L₹64,803.80L₹0.00L
Operating Cash Flow₹1,97,120.90L₹4,05,378.50L₹1,76,413.00L₹36,411.30L₹0.00L

Income Statement

Metric31/03/202531/03/202431/03/202331/03/202231/03/2021
Rent Expense Supplemental₹2,903.50L₹2,032.20L₹2,078.60L₹1,976.50L₹0.00L
Income Tax Expense₹0.00L₹0.00L₹0.00L₹0.00L₹0.00L
Total Operating Expenses₹0.00L₹0.00L₹0.00L₹0.00L₹0.00L
Net Income From Continuing Operation Net Minority Interest₹6,48,068.40L₹60,581.60L₹72,001.10L₹36,139.70L₹0.00L
Basic EPS₹0.00L₹0.00L₹0.00L₹0.00L₹0.00L
EBITDA₹9,59,578.70L₹3,69,323.20L₹3,35,236.00L₹3,03,788.30L₹0.00L
Total Unusual Items₹6,16,966.90L₹1,274.40L₹2,957.60L₹1,693.60L₹0.00L
Operating Revenue₹7,05,180.40L₹7,36,245.40L₹6,32,464.40L₹5,68,911.20L₹0.00L
Total Expenses₹4,87,800.70L₹5,01,363.90L₹3,91,927.00L₹3,57,096.90L₹0.00L
Ebit₹0.00L₹0.00L₹0.00L₹0.00L₹0.00L
Tax Effect Of Unusual Items₹2,22,169.78L₹462.99L₹980.15L₹580.06L₹0.00L
Total Unusual Items Excluding Goodwill₹6,16,966.90L₹1,274.40L₹2,957.60L₹1,693.60L₹0.00L
Interest Income Non Operating₹30,468.50L₹27,032.10L₹20,376.00L₹29,404.00L₹0.00L
Interest Income₹30,468.50L₹27,032.10L₹20,376.00L₹29,404.00L₹0.00L
Interest Expense Non Operating₹1,69,677.20L₹1,74,684.50L₹1,44,328.90L₹1,80,548.10L₹0.00L
Net Income From Continuing And Discontinued Operation₹6,48,068.40L₹60,581.60L₹72,001.10L₹36,139.70L₹0.00L
Reconciled Depreciation₹1,03,762.50L₹99,494.90L₹83,212.00L₹68,277.00L₹0.00L
Net Income Continuous Operations₹6,48,068.40L₹60,581.60L₹72,001.10L₹36,139.70L₹0.00L
Reconciled Cost Of Revenue₹3,09,338.80L₹3,29,897.40L₹2,49,548.60L₹2,37,850.90L₹0.00L
Net Income₹6,48,068.40L₹60,581.60L₹72,001.10L₹36,139.70L₹0.00L
Operating Income₹2,17,379.70L₹2,34,881.50L₹2,40,537.40L₹2,11,814.30L₹0.00L
Diluted Average Shares₹60,390.00L₹60,390.00L₹60,390.00L₹41,577.29L₹0.00L
Selling And Marketing Expense₹552.20L₹1,257.90L₹697.70L₹569.00L₹0.00L
Normalized Income₹2,53,271.28L₹59,770.19L₹70,023.65L₹35,026.16L₹0.00L
Total Other Finance Cost₹9,849.80L₹12,139.40L₹7,792.20L₹8,855.70L₹0.00L
Net Non Operating Interest Income Expense-₹1,49,058.50L-₹1,59,791.80L-₹1,31,745.10L-₹1,59,999.80L₹0.00L
Gross Profit₹3,95,841.60L₹4,06,348.00L₹3,82,915.80L₹3,31,060.30L₹0.00L
EBIT₹8,55,816.20L₹2,69,828.30L₹2,52,024.00L₹2,35,511.30L₹0.00L
Diluted NIAvailto Com Stockholders₹6,48,068.40L₹60,581.60L₹72,001.10L₹36,139.70L₹0.00L
Cost Of Revenue₹3,09,338.80L₹3,29,897.40L₹2,49,548.60L₹2,37,850.90L₹0.00L
Net Interest Income-₹1,49,058.50L-₹1,59,791.80L-₹1,31,745.10L-₹1,59,999.80L₹0.00L
Normalized EBITDA₹3,42,611.80L₹3,68,048.80L₹3,32,278.40L₹3,02,094.70L₹0.00L
Operating Expense₹1,78,461.90L₹1,71,466.50L₹1,42,378.40L₹1,19,246.00L₹0.00L
Net Income Common Stockholders₹6,48,068.40L₹60,581.60L₹72,001.10L₹36,139.70L₹0.00L
Pretax Income₹6,86,139.00L₹95,143.80L₹1,07,695.10L₹54,963.20L₹0.00L
Tax Rate For Calcs₹0.00L₹0.00L₹0.00L₹0.00L₹0.00L
Selling General And Administration₹10,715.70L₹14,751.80L₹15,014.40L₹10,149.50L₹0.00L
Total Revenue₹7,05,180.40L₹7,36,245.40L₹6,32,464.40L₹5,68,911.20L₹0.00L
Other Operating Expenses₹21,852.30L₹21,947.90L₹16,761.10L₹23,163.30L₹0.00L
Diluted EPS₹0.00L₹0.00L₹0.00L₹0.00L₹0.00L
Interest Expense₹1,69,677.20L₹1,74,684.50L₹1,44,328.90L₹1,80,548.10L₹0.00L
Basic Average Shares₹60,390.00L₹60,390.00L₹60,390.00L₹41,577.29L₹0.00L
Net Income Including Noncontrolling Interests₹6,48,068.40L₹60,581.60L₹72,001.10L₹36,139.70L₹0.00L
Tax Provision₹38,070.60L₹34,562.20L₹35,694.00L₹18,823.50L₹0.00L
Otherunder Preferred Stock Dividend₹0.00L₹0.00L₹0.00L₹0.00L₹0.00L

Company Performance (FY22–FY25)

₹7.4 K Cr₹5.5 K Cr₹3.7 K Cr₹1.8 K Cr₹0
₹5.7 K Cr
₹6.3 K Cr
₹7.4 K Cr
₹7.1 K Cr
FY22FY23FY24FY25
Latest
₹7.05 K Cr
Growth (YoY)
-4.2%
Average
₹6.61 K Cr

Directors

AppointmentDirector nameDINDesignation
27/07/1998Deepali Virendra Mhaiskar00309884Whole-time directorView other directorships
13/12/2006Virendra Dattatraya Mhaiskar00183554Managing DirectorView other directorships
21/05/2007Mehulkumar Natwarlal Patel*****0951BCompany Secretary
05/02/2015Sandeep Jasvantlal Shah00917728DirectorView other directorships
26/03/2021Tushar Kantilal Kawedia*****4726ECFO
26/03/2021Sudhir Rao Hoshing*****4102NCEO
29/12/2021Jose Angel Tamariz Martel Goncer09441516DirectorView other directorships
10/02/2022Priti Paras Savla00662996DirectorView other directorships
05/08/2022Ravindra Dhariwal00003922DirectorView other directorships
31/01/2024Satinder Singh Rana*****1245PCEO
01/04/2024Bajrang Lal Gupta07175777DirectorView other directorships
01/04/2024Vijay Nautamlal Bhatt00751001DirectorView other directorships

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Address

Off No-11th Floor/1101 Hiranandani Knowledge Park, Technology Street,hill Side Avenue, Powa, I, Mumbai City, Mumbai, Maharashtra, India, 400076

Frequently Asked Questions

What is the incorporation date of Irb Infrastructure Developers Limited?
The incorporation date of Irb Infrastructure Developers Limited is 26/07/1998.
What is the authorized share capital and paid-up capital of Irb Infrastructure Developers Limited?
The authorized share capital of Irb Infrastructure Developers Limited is ₹6,15,00,00,000.00. The paid-up capital is ₹6,03,90,00,000.00.
Who are the current board members & directors of Irb Infrastructure Developers Limited?

The current board member of Irb Infrastructure Developers Limited are:

  • Deepali Virendra Mhaiskar
  • Ravindra Dhariwal
  • Virendra Dattatraya Mhaiskar
  • Sandeep Jasvantlal Shah
  • Priti Paras Savla
  • Jose Angel Tamariz Martel Goncer
  • Bajrang Lal Gupta
  • Vijay Nautamlal Bhatt
What is the registered address of Irb Infrastructure Developers Limited?
The registered address of Irb Infrastructure Developers Limited is Off No-11th Floor/1101 Hiranandani Knowledge Park, Technology Street,hill Side Avenue, Powa, I, Mumbai City, Mumbai, Maharashtra, India, 400076.
What is the Corporate Identification Number of Irb Infrastructure Developers Limited?
The Corporate Identification Number of Irb Infrastructure Developers Limited is L65910MH1998PLC115967.