Indian Company Master Data Made Simple
Kamanwala Housing Construction Limited
Kamanwala Housing Construction Limited, with incorporation dating back to 1984, brings more than 4 decades of expertise. Kamanwala Housing Construction Limited holds the CIN L65990MH1984PLC032655 and registration number 32655. The company operates as company limited by shares. The company has an authorized share capital of ₹20.00 crore. This company’s paid-up capital is valued at ₹14.09 crore.
Its primary business activity involves other financial intermediation. [this group includes financial intermediation other than that conducted by monetary institutions.]. Registered under the jurisdiction of Mumbai. Its official registered office is situated at 406-new Udyog Mandir - 2, Mogul Lane, Mahim - (west), Mumbai City, Mumbai, Maharashtra, India, 400016. It is an active company at present. The firm’s registered email for correspondence is [email protected]. The company is led by Tarun Jain (CFO).
Company Overview
- CIN
- Date of Incorporation
- 12/04/1984
- Company Status
- Active
- RoC
- Mumbai
- Registration Number
- 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
- Authorized Capital
- ₹20,00,00,000.00
- Paid up Capital
- ₹14,09,31,600.00
- Activity
- Other financial intermediation. [This group includes financial intermediation other than that conducted by monetary institutions.]
- [email protected]
- PAN
Balance Sheet
| Metric | 31/03/2025 | 31/03/2024 | 31/03/2023 | 31/03/2022 | 31/03/2021 |
|---|---|---|---|---|---|
| Total Non Current Liabilities Net Minority Interest | ₹21.73L | ₹21.53L | ₹22.26L | ₹122.14L | ₹0.00L |
| Total Liabilities Net Minority Interest | ₹430.45L | ₹870.02L | ₹809.43L | ₹1,081.01L | ₹0.00L |
| Accumulated Depreciation | -₹86.78L | -₹86.15L | -₹85.81L | -₹126.15L | ₹0.00L |
| Tangible Book Value | ₹11,509.78L | ₹6,949.79L | ₹7,174.98L | ₹7,990.60L | ₹0.00L |
| Long Term Debt | ₹21.00L | ₹21.00L | ₹21.00L | ₹31.00L | ₹0.00L |
| Long Term Provisions | ₹0.73L | ₹0.52L | ₹1.27L | ₹28.52L | ₹0.00L |
| Current Debt And Capital Lease Obligation | ₹126.34L | ₹165.64L | ₹162.74L | ₹158.05L | ₹0.00L |
| Machinery Furniture Equipment | ₹345.85L | ₹80.39L | ₹80.39L | ₹123.70L | ₹0.00L |
| Total Assets | ₹11,731.49L | ₹7,612.83L | ₹7,779.19L | ₹8,890.94L | ₹0.00L |
| Total Equity Gross Minority Interest | ₹11,301.04L | ₹6,742.81L | ₹6,969.76L | ₹7,809.93L | ₹0.00L |
| Gross PPE | ₹356.75L | ₹91.29L | ₹91.29L | ₹134.60L | ₹0.00L |
| Common Stock | ₹1,409.32L | ₹1,409.32L | ₹1,409.32L | ₹1,409.32L | ₹0.00L |
| Total Capitalization | ₹11,549.82L | ₹6,991.56L | ₹7,218.48L | ₹8,045.83L | ₹0.00L |
| Total Debt | ₹147.34L | ₹186.64L | ₹183.74L | ₹189.05L | ₹0.00L |
| Goodwill And Other Intangible Assets | ₹19.04L | ₹20.77L | ₹22.50L | ₹24.23L | ₹0.00L |
| Other Equity Interest | ₹10,119.50L | ₹5,561.24L | ₹5,765.40L | ₹6,605.45L | ₹0.00L |
| Other Non Current Liabilities | -₹0.01L | ₹0.01L | -₹0.01L | -₹0.07L | ₹0.00L |
| Capital Stock | ₹1,409.32L | ₹1,409.32L | ₹1,409.32L | ₹1,409.32L | ₹0.00L |
| Additional Paid In Capital | ₹2,356.86L | ₹2,356.86L | ₹2,356.86L | ₹2,356.86L | ₹0.00L |
| Total Non Current Assets | ₹2,890.02L | ₹3,313.24L | ₹3,322.55L | ₹3,687.47L | ₹0.00L |
| Cash Cash Equivalents And Short Term Investments | ₹4,970.68L | ₹440.40L | ₹455.51L | ₹462.51L | ₹0.00L |
| Invested Capital | ₹11,676.16L | ₹7,157.20L | ₹7,381.22L | ₹8,203.88L | ₹0.00L |
| Net Tangible Assets | ₹11,509.78L | ₹6,949.79L | ₹7,174.98L | ₹7,990.60L | ₹0.00L |
| Cash And Cash Equivalents | ₹4,449.91L | ₹12.84L | ₹30.54L | ₹37.14L | ₹0.00L |
| Prepaid Assets | ₹2,642.18L | ₹2,554.63L | ₹2,725.65L | ₹3,661.75L | ₹0.00L |
| Stockholders Equity | ₹11,528.82L | ₹6,970.56L | ₹7,197.48L | ₹8,014.83L | ₹0.00L |
| Other Short Term Investments | ₹520.77L | ₹427.56L | ₹424.97L | ₹425.37L | ₹0.00L |
| Share Issued | ₹140.93L | ₹140.93L | ₹140.93L | ₹140.93L | ₹0.00L |
| Current Assets | ₹8,841.47L | ₹4,299.60L | ₹4,456.64L | ₹5,203.47L | ₹0.00L |
| Working Capital | ₹8,432.75L | ₹3,451.11L | ₹3,669.47L | ₹4,244.60L | ₹0.00L |
| Current Debt | ₹126.34L | ₹165.64L | ₹162.74L | ₹158.05L | ₹0.00L |
| Ordinary Shares Number | ₹140.93L | ₹140.93L | ₹140.93L | ₹140.93L | ₹0.00L |
| Long Term Debt And Capital Lease Obligation | ₹21.00L | ₹21.00L | ₹21.00L | ₹31.00L | ₹0.00L |
| Current Liabilities | ₹408.72L | ₹848.49L | ₹787.17L | ₹958.87L | ₹0.00L |
| Retained Earnings | ₹7,306.63L | ₹2,748.37L | ₹2,975.29L | ₹3,792.64L | ₹0.00L |
| Net PPE | ₹269.97L | ₹5.14L | ₹5.48L | ₹8.45L | ₹0.00L |
| Other Non Current Assets | ₹814.58L | ₹0.01L | -₹0.01L | -₹0.02L | ₹0.00L |
| Common Stock Equity | ₹11,528.82L | ₹6,970.56L | ₹7,197.48L | ₹8,014.83L | ₹0.00L |
| Other Intangible Assets | ₹19.04L | ₹20.77L | ₹22.50L | ₹24.23L | ₹0.00L |
| Inventory | ₹954.23L | ₹954.23L | ₹954.23L | ₹954.23L | ₹0.00L |
| Other Properties | ₹10.90L | ₹10.90L | ₹10.90L | ₹10.90L | ₹0.00L |
Cash Flow
| Metric | 31/03/2025 | 31/03/2024 | 31/03/2023 | 31/03/2022 | 31/03/2021 |
|---|---|---|---|---|---|
| Changes In Cash | ₹4,437.06L | -₹17.70L | -₹6.60L | ₹7.55L | ₹0.00L |
| Financing Cash Flow | -₹287.68L | ₹61.96L | -₹189.42L | -₹145.43L | ₹0.00L |
| Investing Cash Flow | ₹5,164.67L | ₹54.94L | ₹50.68L | ₹123.80L | ₹0.00L |
| Free Cash Flow | -₹705.39L | -₹134.60L | ₹132.14L | -₹26.70L | ₹0.00L |
| End Cash Position | ₹4,449.91L | ₹12.84L | ₹30.55L | ₹37.14L | ₹0.00L |
| Other Cash Adjustment Outside Changein Cash | ₹0.01L | -₹0.01L | ₹0.01L | ₹0.10L | ₹0.00L |
| Capital Expenditure | -₹265.46L | -₹2.59L | ₹0.00L | -₹55.88L | -₹400.80L |
| Beginning Cash Position | ₹12.84L | ₹30.55L | ₹37.14L | ₹29.59L | ₹0.00L |
| Operating Cash Flow | -₹439.93L | -₹134.60L | ₹132.14L | ₹29.18L | ₹0.00L |
Income Statement
| Metric | 31/03/2025 | 31/03/2024 | 31/03/2023 | 31/03/2022 |
|---|---|---|---|---|
| Net Income Discontinuous Operations | ₹0.00L | ₹0.00L | ₹0.00L | ₹0.00L |
| Net Income From Continuing Operation Net Minority Interest | ₹4,553.28L | -₹230.61L | -₹820.65L | ₹11.06L |
| Basic EPS | ₹0.00L | -₹0.00L | -₹0.00L | ₹0.00L |
| EBITDA | ₹5,001.91L | -₹228.59L | -₹848.79L | ₹19.57L |
| Total Unusual Items | ₹4,882.35L | -₹250.00L | -₹842.88L | -₹76.96L |
| Operating Revenue | ₹1,141.09L | ₹279.87L | ₹387.25L | ₹278.29L |
| Total Expenses | ₹1,218.89L | ₹318.01L | ₹443.05L | ₹367.50L |
| Tax Effect Of Unusual Items | ₹407.84L | ₹0.00L | -₹7.89L | -₹16.13L |
| Total Unusual Items Excluding Goodwill | ₹4,882.35L | -₹250.00L | -₹842.88L | -₹76.96L |
| Interest Income Non Operating | ₹195.09L | ₹57.53L | ₹47.27L | ₹179.84L |
| Interest Expense Non Operating | ₹31.29L | ₹0.00L | ₹0.06L | ₹1.94L |
| Interest Income | ₹195.09L | ₹57.53L | ₹47.27L | ₹179.84L |
| General And Administrative Expense | ₹17.04L | ₹7.98L | ₹25.82L | ₹33.63L |
| Net Income From Continuing And Discontinued Operation | ₹4,553.28L | -₹230.61L | -₹820.65L | ₹11.06L |
| Reconciled Depreciation | ₹2.36L | ₹2.06L | ₹2.54L | ₹3.70L |
| Net Income Continuous Operations | ₹4,553.25L | -₹230.65L | -₹843.42L | ₹11.01L |
| Reconciled Cost Of Revenue | ₹1,140.66L | ₹279.80L | ₹387.31L | ₹276.00L |
| Net Income | ₹4,553.28L | -₹230.61L | -₹820.65L | ₹11.06L |
| Operating Income | -₹77.80L | -₹38.14L | -₹55.80L | -₹89.21L |
| Diluted Average Shares | ₹140.93L | ₹140.93L | ₹140.93L | ₹140.93L |
| Normalized Income | ₹78.77L | ₹19.39L | ₹14.34L | ₹71.89L |
| Total Other Finance Cost | ₹0.05L | ₹0.04L | ₹0.09L | ₹0.11L |
| Net Non Operating Interest Income Expense | ₹163.75L | ₹57.49L | ₹47.12L | ₹177.79L |
| EBIT | ₹4,999.55L | -₹230.65L | -₹851.33L | ₹15.87L |
| Gross Profit | ₹0.43L | ₹0.07L | -₹0.06L | ₹2.29L |
| Diluted NIAvailto Com Stockholders | ₹4,553.28L | -₹230.61L | -₹820.65L | ₹11.06L |
| Cost Of Revenue | ₹1,140.66L | ₹279.80L | ₹387.31L | ₹276.00L |
| Net Interest Income | ₹163.75L | ₹57.49L | ₹47.12L | ₹177.79L |
| Normalized EBITDA | ₹119.56L | ₹21.41L | -₹5.91L | ₹96.53L |
| Operating Expense | ₹78.23L | ₹38.21L | ₹55.74L | ₹91.50L |
| Net Income Common Stockholders | ₹4,553.28L | -₹230.61L | -₹820.65L | ₹11.06L |
| Pretax Income | ₹4,968.26L | -₹230.65L | -₹851.39L | ₹13.93L |
| Tax Rate For Calcs | ₹0.00L | ₹0.00L | ₹0.00L | ₹0.00L |
| Selling General And Administration | ₹17.04L | ₹7.98L | ₹25.82L | ₹33.63L |
| Total Revenue | ₹1,141.09L | ₹279.87L | ₹387.25L | ₹278.29L |
| Other Operating Expenses | ₹27.25L | ₹22.05L | ₹21.70L | ₹50.79L |
| Diluted EPS | ₹0.00L | -₹0.00L | -₹0.00L | ₹0.00L |
| Interest Expense | ₹31.29L | ₹0.00L | ₹0.06L | ₹1.94L |
| Basic Average Shares | ₹140.93L | ₹140.93L | ₹140.93L | ₹140.93L |
| Tax Provision | ₹415.02L | ₹0.00L | -₹7.97L | ₹2.92L |
| Net Income Including Noncontrolling Interests | ₹4,553.25L | -₹230.65L | -₹843.42L | ₹11.01L |
| Otherunder Preferred Stock Dividend | ₹0.00L | ₹0.00L | ₹0.00L | ₹0.00L |
Directors
| Appointment | Director name | DIN | Designation | |
|---|---|---|---|---|
| 01/08/1985 | Atul Jain | 00052966 | Managing Director | View other directorships |
| 30/07/2004 | Amit Jain Jaipal | 00053168 | Director | View other directorships |
| 01/02/2013 | Pushpa Jain | 00180753 | Whole-time director | View other directorships |
| 04/02/2015 | Tarun Jain | *****7554Q | CFO | |
| 12/11/2020 | Shivam Sureshbhai Maniyar | 08862040 | Director | View other directorships |
| 12/11/2020 | Sandipkumar Dilipbhai Andhariya | 08850645 | Director | View other directorships |
| 02/02/2023 | Divya Agarwal | *****1461Q | Company Secretary |
Latest Documents
| Date | Title | Size |
|---|---|---|
| 16/10/2024 | Form AOC-4(XBRL)-03102024 | - |
| 07/10/2024 | Form MGT-7-07102024_signed | - |
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Address
Frequently Asked Questions
The current board member of Kamanwala Housing Construction Limited are:
- Atul Jain
- Amit Jain Jaipal
- Shivam Sureshbhai Maniyar
- Pushpa Jain
- Sandipkumar Dilipbhai Andhariya