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Financials-Gruh Finance Limited
Gruh Finance Limited
Sector: Housing Finance
BSE:511288NSE:GRUHBloomberg:GRHF@INReuters:GRUH.BO
Market Lot: 1Face Value: 2ISIN Demat: INE580B01029
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Financials (Standalone)
Income 
Statement
Balance Sheet Latest 
Quarterly/Halfyearly
Ratio Analysis
../financials/housfina/latestHalf.php
Latest Quarterly/Halfyearly  
As On(Months) 31-Dec-2018(3) 31-Dec-2017(3) % Change
Sales of Products/Services 5400.60 4284.70 26.04
Other Income 0.00 0.00 --
Total Income 5400.60 4284.70 26.04
Total Expenses 4041.70 0.00 --
Stock Adjustments 0.00 0.00 --
OPBDIT 1358.90 4284.70 -68.28
interest 0.00 0.00 --
Depreciation -4050.50 0.00 --
Extraordinary Items 0.00 0.00 --
Prior Period Adjustments 0.00 0.00 --
Provision for Tax -380.60 458.90 -182.94
After Tax Profit 969.50 821.60 18.00
Equity Capital 0.00 0.00 --
Reserves 0.00 0.00 --
Notes to Accounts     Click here
Income Statement
As on( Months )31-Mar-06 (12)31-Mar-05 (12)31-Mar-04 (12)
Profit / Loss A/CRs mn % OIRs mn % OIRs mn % OI
Interest Income933.7989.61743.9186.96733.6186.89
Other Income108.2510.39111.5313.04110.6913.11
Operating Income (OI)1042.05100.00855.43100.00844.31100.00
Interest Expenses613.7958.90495.4457.92543.8764.42
Employee Expenses49.234.7237.024.3332.523.85
OPBDT270.1725.93214.7525.10166.1019.67
OPBT262.2925.17206.7324.17156.9618.59
Extraordinary/Prior Period income0.000.00-0.65-0.08-12.09-1.43
Tax66.606.3952.006.0846.005.45
PAT216.7620.80166.4419.46121.1014.34
Dividend66.256.3655.656.5147.705.65
Balance Sheet
As on31-Mar-0631-Mar-0531-Mar-04
AssetsRs mn % BTRs mn % BTRs mn % BT
Net Own Assets83.300.6982.780.8886.991.30
Net Lease Assets (after Lease Adj A/c)0.000.000.000.000.000.00
Investments231.111.92218.032.32188.462.81
Loans and Advances10691.2888.738165.2786.965816.2786.73
Cash & Bank Balance669.245.55488.645.20147.682.20
Other Current Assets374.223.11434.734.63466.776.96
Balance Sheet Total(BT)12049.15100.009389.44100.006706.18100.00
LiabilitiesRs mn % BTRs mn % BTRs mn % BT
Equity Share Capital265.002.20265.002.82265.003.95
Reserves603.875.01469.545.00368.715.50
Deposits955.767.931273.9313.571632.8124.35
Borrowings9842.1481.686790.5172.324086.4560.94
Other Cash liab/prov.382.393.17590.476.29353.205.27
Balance Sheet Total(BT)12049.15100.009389.44100.006706.18100.00
Non Performing Assets(NPA) %N.A--N.A--N.A--
Capital Adequacy Ratio (CAR) %0.14--0.00--0.00--
Ratio Analysis
As on31-Mar-0631-Mar-0531-Mar-04
Interest Expense/Interest Income (%)0.010.010.01
Fee Based Income/Total Income (%)0.000.006.68
Employee Cost/Operating Cost (%)31.1425.4925.93
Total Interest Exp./Avg Interest Bearing Funds (%)7.869.5614.19
Interest Spread (%)2.862.732.93
Fund Based Income/Funds Employed (%)8.939.7212.40
Net Profit/Funds Employed (%)1.861.891.91
PAT/Networth (%)24.9522.6619.11
Tax/PBT (%)23.5023.8127.53
Networth/Total liabilities (x)7.217.829.45

 
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