Indian Company Master Data Made Simple

Kcd Industries India Limited

Kcd Industries India Limited, founded in 1985, carries 40 years of experience in its sector. Corporate Identification Number is L70100MH1985PLC301881 and its registration number is 301881. The firm is categorized as company limited by shares. The company has an authorized share capital of ₹2.50 crore. This company’s paid-up capital is valued at ₹1.00 crore.

The firm focuses on real estate activities. Its official registered office is situated at 501;5th Floor; Ruby Crescent Business Boulevard; Ashok Chakravati Road; Kandivali (e); Mumbai; Mumbai City; Maharashtra; 400101; India. Its current corporate status is active.

Company Overview

CIN
L70100MH1985PLC301881
Date of Incorporation
25/05/1985
Company Status
Active
RoC
Registration Number
301881
Balance sheet date
-
Company Category
Company limited by shares
Company Sub Category
Indian Non-Government Company
Listed in Stock Exchange
Yes
Class of Company
Public Limited Company
LEI Number
-
Authorized Capital
₹2,50,00,000.00
Paid up Capital
₹1,00,00,000.00
Activity
Real Estate Activities
E-mail
-
PAN
-

Balance Sheet

Metric31/03/202531/03/202431/03/202331/03/202231/03/2021
Total Non Current Liabilities Net Minority Interest₹36.14L₹0.00L₹0.00L₹0.00L₹0.00L
Investment Properties₹0.00L₹0.00L₹0.00L₹0.00L₹0.00L
Accumulated Depreciation-₹8.43L-₹6.59L-₹2.75L-₹2.60L₹0.00L
Total Liabilities Net Minority Interest₹1,083.77L₹1,810.99L₹284.16L₹283.87L₹0.00L
Tangible Book Value₹4,051.16L₹4,186.15L₹505.24L₹342.27L₹0.00L
Long Term Debt₹36.14L₹0.00L₹0.00L₹0.00L₹0.00L
Goodwill₹0.00L₹0.00L₹0.00L₹0.00L₹0.00L
Current Debt And Capital Lease Obligation₹300.02L₹0.00L₹0.00L₹0.00L₹0.00L
Total Assets₹5,134.93L₹5,997.15L₹789.40L₹626.31L₹0.00L
Machinery Furniture Equipment₹4.98L₹29.19L₹2.96L₹2.96L₹0.00L
Total Equity Gross Minority Interest₹4,051.16L₹4,186.15L₹505.24L₹342.44L₹0.00L
Gross PPE₹19.66L₹39.32L₹2.96L₹2.96L₹0.00L
Common Stock₹252.89L₹100.00L₹100.00L₹100.00L₹0.00L
Total Capitalization₹4,087.30L₹4,186.15L₹505.24L₹342.44L₹0.00L
Total Debt₹336.15L₹0.00L₹0.00L₹0.00L₹0.00L
Goodwill And Other Intangible Assets₹0.00L₹0.00L₹0.06L₹0.17L₹0.00L
Other Equity Interest₹0.08L₹3,441.59L-₹0.00L₹242.44L₹0.00L
Capital Stock₹252.89L₹100.00L₹100.00L₹100.00L₹0.00L
Additional Paid In Capital₹3,132.50L₹0.00L₹0.00L₹0.00L₹0.00L
Total Non Current Assets₹2,302.68L₹715.66L₹0.64L₹0.90L₹0.00L
Cash Cash Equivalents And Short Term Investments₹14.57L₹4.52L₹3.99L₹0.68L₹0.00L
Invested Capital₹4,387.31L₹4,186.15L₹505.24L₹342.44L₹0.00L
Net Tangible Assets₹4,051.16L₹4,186.15L₹505.24L₹342.27L₹0.00L
Cash And Cash Equivalents₹14.57L₹4.52L₹3.99L₹0.68L₹0.00L
Prepaid Assets₹6.39L₹1,310.21L₹737.01L₹517.66L₹0.00L
Stockholders Equity₹4,051.16L₹4,186.15L₹505.24L₹342.44L₹0.00L
Share Issued₹371.43L₹371.43L₹129.91L₹129.91L₹0.00L
Current Assets₹2,832.25L₹5,281.49L₹788.76L₹625.41L₹0.00L
Net Debt₹321.58L₹0.00L₹0.00L₹0.00L₹0.00L
Working Capital₹1,784.62L₹3,470.50L₹504.60L₹341.53L₹0.00L
Ordinary Shares Number₹371.43L₹371.43L₹129.91L₹129.91L₹0.00L
Current Debt₹300.02L₹0.00L₹0.00L₹0.00L₹0.00L
Long Term Debt And Capital Lease Obligation₹36.14L₹0.00L₹0.00L₹0.00L₹0.00L
Current Liabilities₹1,047.64L₹1,810.99L₹284.16L₹283.87L₹0.00L
Net PPE₹11.22L₹32.73L₹0.27L₹0.37L₹0.00L
Retained Earnings₹665.69L₹644.57L₹405.24L₹242.44L₹0.00L
Construction In Progress₹0.00L₹0.00L₹0.00L₹0.00L₹0.00L
Other Non Current Assets₹49.00L-₹19.66L₹0.00L₹0.00L₹0.00L
Common Stock Equity₹4,051.16L₹4,186.15L₹505.24L₹342.44L₹0.00L
Inventory₹14.53L₹763.33L₹14.53L₹91.03L₹0.00L
Other Properties₹10.61L₹10.12L₹0.27L₹0.54L₹0.00L

Cash Flow

Metric31/03/202531/03/202431/03/202331/03/202231/03/2021
Changes In Cash₹10.05L₹0.53L₹3.31L-₹11.50L₹0.00L
Financing Cash Flow₹3,285.38L₹3,441.59L₹0.00L₹0.00L₹0.00L
Investing Cash Flow-₹336.15L-₹717.36L₹0.00L₹1.40L₹0.00L
Free Cash Flow-₹2,939.18L-₹2,738.71L₹3.31L-₹12.90L₹0.00L
End Cash Position₹14.57L₹4.52L₹3.99L₹0.68L₹0.00L
Other Cash Adjustment Outside Changein Cash-₹0.00L-₹0.00L₹0.00L₹0.88L₹0.00L
Beginning Cash Position₹4.52L₹3.99L₹0.68L₹12.18L₹0.00L
Issuance Of Capital Stock₹152.89L₹0.00L₹0.00L₹0.00L₹0.00L
Operating Cash Flow-₹2,939.18L-₹2,723.70L₹3.31L-₹12.90L₹0.00L

Income Statement

Metric31/03/202531/03/202431/03/202331/03/2022
Rent Expense Supplemental₹0.22L₹1.10L₹0.00L₹0.00L
Net Income From Continuing Operation Net Minority Interest₹21.13L₹255.60L₹162.81L₹19.26L
Net Income Discontinuous Operations₹0.00L₹0.00L₹0.00L₹0.00L
EBITDA₹32.96L₹380.25L₹177.03L-₹24.15L
Basic EPS₹0.00L₹0.00L₹0.00L₹0.00L
Operating Revenue₹304.08L₹1,930.49L₹392.62L-₹73.20L
Total Expenses₹318.03L₹1,783.79L₹298.07L-₹48.39L
Total Unusual Items-₹2.57L₹0.00L₹0.00L₹0.96L
Tax Effect Of Unusual Items-₹0.81L₹0.00L₹0.00L₹0.29L
Total Unusual Items Excluding Goodwill-₹2.57L₹0.00L₹0.00L₹0.96L
Interest Income Non Operating₹12.68L₹224.50L₹82.46L₹65.90L
Interest Income₹12.68L₹224.50L₹82.46L₹65.90L
Interest Expense Non Operating₹0.19L₹25.97L₹9.12L₹0.12L
General And Administrative Expense₹8.05L₹92.04L₹6.76L₹1.56L
Net Income From Continuing And Discontinued Operation₹21.13L₹255.60L₹162.81L₹19.26L
Reconciled Depreciation₹1.85L₹2.21L₹0.27L₹0.66L
Net Income Continuous Operations₹21.13L₹255.60L₹162.81L₹19.26L
Reconciled Cost Of Revenue₹257.52L₹1,517.38L₹226.59L-₹73.20L
Net Income₹21.13L₹255.60L₹162.81L₹19.26L
Operating Income-₹13.95L₹146.70L₹94.54L-₹24.81L
Diluted Average Shares₹264.08L₹371.43L₹100.00L₹33.75L
Selling And Marketing Expense₹3.31L₹64.83L₹1.23L₹0.34L
Total Other Finance Cost₹0.11L₹0.11L₹0.24L₹0.12L
Normalized Income₹22.88L₹255.60L₹162.81L₹18.59L
Net Non Operating Interest Income Expense₹12.38L₹198.41L₹73.10L₹65.78L
Gross Profit₹46.56L₹413.12L₹166.02L₹0.00L
EBIT₹31.11L₹378.04L₹176.76L-₹24.81L
Diluted NIAvailto Com Stockholders₹21.13L₹255.60L₹162.81L₹19.26L
Cost Of Revenue₹257.52L₹1,517.38L₹226.59L-₹73.20L
Net Interest Income₹12.38L₹198.41L₹73.10L₹65.78L
Operating Expense₹60.51L₹266.41L₹71.48L₹24.81L
Normalized EBITDA₹35.53L₹380.25L₹177.03L-₹25.11L
Net Income Common Stockholders₹21.13L₹255.60L₹162.81L₹19.26L
Pretax Income₹30.92L₹352.07L₹167.65L₹41.93L
Tax Rate For Calcs₹0.00L₹0.00L₹0.00L₹0.00L
Selling General And Administration₹11.36L₹156.87L₹7.99L₹1.90L
Total Revenue₹304.08L₹1,930.49L₹392.62L-₹73.20L
Other Operating Expenses₹23.64L₹48.38L₹28.30L₹6.00L
Diluted EPS₹0.00L₹0.00L₹0.00L₹0.00L
Interest Expense₹0.19L₹25.97L₹9.12L₹0.12L
Basic Average Shares₹264.08L₹371.43L₹100.00L₹33.75L
Net Income Including Noncontrolling Interests₹21.13L₹255.60L₹162.81L₹19.26L
Tax Provision₹9.79L₹96.47L₹4.84L₹22.66L
Otherunder Preferred Stock Dividend₹0.00L₹0.00L₹0.00L₹0.00L

Directors

AppointmentDirector nameDINDesignation
08/04/2019Minal Darshan Panchal08415023DirectorView other directorships
08/04/2019Pratik Mukesh Popat08415025DirectorView other directorships
16/08/2019Manish Manilal Patel03197260DirectorView other directorships
07/09/2021Rajiv Chandulal Darji02088219Managing DirectorView other directorships
07/09/2021Sagar Shetty09213119DirectorView other directorships

Latest Documents

Category:
DateTitleSize
03/10/2023
Form MGT-7-03102023_signed
-
03/10/2023
Form MGT-7-03102023_signed
-
06/12/2022
Form MGT-7-28112022
-
17/11/2022
Form AOC-4(XBRL)-10112022
-
22/03/2022
Form MGT-7-22032022_signed
-

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Address

501;5th Floor; Ruby Crescent Business Boulevard; Ashok Chakravati Road; Kandivali (e); Mumbai; Mumbai City; Maharashtra; 400101; India

FAQ

What is the incorporation date of Kcd Industries India Limited?
The incorporation date of Kcd Industries India Limited is 25/05/1985.
Who are the current board members & directors of Kcd Industries India Limited?

The current board member of Kcd Industries India Limited are:

  • Minal Darshan Panchal
  • Rajiv Chandulal Darji
  • Pratik Mukesh Popat
  • Manish Manilal Patel
  • Sagar Shetty
What is the registered address of Kcd Industries India Limited?
The registered address of Kcd Industries India Limited is 501;5th Floor; Ruby Crescent Business Boulevard; Ashok Chakravati Road; Kandivali (e); Mumbai; Mumbai City; Maharashtra; 400101; India.
What is the Corporate Identification Number of Kcd Industries India Limited?
The Corporate Identification Number of Kcd Industries India Limited is L70100MH1985PLC301881.