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Financials-Kajaria Ceramics Limited
Kajaria Ceramics Limited
Sector: Building Material - Ceramics/Tiles and Sanitaryware
BSE:500233NSE:KAJARIACERBloomberg:KJC@INReuters:KAJR.BO
Market Lot: 1Face Value: 1ISIN Demat: INE217B01036
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Financials (Standalone)
Income 
Statement
Balance Sheet Latest 
Quarterly/Halfyearly
Ratio Analysis
../financials/latestHalf.php
Latest Quarterly/Halfyearly  
As On(Months) 31-Mar-2021(3) 31-Mar-2021(3)
Sales of Products/Services 8592.60 8592.60
Other Operating Income 0.00 0.00
Other Income 149.50 149.50
Total Income 8742.10 8742.10
Total Expenses -7250.40 -7250.40
OPBDIT 15992.50 15992.50
Interest 0.00 0.00
Depreciation -186.50 -186.50
Exceptional & Extraordinary Items 0.00 0.00
Prior Period Adjustments 0.00 0.00
Provision for Tax -375.70 -375.70
After Tax Profit 1116.00 1116.00
Equity Capital 0.00 0.00
Reserves 0.00 0.00
Notes to Accounts    
Income Statement
As on( Months ) 31-Mar-07(12)   31-Mar-06(12)   31-Mar-05(12)  
Profit / Loss A/C Rs mn %OI Rs mn %OI Rs mn %OI
Net Sales 4111.59 99.81 3304.32 99.82 2799.37 99.68
Operating Income (OI) 4119.34 100.00 3310.42 100.00 2808.45 100.00
OPBDIT 572.20 13.89 684.18 20.67 535.31 19.06
OPBDT 323.53 7.85 541.38 16.35 388.95 13.85
OPBT 106.69 2.59 360.18 10.88 240.19 8.55
Non-Operating Income 0.71 0.02 1.26 0.04 -1.45 -0.05
Extraordinary/Prior Period -12.74 -0.31 -34.99 -1.06 39.90 1.42
Tax 17.93 0.44 44.74 1.35 25.00 0.89
Profit after tax(PAT) 76.73 1.86 281.71 8.51 165.94 5.91
Cash Profit 293.57 7.13 462.91 13.98 303.11 10.79
Dividend-Equity 14.72 0.36 51.51 1.56 51.51 1.83
Balance Sheet
As on 31-Mar-07   31-Mar-06   31-Mar-05  
Assets Rs mn %BT Rs mn %BT Rs mn %BT
Gross Block 5141.92 87.04 3885.01 89.63 3605.36 96.84
Net Block 3550.46 60.10 2500.87 57.70 2402.85 64.54
Capital WIP 29.80 0.50 316.76 7.31 61.82 1.66
Investments 64.60 1.09 44.60 1.03 44.60 1.20
Inventory 1189.79 20.14 659.46 15.21 499.58 13.42
Receivables 625.06 10.58 509.18 11.75 416.36 11.18
Other Current Assets 447.83 7.58 303.53 7.00 297.66 8.00
Balance Sheet Total(BT) 5907.54 100.00 4334.40 100.00 3722.87 100.00
Liabilities Rs mn %BT Rs mn %BT Rs mn %BT
Equity Share Capital 147.17 2.49 147.17 3.40 147.17 3.95
Reserves 1268.85 21.48 1209.03 27.89 1037.75 27.87
Total Debt 3323.67 56.26 2025.77 46.74 1451.82 39.00
Creditors and Acceptances 378.71 6.41 250.41 5.78 107.07 2.88
Other current liab/prov. 789.14 13.36 702.02 16.20 979.06 26.30
Balance Sheet Total(BT) 5907.54 100.00 4334.40 100.00 3722.87 100.00
Ratio Analysis
As on 31-Mar-07 31-Mar-06 31-Mar-05
OPBIT/Prod.cap.empl.(%) 7.65 16.65 18.79
PBIT/Cap. Employed (%) 7.29 15.31 16.55
PAT/Networth (%) 5.42 20.77 21.51
Tax/PBT (%) 18.94 13.71 8.93
Total Debt/Networth (x) 2.35 1.49 1.23
Long Term Debt/Networth (x) 1.59 0.94 0.77
PBDIT/Finance Charges (x) 2.25 4.55 3.93
Current Ratio (x) 1.94 1.55 1.12
RM Inventory (days consumption) 45.70 45.09 55.60
FG inventory (days cost of sales) 85.60 53.72 41.23
Receivables (days gross sales) 52.23 52.83 50.59
Creditors (days cost of sales) 38.97 34.80 17.89
Op. curr. assets (days OI) 200.00 162.00 158.00

 
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