Indian Company Master Data Made Simple
Shalimar Wires Industries Limited
Incorporated in 1996, Shalimar Wires Industries Limited has a history spanning 2 decades. Corporate ID: L74140WB1996PLC081521, registered with number 81521. Shalimar Wires Industries Limited is identified as company limited by shares in the corporate registry. Its authorized capital has been set at ₹60.00 crore. The company’s paid-up capital is ₹8.55 crore.
The company’s main operations are related to other business activities. This entity is registered in Kolkata, India. The firm’s incorporation address reads 25 Ganesh Chandra Avenuep S Bowbazar, Kolkata, West Bengal, India, 700013. The company maintains an active registration. The company has been issued the Legal Entity Identifier code 984500EE6FC7050DCB93. The firm’s registered email for correspondence is [email protected]. Key executives of the company are: Saumyo Jyoti Sengupta (CFO).
Company Overview
- CIN
- Date of Incorporation
- 30/09/1996
- Company Status
- Active
- RoC
- Kolkata
- 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
- ₹60,00,00,000.00
- Paid up Capital
- ₹8,55,10,246.00
- Activity
- Other Business Activities
- [email protected]
- PAN
Balance Sheet
| Metric | 31/03/2025 | 31/03/2024 | 31/03/2023 | 31/03/2022 |
|---|---|---|---|---|
| Total Non Current Liabilities Net Minority Interest | ₹7,845.40L | ₹8,137.71L | ₹8,791.65L | ₹8,039.15L |
| Accumulated Depreciation | -₹17,106.18L | -₹15,867.33L | -₹14,609.95L | -₹13,645.35L |
| Total Liabilities Net Minority Interest | ₹16,034.63L | ₹14,080.72L | ₹13,592.94L | ₹14,481.35L |
| Tangible Book Value | ₹3,703.20L | ₹3,430.96L | ₹3,239.88L | ₹2,601.34L |
| Long Term Debt | ₹7,247.46L | ₹7,564.16L | ₹8,210.81L | ₹7,456.32L |
| Long Term Provisions | ₹597.95L | ₹573.56L | ₹580.34L | ₹579.47L |
| Current Debt And Capital Lease Obligation | ₹1,678.55L | ₹1,397.88L | ₹885.27L | ₹1,016.91L |
| Total Assets | ₹19,759.13L | ₹17,539.34L | ₹16,849.83L | ₹17,101.12L |
| Machinery Furniture Equipment | ₹22,771.18L | ₹22,467.66L | ₹21,745.61L | ₹18,477.54L |
| Total Equity Gross Minority Interest | ₹3,724.50L | ₹3,458.62L | ₹3,256.89L | ₹2,619.77L |
| Gross PPE | ₹28,346.69L | ₹25,311.57L | ₹24,208.11L | ₹23,717.56L |
| Common Stock | ₹855.10L | ₹855.10L | ₹855.10L | ₹855.10L |
| Total Capitalization | ₹10,971.96L | ₹11,022.78L | ₹11,467.70L | ₹10,076.09L |
| Goodwill And Other Intangible Assets | ₹21.30L | ₹27.66L | ₹17.01L | ₹18.43L |
| Total Debt | ₹8,926.01L | ₹8,962.04L | ₹9,096.08L | ₹8,473.23L |
| Other Equity Interest | ₹0.01L | ₹0.01L | ₹0.01L | ₹0.01L |
| Other Non Current Liabilities | -₹0.01L | -₹0.01L | ₹0.01L | ₹0.01L |
| Capital Stock | ₹855.10L | ₹855.10L | ₹855.10L | ₹855.10L |
| Total Non Current Assets | ₹11,774.90L | ₹10,044.72L | ₹9,999.36L | ₹10,602.55L |
| Cash Cash Equivalents And Short Term Investments | ₹50.75L | ₹238.18L | ₹230.50L | ₹171.94L |
| Invested Capital | ₹12,650.51L | ₹12,420.66L | ₹12,352.97L | ₹11,093.00L |
| Net Tangible Assets | ₹3,703.20L | ₹3,430.96L | ₹3,239.88L | ₹2,601.34L |
| Cash And Cash Equivalents | ₹50.75L | ₹238.18L | ₹230.50L | ₹171.94L |
| Prepaid Assets | ₹204.40L | ₹139.70L | ₹136.23L | ₹200.04L |
| Stockholders Equity | ₹3,724.50L | ₹3,458.62L | ₹3,256.89L | ₹2,619.77L |
| Other Short Term Investments | ₹616.29L | ₹164.71L | ₹125.22L | ₹23.82L |
| Share Issued | ₹427.55L | ₹427.55L | ₹427.55L | ₹427.55L |
| Current Assets | ₹7,984.23L | ₹7,494.61L | ₹6,850.47L | ₹6,498.57L |
| Working Capital | -₹205.00L | ₹1,551.60L | ₹2,049.18L | ₹56.37L |
| Net Debt | ₹8,875.26L | ₹8,723.86L | ₹8,865.58L | ₹8,301.29L |
| Ordinary Shares Number | ₹427.55L | ₹427.55L | ₹427.55L | ₹427.55L |
| Current Debt | ₹1,678.55L | ₹1,397.88L | ₹885.27L | ₹1,016.91L |
| Long Term Debt And Capital Lease Obligation | ₹7,247.46L | ₹7,564.16L | ₹8,210.81L | ₹7,456.32L |
| Current Liabilities | ₹8,189.23L | ₹5,943.01L | ₹4,801.29L | ₹6,442.20L |
| Net PPE | ₹11,240.51L | ₹9,444.24L | ₹9,598.16L | ₹10,072.21L |
| Retained Earnings | ₹2,457.36L | ₹2,223.24L | ₹2,076.62L | ₹1,423.70L |
| Construction In Progress | ₹3,327.58L | ₹601.78L | ₹232.80L | ₹3,009.98L |
| Common Stock Equity | ₹3,724.50L | ₹3,458.62L | ₹3,256.89L | ₹2,619.77L |
| Other Non Current Assets | ₹0.01L | ₹0.06L | ₹594.10L | -₹0.01L |
| Other Intangible Assets | ₹21.30L | ₹27.66L | ₹17.01L | ₹18.43L |
| Inventory | ₹4,014.22L | ₹4,251.35L | ₹3,678.94L | ₹3,358.91L |
| Other Properties | ₹7,912.93L | ₹8,842.47L | ₹9,365.36L | ₹7,062.23L |
Cash Flow
| Metric | 31/03/2025 | 31/03/2024 | 31/03/2023 | 31/03/2022 | 31/03/2021 |
|---|---|---|---|---|---|
| Changes In Cash | ₹264.15L | ₹47.17L | ₹159.95L | -₹451.61L | ₹0.00L |
| Financing Cash Flow | -₹1,391.29L | -₹1,589.97L | -₹1,323.32L | -₹2,353.98L | ₹0.00L |
| Free Cash Flow | ₹1,622.62L | ₹1,615.31L | ₹1,473.39L | ₹1,823.18L | ₹0.00L |
| Investing Cash Flow | -₹3,090.30L | -₹862.90L | -₹301.18L | -₹432.18L | ₹0.00L |
| End Cash Position | ₹667.04L | ₹402.89L | ₹355.72L | ₹195.77L | ₹0.00L |
| Capital Expenditure | -₹3,123.12L | -₹884.73L | -₹311.06L | -₹511.37L | ₹0.00L |
| Beginning Cash Position | ₹402.89L | ₹355.72L | ₹195.77L | ₹647.38L | ₹0.00L |
| Operating Cash Flow | ₹4,745.74L | ₹2,500.04L | ₹1,784.45L | ₹2,334.55L | ₹0.00L |
Income Statement
| Metric | 31/03/2025 | 31/03/2024 | 31/03/2023 | 31/03/2022 |
|---|---|---|---|---|
| Rent Expense Supplemental | ₹109.57L | ₹101.20L | ₹88.65L | ₹86.68L |
| Net Income From Continuing Operation Net Minority Interest | ₹234.12L | ₹146.62L | ₹652.92L | -₹8.44L |
| EBITDA | ₹2,813.63L | ₹2,696.71L | ₹3,128.80L | ₹2,103.16L |
| Basic EPS | ₹0.00L | ₹0.00L | ₹0.00L | -₹0.00L |
| Operating Revenue | ₹13,185.96L | ₹12,832.92L | ₹12,068.57L | ₹9,668.14L |
| Total Unusual Items | -₹5.07L | -₹50.53L | ₹384.11L | ₹778.97L |
| Total Expenses | ₹11,868.83L | ₹11,841.73L | ₹10,582.51L | ₹9,572.20L |
| Tax Effect Of Unusual Items | ₹0.00L | ₹0.00L | ₹0.00L | ₹0.00L |
| Total Unusual Items Excluding Goodwill | -₹5.07L | -₹50.53L | ₹384.11L | ₹778.97L |
| Interest Income Non Operating | ₹26.94L | ₹11.83L | ₹8.32L | ₹21.81L |
| Interest Expense Non Operating | ₹1,319.37L | ₹1,258.12L | ₹1,496.74L | ₹1,258.73L |
| Interest Income | ₹26.94L | ₹11.83L | ₹8.32L | ₹21.81L |
| General And Administrative Expense | ₹326.81L | ₹337.41L | ₹256.51L | ₹257.63L |
| Net Income From Continuing And Discontinued Operation | ₹234.12L | ₹146.62L | ₹652.92L | -₹8.44L |
| Reconciled Depreciation | ₹1,260.14L | ₹1,291.97L | ₹979.13L | ₹852.87L |
| Net Income Continuous Operations | ₹234.12L | ₹146.62L | ₹652.92L | -₹8.44L |
| Reconciled Cost Of Revenue | ₹4,716.05L | ₹4,374.60L | ₹4,521.49L | ₹3,978.85L |
| Operating Income | ₹1,317.13L | ₹991.19L | ₹1,486.06L | ₹95.94L |
| Net Income | ₹234.12L | ₹146.62L | ₹652.92L | -₹8.44L |
| Diluted Average Shares | ₹427.55L | ₹427.55L | ₹427.55L | ₹427.55L |
| Selling And Marketing Expense | ₹87.69L | ₹105.56L | ₹107.65L | ₹87.10L |
| Normalized Income | ₹239.19L | ₹197.15L | ₹268.81L | -₹787.41L |
| Net Non Operating Interest Income Expense | -₹1,292.43L | -₹1,246.29L | -₹1,488.42L | -₹1,236.92L |
| EBIT | ₹1,553.49L | ₹1,404.74L | ₹2,149.66L | ₹1,250.29L |
| Gross Profit | ₹8,469.91L | ₹8,458.32L | ₹7,547.08L | ₹5,689.29L |
| Diluted NIAvailto Com Stockholders | ₹234.12L | ₹146.62L | ₹652.92L | -₹8.44L |
| Cost Of Revenue | ₹4,716.05L | ₹4,374.60L | ₹4,521.49L | ₹3,978.85L |
| Net Interest Income | -₹1,292.43L | -₹1,246.29L | -₹1,488.42L | -₹1,236.92L |
| Normalized EBITDA | ₹2,818.70L | ₹2,747.24L | ₹2,744.69L | ₹1,324.19L |
| Operating Expense | ₹7,152.78L | ₹7,467.13L | ₹6,061.02L | ₹5,593.35L |
| Net Income Common Stockholders | ₹234.12L | ₹146.62L | ₹652.92L | -₹8.44L |
| Pretax Income | ₹234.12L | ₹146.62L | ₹652.92L | -₹8.44L |
| Tax Rate For Calcs | ₹0.00L | ₹0.00L | ₹0.00L | ₹0.00L |
| Selling General And Administration | ₹414.50L | ₹442.97L | ₹364.16L | ₹344.73L |
| Total Revenue | ₹13,185.96L | ₹12,832.92L | ₹12,068.57L | ₹9,668.14L |
| Other Operating Expenses | ₹2,790.79L | ₹3,098.23L | ₹2,221.48L | ₹2,138.57L |
| Diluted EPS | ₹0.00L | ₹0.00L | ₹0.00L | -₹0.00L |
| Interest Expense | ₹1,319.37L | ₹1,258.12L | ₹1,496.74L | ₹1,258.73L |
| Basic Average Shares | ₹427.55L | ₹427.55L | ₹427.55L | ₹427.55L |
| Net Income Extraordinary | ₹0.00L | ₹0.00L | ₹0.00L | ₹0.00L |
| Net Income Including Noncontrolling Interests | ₹234.12L | ₹146.62L | ₹652.92L | -₹8.44L |
| Tax Provision | ₹0.00L | ₹0.00L | ₹0.00L | ₹0.00L |
| Otherunder Preferred Stock Dividend | ₹0.00L | ₹0.00L | ₹0.00L | ₹0.00L |
Directors
| Appointment | Director name | DIN | Designation | |
|---|---|---|---|---|
| 12/09/2000 | Sunil Kumar Khaitan | 00385961 | Managing Director | View other directorships |
| 02/04/2001 | Suresh Kumar Kejriwal | *****4892A | Company Secretary | |
| 19/05/2014 | Saumyo Jyoti Sengupta | *****6336H | CFO | |
| 13/08/2018 | Parmanand Tiwari | 00731341 | Director | View other directorships |
| 13/08/2018 | Rajiva | 05193258 | Director | View other directorships |
| 11/02/2020 | Trishna Guha | 08200779 | Director | View other directorships |
| 27/05/2023 | Vedant Khaitan | 06942868 | Managing Director | View other directorships |
Latest Documents
| Date | Title | Size |
|---|---|---|
| 19/09/2024 | Form MGT-7-19092024_signed | - |
| 26/08/2024 | Form AOC-4(XBRL)-26082024_signed | - |
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Address
Frequently Asked Questions
The current board member of Shalimar Wires Industries Limited are:
- Parmanand Tiwari
- Trishna Guha
- Sunil Kumar Khaitan
- Rajiva
- Vedant Khaitan