Financial Performance
Company Profile

Registered Office :

Growel House, Akurli Road,
Kandivli (E), Mumbai-400101
Telephone: 022-66993000
Fax: 022-66993010
E-mail: secretarial@growel.com
Website :www.growel.com

 

Senior Management :

Mr. Umesh Kumar More -- Chairman
Mr. Niraj Kumar More    -- Managing Director

 

Company Secretary :

Mr. Noel Jacob

Industry :

Electroplating Chemicals and Plants

Listing :

Bombay Stock Exchange Ltd.

BSE Code :

505710

ISIN

INE266D01021

Face value :

Rs. 1

Market Lot :

Not Applicable


FINANCIAL PERFORMANCE (Rs. in Lacs)

 

 

 

 

 

 

 

31-03-2011

31-03-2010

31-03-2009

31-03-2008

31-03-2007

Balance Sheet (Audited)

Equity Capital

2267.06

2267.06

1278.77

1278.77

1278.77

Share Capital Suspense

0

0

988.29

0.00

0.00

Reserve Funds

11241.41

10062.22

8661.21

5116.80

4310.87

Loan Funds

15332.14

12833.72

9472.48

6980.60

3950.00

Deferred Tax

1196.27

787.98

483.58

479.42

438.37

 

30036.88

25950.98

20884.33

13855.59

9978.01

Fixed Assets (Net)

22613.55

10478.17

8725.93

5505.81

5699.34

Capital WIP & Advances

252.97

9621.34

7502.31

3308.60

1237.47

Investments

163.99

164.08

164.37

167.57

86.67

Current Assets (Net)

7006.37

5687.38

4491.72

4873.61

2954.53

Miscellaneous Expenditure

0

0

0

0.00

0.00

 

30036.88

25950.98

20884.33

13855.59

9978.01

Dividend per Shares (%)

 

8

4

25*

10

* includes Special One Time Golden Jubilee Dividend @ 15%

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Profit & Loss A/c (Audited)

Income

 

 

 

 

 

Income from Operations

26921.88

21859.35

19342.36

16955.03

13612.62

Business Conducting Fees

1021.49

562.28

543.49

522.03

520.58

Other Income

412.14

204.56

589.8

304.03

244.57

Total Income

28355.51

22626.19

20475.65

17781.09

14377.77

Expenditure

 

 

 

 

 

Materials

15978.33

12565.82

11456.92

9566.31

7661.67

Salaries, Wages and other Benefits

2518.1

2068.66

1992.99

1549.40

1226.53

Other Expenses

5522.8

4268.12

4407.84

3874.13

3129.48

Interest & Finance Charges

1582.13

990.7

864.61

687.86

556.18

 

Depreciation

725.55

439.21

404.17

373.00

351.88

Total Expenditure

26326.91

20332.51

19126.53

16050.70

12925.74

Provision for Taxation

 

651.4

92.05

461.00

315.42

Profit after Tax

1441.2

1642.28

1257.07

1269.39

1136.61

Add : Excess provision of Income Tax written back

 

 

 

----

---

Add : Balance b/f

2364.95

1094.17

68.2

76.63

85.84

Profit available for appropration

3806.15

2736.45

1325.27

1346.02

1222.45

 

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