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The company manufactures base metal and noble metal based catalysts
Sud Chemie India Private Limited, is an unlisted private company incorporated on 28 February, 1969. It is classified as a private limited company and is located in , Kerala. It's authorized share capital is INR 1.00 cr and the total paid-up capital is INR 96.23 lac.
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** All rupee values in INR crores. Based on March 2024 numbers.
* GST not included
** Reports & MCA filings will be based on the latest available financials.
* INR 349 for 20+ credits purchase
1 credit = one company dashboard
State | Type | Address |
---|
Designation | Name | DIN/PAN | Tenure |
---|---|---|---|
Managing Director | Arshia Altaf Lalljee
Shareholder
|
00334804 | 19 years |
Managing Director | Iskander Altaf Lalljee
Shareholder
|
00334845 | 19 years |
Additional Director | Nyela Kalsia
Shareholder
|
07664201 | 9 years |
Director Appointed in Casual V | Jacques Roger Caillaud | 09620267 | 3 years |
Director Appointed in Casual V | Jens Frank Cuntze | 09790826 | 3 years |
Director Appointed in Casual V | Sanjay Shriram Ghadge | 08455742 | 2 years |
Mar 2020 | Mar 2021 | Mar 2022 | Mar 2023 | Mar 2024 | |
---|---|---|---|---|---|
Sales | 1,096.8 | 1,439.1 | 1,724.2 | 2,146.2 | 2,268.2 |
Operating profit | 268.8 | 333.4 | 374.4 | 502.7 | 649.3 |
Net profit | 215.1 | 242.8 | 277.0 | 383.5 | 502.3 |
Gross margin | 48.4 | 40.4 | 41.4 | 43.2 | 49.1 |
Operating margin | 24.5 | 23.2 | 21.7 | 23.4 | 28.6 |
Net margin | 19.0 | 16.6 | 15.8 | 17.5 | 21.6 |
Networth | 818.3 | 943.8 | 1,099.5 | 1,184.7 | 1,345.5 |
Borrowings | 27.4 | 1.0 | - | - | - |
Assets | 1,011.9 | 1,163.2 | 1,271.3 | 1,379.4 | 1,550.7 |
Debt to equity | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 |
Current ratio | 4.7 | 5.0 | 7.1 | 6.6 | 7.0 |
ROE | 26.3 | 25.7 | 25.2 | 32.4 | 37.3 |
Days payable | 52.0 | 36.0 | 37.0 | 40.0 | 43.0 |
WC days | 214.0 | 197.0 | 195.0 | 163.0 | 172.0 |
Mar 2020 | Mar 2021 | Mar 2022 | Mar 2023 | Mar 2024 | |
---|---|---|---|---|---|
Equity Capital | 1.0 | 1.0 | 1.0 | 1.0 | 1.0 |
Reserves | 817.3 | 942.8 | 1,098.5 | 1,183.7 | 1,344.5 |
Borrowings + | 27.4 | 1.0 | - | - | - |
Long term borrowings | - | - | - | - | - |
Short term borrowings | 27.4 | 1.0 | - | - | - |
Trade payables + | 80.1 | 83.7 | 102.9 | 132.0 | 135.9 |
Days payable | 52.0 | 36.0 | 37.0 | 40.0 | 43.0 |
Other liabilities + | 166.2 | 218.4 | 171.7 | 194.7 | 205.2 |
Other non-current liabilities | 21.4 | 22.8 | 20.6 | 24.6 | 27.6 |
Other current liabilities | 64.6 | 111.9 | 48.2 | 38.2 | 41.7 |
Total liabilities | 1,011.9 | 1,163.2 | 1,271.3 | 1,379.4 | 1,550.7 |
Fixed Assets + | 167.3 | 177.6 | 177.7 | 198.1 | 260.5 |
Tangible assets | 132.4 | 164.7 | 169.4 | 176.2 | 238.4 |
CWIP | 33.5 | 12.0 | 7.6 | 21.1 | 21.3 |
Intangible assets | 1.5 | 0.8 | 0.7 | 0.8 | 0.9 |
LT loans and advances | 2.4 | 2.3 | - | - | - |
Other non-current assets | 26.6 | 9.1 | 20.2 | 53.5 | 45.4 |
Current assets + | 815.6 | 974.1 | 1,073.4 | 1,127.9 | 1,244.8 |
Inventories | 381.7 | 303.5 | 413.6 | 460.9 | 421.5 |
Trade receivables | 228.8 | 283.5 | 249.4 | 264.0 | 196.8 |
Cash and cash equivalents | 42.7 | 98.7 | 18.5 | 19.1 | 43.2 |
ST loans and advances | 0.8 | 0.7 | - | - | - |
Other current assets | 161.6 | 287.8 | 391.9 | 383.9 | 583.4 |
Total assets | 1,011.9 | 1,163.2 | 1,271.3 | 1,379.4 | 1,550.7 |
Mar 2020 | Mar 2021 | Mar 2022 | Mar 2023 | Mar 2024 | |
---|---|---|---|---|---|
Sales + | 1,096.8 | 1,439.1 | 1,724.2 | 2,146.2 | 2,268.2 |
Sales growth % | 9.81 | 31.21 | 19.81 | 24.47 | 5.68 |
Expenses + | 851.5 | 1,131.6 | 1,380.2 | 1,674.5 | 1,653.8 |
Cost of goods | 565.9 | 857.2 | 1,010.9 | 1,218.6 | 1,155.3 |
Employee cost | 71.3 | 80.9 | 90.1 | 108.6 | 123.1 |
Other costs | 190.8 | 167.6 | 248.9 | 316.3 | 340.5 |
Operating profit + | 268.8 | 333.4 | 374.4 | 502.7 | 649.3 |
Operating margin % | 24.5 | 23.2 | 21.7 | 23.4 | 28.6 |
Other income | 34.1 | 20.1 | 26.1 | 45.6 | 56.4 |
Interest | 1.7 | 0.7 | 0.7 | 0.6 | 1.0 |
Depreciation | 21.7 | 25.2 | 29.6 | 30.4 | 34.0 |
Exceptional items | - | - | - | - | - |
Profit before tax | 279.5 | 327.6 | 370.1 | 517.3 | 670.7 |
Tax | 64.4 | 84.8 | 93.0 | 133.8 | 168.5 |
Profit - disc. ops | - | - | - | - | - |
Net profit | 215.1 | 242.8 | 277.0 | 383.5 | 502.3 |
Net margin % | 19.0 | 16.6 | 15.8 | 17.5 | 21.6 |
Mar 2020 | Mar 2021 | Mar 2022 | Mar 2023 | Mar 2024 | |
---|---|---|---|---|---|
Solvency + | |||||
Total Debt/Equity | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 |
Net Debt/Equity | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 |
Total Debt/Assets | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 |
Total Assets/Equity | 1.2 | 1.2 | 1.2 | 1.2 | 1.1 |
Liquidity + | |||||
Current Ratio | 4.7 | 5.0 | 7.1 | 6.6 | 7.0 |
Quick Ratio | 2.5 | 3.4 | 4.4 | 3.9 | 4.6 |
Interest Coverage | 154.3 | 513.0 | 531.4 | 875.1 | 679.7 |
Performance | |||||
Gross Margin | 48.4 | 40.4 | 41.4 | 43.2 | 49.1 |
Operating Margin | 24.5 | 23.2 | 21.7 | 23.4 | 28.6 |
Net Margin | 19.0 | 16.6 | 15.8 | 17.5 | 21.6 |
Return + | |||||
Return on Equity | 26.3 | 25.7 | 25.2 | 32.4 | 37.3 |
Pre-tax ROCE | 30.5 | 32.3 | 31.3 | 40.9 | 46.3 |
Return on Assets | 21.2 | 20.9 | 21.8 | 27.8 | 32.4 |
Pre-tax ROIC | 30.2 | 32.6 | 31.4 | 39.9 | 45.7 |
Efficiency + | |||||
Days Payable | 52.0 | 36.0 | 37.0 | 40.0 | 43.0 |
Days Inventory | 246.0 | 129.0 | 149.0 | 138.0 | 133.0 |
Days Receivable | 76.0 | 72.0 | 53.0 | 45.0 | 32.0 |
Fixed Asset Turnover | 6.5 | 8.1 | 9.7 | 10.8 | 8.7 |
Total Asset Turnover | 1.1 | 1.2 | 1.4 | 1.6 | 1.5 |
Working Capital | |||||
Cash Conversion Cycle | 270.0 | 165.0 | 165.0 | 143.0 | 122.0 |
Working Capital Days | 214.0 | 197.0 | 195.0 | 163.0 | 172.0 |
State Bank of India
No. of Loans: 1
Total Amount : 85.0 cr
The Federal Bank Limited
No. of Loans: 1
Total Amount : 82.0 cr
HDFC Bank Limited
No. of Loans: 1
Total Amount : 20.0 cr
Name | Status | Paid up Capital | Common Directors | Address |
---|---|---|---|---|
LIFECARE INNOVATIONS PRIVATE LIMITED |
Active
|
25.0 L | 2 | Delhi |
RED RESPECT ESTATES PRIVATE LIMITED |
Strike Off
|
1.0 L | 2 | Delhi |
AMAN BAGH ORGANICS PRIVATE LIMITED |
Strike Off
|
1.0 L | 1 | Delhi |
WILDERNESS AND WELLNESS RESORTS AND CAMPS PRIVATE LIMITED |
Active
|
1.0 L | 1 | Rajasthan |
CHAMBAL WILDLIFE AND RIVER HOLIDAYS PRIVATE LIMITED |
Active
|
1.0 L | 1 | Rajasthan |
AMIDST NATURE RESORTS PRIVATE LIMITED |
Active
|
1.0 L | 1 | Kerala |
CLARIANT IGL SPECIALTY CHEMICALS PRIVATE LIMITED |
Active
|
2.2 L | 1 |
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The incorporation date of SUD CHEMIE INDIA PRIVATE LIMITED is 28 February, 1969
The authorized share capital of SUD CHEMIE INDIA PRIVATE LIMITED is INR ₹ 1.0 Cr.
The paid-up capital of SUD CHEMIE INDIA PRIVATE LIMITED is INR ₹ 96.2 L.
The registered address of SUD CHEMIE INDIA PRIVATE LIMITED is EDAYAR INDUSTRIALDEVELOPMENT AREA BINANIPURAM P O ALUVA, ERNAKULAM, Kerala, India, 683502 - 683502
The CIN number of SUD CHEMIE INDIA PRIVATE LIMITED is U24299KL1969PTC002217.