♥
ISIN : INE898O01010
BSE : 523315
Face Value : 10
Industry : Packaging
EPS : 8.71
EPS (TTM) : 22.09
Price to Earning (P/E) : 0.09
Book Value : 312.39
Price to Bookvalue (P/B) : 0.00
Dividend Yield : 0 %
Return on Equity (ROE) : 2.83 %
Return on Capital Employed (ROCE) : 6.76 %
PURITY FLEX PACK LTD
ISIN : INE898O01010
BSE : 523315
Face Value : 10
Industry : Packaging
EPS : 8.71
EPS (TTM) : 22.09
Price to Earning (P/E) : 0.09
Book Value : 312.39
Price to Bookvalue (P/B) : 0.00
Dividend Yield : 0 %
Return on Equity (ROE) : 2.83 %
Return on Capital Employed (ROCE) : 6.76 %
PURITY FLEX share price(16-Mar-2026) | |
|---|---|
| Open / Close | 0.78 - 0.78 0 % |
| Low / High | 0.78 - 0.78 0 % |
| Trade Volume | 100 |
| 52 Week Low / High | 0.78 - 2.24 187.2 % |
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CONSOLIDATED QUARTERLY RESULT FOR PURITY FLEX PACK LTD
| Date End | Jun 2022 | Sep 2022 | Dec 2022 | Mar 2023 | Jun 2023 | Sep 2023 | Dec 2023 | Mar 2024 | Jun 2024 | Sep 2024 |
|---|---|---|---|---|---|---|---|---|---|---|
| No of months | 3 months | 3 months | 3 months | 3 months | 3 months | 3 months | 3 months | 3 months | 3 months | 3 months |
| Net Sales | 311.77 | 296.97 | 282.38 | 264.78 | 266.43 | 288.73 | 259.39 | 262.58 | 277.56 | 376.34 |
| Total Income | 311.84 | 297.03 | 284.82 | 263.15 | 266.53 | 290.43 | 262.82 | 260.45 | 277.88 | 378.42 |
| Total Expenditure | 295.92 | 281.26 | 269.56 | 239.3 | 249.27 | 272.08 | 247.02 | 241.3 | 256.92 | 345.86 |
| Other Income | 0.06 | 0.06 | 2.44 | -1.62 | 0.1 | 1.7 | 3.43 | -2.14 | 0.31 | 2.08 |
| Operating Profit | 15.92 | 15.77 | 15.26 | 23.85 | 17.26 | 18.35 | 15.8 | 19.15 | 20.96 | 32.56 |
| Interest | 4.84 | 4.44 | 6.35 | 6.47 | 5.67 | 5.37 | 4.39 | 5.11 | 4.43 | 4.72 |
| PBDT | 11.08 | 11.33 | 8.91 | 17.38 | 11.59 | 12.98 | 11.41 | 14.04 | 16.53 | 27.84 |
| Depreciation | 7.97 | 10.3 | 8.68 | 9.72 | 9.77 | 9.29 | 9.31 | 9.49 | 9.46 | 10.34 |
| Profit Before Tax | 3.11 | 1.03 | 0.23 | 7.66 | 1.82 | 3.69 | 2.1 | 4.55 | 7.07 | 17.5 |
| Tax | 1.25 | 0.42 | 0.12 | 0.57 | 0.74 | 0.57 | 0.03 | 1.48 | 1.92 | 4.1 |
| Profit After Tax | 1.86 | 0.61 | 0.11 | 7.09 | 1.08 | 3.12 | 2.07 | 3.07 | 5.15 | 13.4 |
| Net Profit | 1.86 | 0.61 | 0.11 | 7.09 | 1.08 | 3.12 | 2.07 | 3.07 | 5.15 | 13.4 |
| Equity Capital | 10.73 | 10.73 | 10.73 | 10.73 | 10.73 | 10.73 | 10.73 | 10.73 | 10.73 | 10.73 |
| Face Value (IN RS) | 10 | 10 | 10 | 10 | 10 | 10 | 10 | 10 | 10 | 10 |
| Calculated EPS | 1.73 | 0.57 | 0.1 | 6.61 | 1.01 | 2.91 | 1.93 | 2.86 | 4.8 | 12.49 |
| Diluted Eps After Extraordinary Items | 1.74 | 0.56 | 0.1 | 6.59 | 1 | 2.9 | 1.93 | 2.87 | 4.8 | 12.49 |
| Diluted Eps Before Extraordinary Items | 1.74 | 0.56 | 0.1 | 6.59 | 1 | 2.9 | 1.93 | 2.87 | 4.8 | 12.49 |
STANDALONE QUARTERLY RESULT FOR PURITY FLEX PACK LTD
| Date End | Jun 2022 | Sep 2022 | Dec 2022 | Mar 2023 | Jun 2023 | Sep 2023 | Dec 2023 | Mar 2024 | Jun 2024 | Sep 2024 |
|---|---|---|---|---|---|---|---|---|---|---|
| No of months | 3 months | 3 months | 3 months | 3 months | 3 months | 3 months | 3 months | 3 months | 3 months | 3 months |
| Net Sales | 311.77 | 296.97 | 282.38 | 264.78 | 266.43 | 288.73 | 259.39 | 262.58 | 277.56 | 376.34 |
| Total Income | 311.84 | 297.03 | 284.82 | 263.15 | 266.53 | 290.43 | 262.82 | 260.45 | 277.88 | 378.42 |
| Total Expenditure | 295.92 | 281.26 | 269.56 | 239.3 | 249.27 | 272.08 | 247.02 | 241.3 | 256.92 | 345.86 |
| Other Income | 0.06 | 0.06 | 2.44 | -1.62 | 0.1 | 1.7 | 3.43 | -2.14 | 0.31 | 2.08 |
| Operating Profit | 15.92 | 15.77 | 15.26 | 23.85 | 17.26 | 18.35 | 15.8 | 19.15 | 20.96 | 32.56 |
| Interest | 4.84 | 4.44 | 6.35 | 6.47 | 5.67 | 5.37 | 4.39 | 5.11 | 4.43 | 4.72 |
| PBDT | 11.08 | 11.33 | 8.91 | 17.38 | 11.59 | 12.98 | 11.41 | 14.04 | 16.53 | 27.84 |
| Depreciation | 7.97 | 10.3 | 8.68 | 9.72 | 9.77 | 9.29 | 9.31 | 9.49 | 9.46 | 10.34 |
| Profit Before Tax | 3.11 | 1.03 | 0.23 | 7.66 | 1.82 | 3.69 | 2.1 | 4.55 | 7.07 | 17.5 |
| Tax | 1.25 | 0.42 | 0.12 | 0.57 | 0.74 | 0.57 | 0.03 | 1.48 | 1.92 | 4.1 |
| Profit After Tax | 1.86 | 0.61 | 0.11 | 7.09 | 1.08 | 3.12 | 2.07 | 3.07 | 5.15 | 13.4 |
| Net Profit | 1.86 | 0.61 | 0.11 | 7.09 | 1.08 | 3.12 | 2.07 | 3.07 | 5.15 | 13.4 |
| Equity Capital | 10.73 | 10.73 | 10.73 | 10.73 | 10.73 | 10.73 | 10.73 | 10.73 | 10.73 | 10.73 |
| Face Value (IN RS) | 10 | 10 | 10 | 10 | 10 | 10 | 10 | 10 | 10 | 10 |
| Calculated EPS | 1.73 | 0.57 | 0.1 | 6.61 | 1.01 | 2.91 | 1.93 | 2.86 | 4.8 | 12.49 |
| Diluted Eps After Extraordinary Items | 1.74 | 0.56 | 0.1 | 6.59 | 1 | 2.9 | 1.93 | 2.87 | 4.8 | 12.49 |
| Diluted Eps Before Extraordinary Items | 1.74 | 0.56 | 0.1 | 6.59 | 1 | 2.9 | 1.93 | 2.87 | 4.8 | 12.49 |
CONSOLIDATED ANNUAL RESULT FOR PURITY FLEX PACK LTD
| Date End | Mar 2022 | Mar 2023 | Mar 2024 |
|---|---|---|---|
| No of months | 12 months | 12 months | 12 months |
| Net Sales | 1040.62 | 1155.89 | 1077.13 |
| Total Income | 1042.73 | 1156.84 | 1080.22 |
| Total Expenditure | 991.66 | 1086.05 | 1009.67 |
| Other Income | 2.12 | 0.94 | 3.09 |
| Operating Profit | 51.07 | 70.79 | 70.55 |
| Interest | 13.54 | 22.1 | 20.54 |
| PBDT | 37.53 | 48.69 | 50.01 |
| Depreciation | 31.37 | 36.67 | 37.86 |
| Profit Before Tax | 6.16 | 12.02 | 12.15 |
| Tax | 2.69 | 2.36 | 2.81 |
| Profit After Tax | 3.47 | 9.66 | 9.34 |
| Net Profit | 3.47 | 9.66 | 9.34 |
| Equity Capital | 10.73 | 10.73 | 10.73 |
| Face Value (IN RS) | 10 | 10 | 10 |
| Reserves | 304.56 | 315.11 | 324.58 |
| Calculated EPS | 3.23 | 9 | 8.7 |
| Diluted Eps After Extraordinary Items | 3.24 | 9 | 8.71 |
| Diluted Eps Before Extraordinary Items | 3.24 | 9 | 8.71 |
STANDALONE ANNUAL RESULT FOR PURITY FLEX PACK LTD
| Date End | Mar 2022 | Mar 2023 | Mar 2024 |
|---|---|---|---|
| No of months | 12 months | 12 months | 12 months |
| Net Sales | 1040.62 | 1155.89 | 1077.13 |
| Total Income | 1042.73 | 1156.84 | 1080.22 |
| Total Expenditure | 991.66 | 1086.05 | 1009.67 |
| Other Income | 2.12 | 0.94 | 3.09 |
| Operating Profit | 51.07 | 70.79 | 70.55 |
| Interest | 13.54 | 22.1 | 20.54 |
| PBDT | 37.53 | 48.69 | 50.01 |
| Depreciation | 31.37 | 36.67 | 37.86 |
| Profit Before Tax | 6.16 | 12.02 | 12.15 |
| Tax | 2.69 | 2.36 | 2.81 |
| Profit After Tax | 3.47 | 9.66 | 9.34 |
| Net Profit | 3.47 | 9.66 | 9.34 |
| Equity Capital | 10.73 | 10.73 | 10.73 |
| Face Value (IN RS) | 10 | 10 | 10 |
| Reserves | 304.56 | 315.11 | 324.58 |
| Calculated EPS | 3.23 | 9 | 8.7 |
| Diluted Eps After Extraordinary Items | 3.24 | 9 | 8.71 |
| Diluted Eps Before Extraordinary Items | 3.24 | 9 | 8.71 |
CONSOLIDATED PROFIT / LOSS FOR PURITY FLEX PACK LTD
| YEAR | Mar 2021 | Mar 2022 | Mar 2023 | Mar 2024 |
|---|---|---|---|---|
| No of Months | 12 months | 12 months | 12 months | 12 months |
| Gross Sales | 93.43 Cr | 104.06 Cr | 115.59 Cr | 107.71 Cr |
| Sales | 93.36 Cr | 103.46 Cr | 115.46 Cr | 107.61 Cr |
| Job Work/ Contract Receipts | 2.8 Lk | 51.87 Lk | 3.82 Lk | 4.64 Lk |
| Net Sales | 93.43 Cr | 104.06 Cr | 115.59 Cr | 107.71 Cr |
| Increase/Decrease in Stock | -86.68 Lk | -48.23 Lk | -97.73 Lk | 7.2 Lk |
| Raw Material Consumed | 63.3 Cr | 79.22 Cr | 85.91 Cr | 75.79 Cr |
| Opening Raw Materials | 4.95 Cr | 8.12 Cr | 10.89 Cr | 7.35 Cr |
| Purchases Raw Materials | 66.47 Cr | 81.98 Cr | 82.38 Cr | 74.97 Cr |
| Closing Raw Materials | 8.12 Cr | 10.89 Cr | 7.35 Cr | 6.52 Cr |
| Power & Fuel Cost | 2.65 Cr | 4.22 Cr | 4.97 Cr | 4.79 Cr |
| Electricity & Power | 2.65 Cr | 4.22 Cr | 4.97 Cr | 4.79 Cr |
| Employee Cost | 5.65 Cr | 6.66 Cr | 7.09 Cr | 8.99 Cr |
| Salaries, Wages & Bonus | 5.01 Cr | 5.91 Cr | 6.3 Cr | 8.12 Cr |
| Contributions to EPF & Pension Funds | 38.24 Lk | 44.91 Lk | 46.96 Lk | 50.42 Lk |
| Workmen and Staff Welfare Expenses | 6.73 Lk | 9.64 Lk | 9.19 Lk | 12.64 Lk |
| Other Manufacturing Expenses | 3.31 Cr | 3.18 Cr | 4.16 Cr | 2.96 Cr |
| Repairs and Maintenance | 41.17 Lk | 39.7 Lk | 62.73 Lk | 63.45 Lk |
| Packing Material Consumed | 1.05 Cr | 1.31 Cr | 1.39 Cr | 0 |
| General and Administration Expenses | 2.79 Cr | 3.29 Cr | 4.63 Cr | 5.11 Cr |
| Rent , Rates & Taxes | 2.66 Lk | 3.85 Lk | 3.75 Lk | 5.15 Lk |
| Insurance | 32.33 Lk | 36.88 Lk | 30.44 Lk | 37.17 Lk |
| Printing and stationery | 4.77 Lk | 5.14 Lk | 6.78 Lk | 0 |
| Professional and legal fees | 31.75 Lk | 38.94 Lk | 58.18 Lk | 74.77 Lk |
| Traveling and conveyance | 18.62 Lk | 38.09 Lk | 58.81 Lk | 82.24 Lk |
| Selling and Distribution Expenses | 1.91 Cr | 2.27 Cr | 2.51 Cr | 3.06 Cr |
| Advertisement & Sales Promotion | 5.51 Lk | 14.67 Lk | 18.76 Lk | 34.64 Lk |
| Sales Commissions & Incentives | 1.04 Cr | 94.99 Lk | 1.09 Cr | 1.05 Cr |
| Freight and Forwarding | 82.16 Lk | 1.17 Cr | 1.23 Cr | 1.67 Cr |
| Miscellaneous Expenses | 55.25 Lk | 71.84 Lk | 24.7 Lk | 8.24 Lk |
| Loss on disposal of fixed assets(net) | 18.42 Lk | 0 | 0 | 0 |
| Loss on foreign exchange fluctuations | 0 | 11.55 Lk | 14.34 Lk | 0 |
| Total Expenditure | 79.29 Cr | 99.08 Cr | 108.54 Cr | 100.86 Cr |
| Other Income | 41.92 Lk | 21.17 Lk | 9.39 Lk | 34.46 Lk |
| Interest Received | 3.71 Lk | 10.88 Lk | 8.26 Lk | 12.63 Lk |
| Profit on sale of Fixed Assets | 0 | 0 | 0 | 5.82 Lk |
| Profits on sale of Investments | 0 | 0 | 16,000 | 2.19 Lk |
| Foreign Exchange Gains | 16.13 Lk | 0 | 0 | 3.52 Lk |
| Operating Profit | 14.56 Cr | 5.2 Cr | 7.15 Cr | 7.2 Cr |
| Interest | 1.04 Cr | 1.44 Cr | 2.28 Cr | 2.2 Cr |
| Interest on Term Loan | 90.55 Lk | 1.42 Cr | 2.09 Cr | 1.68 Cr |
| Bank Charges etc | 13.45 Lk | 9.05 Lk | 6.89 Lk | 14.47 Lk |
| PBDT | 13.52 Cr | 3.75 Cr | 4.87 Cr | 5 Cr |
| Depreciation | 2.57 Cr | 3.14 Cr | 3.67 Cr | 3.79 Cr |
| Profit Before Taxation & Exceptional Items | 10.95 Cr | 61.65 Lk | 1.2 Cr | 1.22 Cr |
| Profit Before Tax | 10.95 Cr | 61.65 Lk | 1.2 Cr | 1.22 Cr |
| Provision for Tax | 2.12 Cr | 26.86 Lk | 23.6 Lk | 28.12 Lk |
| Current Income Tax | 2.68 Cr | 0 | 7.68 Lk | 19.79 Lk |
| Deferred Tax | -22.51 Lk | 26.86 Lk | 15.92 Lk | 8.33 Lk |
| Profit After Tax | 8.84 Cr | 34.79 Lk | 96.66 Lk | 93.47 Lk |
| Other Consolidated Items | 4.04 Lk | 0 | 0 | 0 |
| Consolidated Net Profit | 8.88 Cr | 34.79 Lk | 96.66 Lk | 93.47 Lk |
| Profit Balance B/F | 20.73 Cr | 29.61 Cr | 29.97 Cr | 31.02 Cr |
| Appropriations | 29.61 Cr | 29.95 Cr | 30.94 Cr | 31.96 Cr |
| Other Appropriation | 0 | -1.46 Lk | -8.9 Lk | -1.25 Lk |
| Earnings Per Share | 82.34 | 3.24 | 9.01 | 8.71 |
| Adjusted EPS | 82.34 | 3.24 | 9.01 | 8.71 |
STANDALONE PROFIT / LOSS FOR PURITY FLEX PACK LTD
| YEAR | Mar 2021 | Mar 2022 | Mar 2023 | Mar 2024 |
|---|---|---|---|---|
| No of Months | 12 months | 12 months | 12 months | 12 months |
| Gross Sales | 93.43 Cr | 104.06 Cr | 115.59 Cr | 107.71 Cr |
| Sales | 93.36 Cr | 103.46 Cr | 115.46 Cr | 107.61 Cr |
| Job Work/ Contract Receipts | 2.8 Lk | 51.87 Lk | 3.82 Lk | 4.64 Lk |
| Net Sales | 93.43 Cr | 104.06 Cr | 115.59 Cr | 107.71 Cr |
| Increase/Decrease in Stock | -86.68 Lk | -48.23 Lk | -97.73 Lk | 7.2 Lk |
| Raw Material Consumed | 63.3 Cr | 79.22 Cr | 85.91 Cr | 75.79 Cr |
| Opening Raw Materials | 4.95 Cr | 8.12 Cr | 10.89 Cr | 7.35 Cr |
| Purchases Raw Materials | 66.47 Cr | 81.98 Cr | 82.38 Cr | 74.97 Cr |
| Closing Raw Materials | 8.12 Cr | 10.89 Cr | 7.35 Cr | 6.52 Cr |
| Power & Fuel Cost | 2.65 Cr | 4.22 Cr | 4.97 Cr | 4.79 Cr |
| Electricity & Power | 2.65 Cr | 4.22 Cr | 4.97 Cr | 4.79 Cr |
| Employee Cost | 5.65 Cr | 6.66 Cr | 7.09 Cr | 8.99 Cr |
| Salaries, Wages & Bonus | 5.01 Cr | 5.91 Cr | 6.3 Cr | 8.12 Cr |
| Contributions to EPF & Pension Funds | 38.24 Lk | 44.91 Lk | 46.96 Lk | 50.42 Lk |
| Workmen and Staff Welfare Expenses | 6.73 Lk | 9.64 Lk | 9.19 Lk | 12.64 Lk |
| Other Manufacturing Expenses | 3.31 Cr | 3.18 Cr | 4.16 Cr | 2.96 Cr |
| Repairs and Maintenance | 41.17 Lk | 39.7 Lk | 62.73 Lk | 63.45 Lk |
| Packing Material Consumed | 1.05 Cr | 1.31 Cr | 1.39 Cr | 0 |
| General and Administration Expenses | 2.79 Cr | 3.29 Cr | 4.63 Cr | 5.11 Cr |
| Rent , Rates & Taxes | 2.66 Lk | 3.85 Lk | 3.75 Lk | 5.15 Lk |
| Insurance | 32.33 Lk | 36.88 Lk | 30.44 Lk | 37.17 Lk |
| Printing and stationery | 4.77 Lk | 5.14 Lk | 6.78 Lk | 0 |
| Professional and legal fees | 31.75 Lk | 38.94 Lk | 58.18 Lk | 74.77 Lk |
| Traveling and conveyance | 18.62 Lk | 38.09 Lk | 58.81 Lk | 82.24 Lk |
| Selling and Distribution Expenses | 1.91 Cr | 2.27 Cr | 2.51 Cr | 3.06 Cr |
| Advertisement & Sales Promotion | 5.51 Lk | 14.67 Lk | 18.76 Lk | 34.64 Lk |
| Sales Commissions & Incentives | 1.04 Cr | 94.99 Lk | 1.09 Cr | 1.05 Cr |
| Freight and Forwarding | 82.16 Lk | 1.17 Cr | 1.23 Cr | 1.67 Cr |
| Miscellaneous Expenses | 55.25 Lk | 71.84 Lk | 24.7 Lk | 8.24 Lk |
| Loss on disposal of fixed assets(net) | 18.42 Lk | 0 | 0 | 0 |
| Loss on foreign exchange fluctuations | 0 | 11.55 Lk | 14.34 Lk | 0 |
| Total Expenditure | 79.29 Cr | 99.08 Cr | 108.54 Cr | 100.86 Cr |
| Other Income | 41.92 Lk | 21.17 Lk | 9.39 Lk | 34.46 Lk |
| Interest Received | 3.71 Lk | 10.88 Lk | 8.26 Lk | 12.63 Lk |
| Profit on sale of Fixed Assets | 0 | 0 | 0 | 5.82 Lk |
| Profits on sale of Investments | 0 | 0 | 16,000 | 2.19 Lk |
| Foreign Exchange Gains | 16.13 Lk | 0 | 0 | 3.52 Lk |
| Operating Profit | 14.56 Cr | 5.2 Cr | 7.15 Cr | 7.2 Cr |
| Interest | 1.04 Cr | 1.44 Cr | 2.28 Cr | 2.2 Cr |
| Interest on Term Loan | 90.55 Lk | 1.42 Cr | 2.09 Cr | 1.68 Cr |
| Bank Charges etc | 13.45 Lk | 9.05 Lk | 6.89 Lk | 14.47 Lk |
| PBDT | 13.52 Cr | 3.75 Cr | 4.87 Cr | 5 Cr |
| Depreciation | 2.57 Cr | 3.14 Cr | 3.67 Cr | 3.79 Cr |
| Profit Before Taxation & Exceptional Items | 10.95 Cr | 61.65 Lk | 1.2 Cr | 1.22 Cr |
| Profit Before Tax | 10.95 Cr | 61.65 Lk | 1.2 Cr | 1.22 Cr |
| Provision for Tax | 2.12 Cr | 26.86 Lk | 23.6 Lk | 28.12 Lk |
| Current Income Tax | 2.68 Cr | 0 | 7.68 Lk | 19.79 Lk |
| Deferred Tax | -22.51 Lk | 26.86 Lk | 15.92 Lk | 8.33 Lk |
| Profit After Tax | 8.84 Cr | 34.79 Lk | 96.66 Lk | 93.47 Lk |
| Other Consolidated Items | 4.04 Lk | 0 | 0 | 0 |
| Consolidated Net Profit | 8.88 Cr | 34.79 Lk | 96.66 Lk | 93.47 Lk |
| Profit Balance B/F | 20.73 Cr | 29.61 Cr | 29.97 Cr | 31.02 Cr |
| Appropriations | 29.61 Cr | 29.95 Cr | 30.94 Cr | 31.96 Cr |
| Other Appropriation | 0 | -1.46 Lk | -8.9 Lk | -1.25 Lk |
| Earnings Per Share | 82.34 | 3.24 | 9.01 | 8.71 |
| Adjusted EPS | 82.34 | 3.24 | 9.01 | 8.71 |
CONSOLIDATED CASH FLOW FOR PURITY FLEX PACK LTD
| Year End | Mar 2021 | Mar 2022 | Mar 2023 | Mar 2024 |
|---|---|---|---|---|
| No of Months | 12 months | 12 months | 12 months | 12 months |
| Profit Before Tax | 10.95 Cr | 61.65 Lk | 1.2 Cr | 1.22 Cr |
| Adjustment | 3.44 Cr | 4.28 Cr | 5.81 Cr | 5.51 Cr |
| Changes In working Capital | -2.44 Cr | 2.49 Cr | -1.91 Cr | 1.55 Cr |
| Cash Flow after changes in Working Capital | 11.95 Cr | 7.38 Cr | 5.11 Cr | 8.28 Cr |
| Cash Flow from Operating Activities | 9.21 Cr | 6.88 Cr | 4.99 Cr | 8.17 Cr |
| Cash Flow from Investing Activities | -5.25 Cr | -14.79 Cr | -2.77 Cr | -2.48 Cr |
| Cash Flow from Financing Activitie | -4.02 Cr | 8.49 Cr | -2.78 Cr | -5.65 Cr |
| Net Cash Inflow / Outflow | -6.72 Lk | 57.75 Lk | -55.82 Lk | 4.41 Lk |
| Opening Cash & Cash Equivalents | 18.8 Lk | 12.08 Lk | 69.83 Lk | 14.01 Lk |
| Closing Cash & Cash Equivalent | 12.08 Lk | 69.83 Lk | 14.01 Lk | 18.42 Lk |
STANDALONE CASH FLOW FOR PURITY FLEX PACK LTD
| Year End | Mar 2021 | Mar 2022 | Mar 2023 | Mar 2024 |
|---|---|---|---|---|
| No of Months | 12 months | 12 months | 12 months | 12 months |
| Profit Before Tax | 10.95 Cr | 61.65 Lk | 1.2 Cr | 1.22 Cr |
| Adjustment | 3.44 Cr | 4.28 Cr | 5.81 Cr | 5.51 Cr |
| Changes In working Capital | -2.44 Cr | 2.49 Cr | -1.91 Cr | 1.55 Cr |
| Cash Flow after changes in Working Capital | 11.95 Cr | 7.38 Cr | 5.11 Cr | 8.28 Cr |
| Cash Flow from Operating Activities | 9.21 Cr | 6.88 Cr | 4.99 Cr | 8.17 Cr |
| Cash Flow from Investing Activities | -5.25 Cr | -14.79 Cr | -2.77 Cr | -2.48 Cr |
| Cash Flow from Financing Activitie | -4.02 Cr | 8.49 Cr | -2.78 Cr | -5.65 Cr |
| Net Cash Inflow / Outflow | -6.72 Lk | 57.75 Lk | -55.82 Lk | 4.41 Lk |
| Opening Cash & Cash Equivalents | 18.8 Lk | 12.08 Lk | 69.83 Lk | 14.01 Lk |
| Closing Cash & Cash Equivalent | 12.08 Lk | 69.83 Lk | 14.01 Lk | 18.42 Lk |
CONSOLIDATED BALANCE SHEET FOR PURITY FLEX PACK LTD
| YEAR | Mar 2021 | Mar 2022 | Mar 2023 | Mar 2024 |
|---|---|---|---|---|
| Share Capital | 1.07 Cr | 1.07 Cr | 1.07 Cr | 1.07 Cr |
| Equity - Authorised | 6 Cr | 6 Cr | 6 Cr | 6 Cr |
| Equity - Issued | 1.07 Cr | 1.07 Cr | 1.07 Cr | 1.07 Cr |
| Equity Paid Up | 1.07 Cr | 1.07 Cr | 1.07 Cr | 1.07 Cr |
| Face Value | 10 | 10 | 10 | 10 |
| Total Reserves | 30.09 Cr | 30.46 Cr | 31.51 Cr | 32.46 Cr |
| Capital Reserves | 48.45 Lk | 48.46 Lk | 48.45 Lk | 48.45 Lk |
| Profit & Loss Account Balance | 29.61 Cr | 29.97 Cr | 31.02 Cr | 31.97 Cr |
| General Reserves | 26,000 | 26,000 | 26,000 | 26,000 |
| Reserve excluding Revaluation Reserve | 30.09 Cr | 30.46 Cr | 31.51 Cr | 32.46 Cr |
| Shareholder's Funds | 31.17 Cr | 31.53 Cr | 32.58 Cr | 33.53 Cr |
| Secured Loans | 5.08 Cr | 13.44 Cr | 8.31 Cr | 5.4 Cr |
| Term Loans - Banks | 8.01 Cr | 16.98 Cr | 13.11 Cr | 10.04 Cr |
| Deferred Tax Assets / Liabilities | 2.98 Cr | 3.25 Cr | 3.44 Cr | 3.53 Cr |
| Deferred Tax Assets | 0 | 3.84 Lk | 5.67 Lk | 8.55 Lk |
| Deferred Tax Liability | 2.98 Cr | 3.29 Cr | 3.5 Cr | 3.61 Cr |
| Other Long Term Liabilities | 0 | 1.73 Cr | 1.76 Cr | 1.79 Cr |
| Long Term Provisions | 0 | 0 | 0 | 19.79 Lk |
| Total Non-Current Liabilities | 8.06 Cr | 18.42 Cr | 13.52 Cr | 10.92 Cr |
| Trade Payables | 11.88 Cr | 23.72 Cr | 17.46 Cr | 19.59 Cr |
| Sundry Creditors | 11.88 Cr | 23.72 Cr | 17.46 Cr | 19.59 Cr |
| Other Current Liabilities | 4.07 Cr | 4.26 Cr | 6.1 Cr | 5.97 Cr |
| Advances received from customers | 23.07 Lk | 32.01 Lk | 22.21 Lk | 25.92 Lk |
| Short Term Borrowings | 2.38 Cr | 2.65 Cr | 6.06 Cr | 5.69 Cr |
| Secured ST Loans repayable on Demands | 1.59 Cr | 2.22 Cr | 5.62 Cr | 5.26 Cr |
| Working Capital Loans- Sec | 1.59 Cr | 2.22 Cr | 5.62 Cr | 5.26 Cr |
| Short Term Provisions | 2.75 Cr | 59.02 Lk | 0 | 0 |
| Provision for Tax | 2.72 Cr | 0 | 0 | 0 |
| Provision for post retirement benefits | 0 | 53.41 Lk | 0 | 0 |
| Total Current Liabilities | 21.08 Cr | 31.22 Cr | 29.62 Cr | 31.26 Cr |
| Total Liabilities | 60.31 Cr | 81.17 Cr | 75.73 Cr | 75.71 Cr |
| Gross Block | 47.6 Cr | 63.93 Cr | 65.82 Cr | 68.79 Cr |
| Less: Accumulated Depreciation | 16.28 Cr | 19.41 Cr | 23.08 Cr | 26.59 Cr |
| Net Block | 31.32 Cr | 44.51 Cr | 42.74 Cr | 42.2 Cr |
| Capital Work in Progress | 0 | 15.14 Lk | 5.13 Lk | 0 |
| Non Current Investments | 84.83 Lk | 95.12 Lk | 96.25 Lk | 97.78 Lk |
| Long Term Investment | 84.83 Lk | 95.12 Lk | 96.25 Lk | 97.78 Lk |
| Quoted | 83.53 Lk | 93.82 Lk | 94.95 Lk | 0 |
| Unquoted | 1.3 Lk | 1.3 Lk | 1.3 Lk | 97.78 Lk |
| Long Term Loans & Advances | 48.14 Lk | 67.16 Lk | 66.02 Lk | 1.22 Cr |
| Other Non Current Assets | 5.36 Lk | 0 | 9.21 Lk | 9.58 Lk |
| Total Non-Current Assets | 32.71 Cr | 46.29 Cr | 44.51 Cr | 44.49 Cr |
| Unquoted | 1.3 Lk | 1.3 Lk | 1.3 Lk | 97.78 Lk |
| Inventories | 13.13 Cr | 16.99 Cr | 14.95 Cr | 14.24 Cr |
| Raw Materials | 8.12 Cr | 10.89 Cr | 7.35 Cr | 6.52 Cr |
| Work-in Progress | 2.64 Cr | 2.76 Cr | 2.41 Cr | 2.54 Cr |
| Finished Goods | 1 Cr | 1.36 Cr | 2.69 Cr | 2.49 Cr |
| Packing Materials | 14.16 Lk | 9.23 Lk | 6.8 Lk | 8.62 Lk |
| Stores and Spare | 1.22 Cr | 1.88 Cr | 2.43 Cr | 2.6 Cr |
| Sundry Debtors | 9.61 Cr | 15.09 Cr | 12.79 Cr | 14.95 Cr |
| Debtors more than Six months | 0 | 99.48 Lk | 83.75 Lk | 85.39 Lk |
| Debtors Others | 9.61 Cr | 14.09 Cr | 11.98 Cr | 14.11 Cr |
| Cash and Bank | 88.31 Lk | 1.58 Cr | 2.08 Cr | 1.7 Cr |
| Cash in hand | 6.5 Lk | 6.52 Lk | 6.63 Lk | 7.43 Lk |
| Balances at Bank | 81.81 Lk | 1.52 Cr | 2.01 Cr | 1.63 Cr |
| Other Current Assets | 27.98 Lk | 15.57 Lk | 38.54 Lk | 12.28 Lk |
| Prepaid Expenses | 27.98 Lk | 15.57 Lk | 38.54 Lk | 12.28 Lk |
| Short Term Loans and Advances | 3.7 Cr | 1.07 Cr | 1.01 Cr | 20.17 Lk |
| Advances recoverable in cash or in kind | 99.94 Lk | 55.76 Lk | 49.1 Lk | 18.91 Lk |
| Advance income tax and TDS | 2.7 Cr | 0 | 47.29 Lk | 0 |
| Total Current Assets | 27.6 Cr | 34.88 Cr | 31.22 Cr | 31.21 Cr |
| Net Current Assets (Including Current Investments) | 6.52 Cr | 3.67 Cr | 1.59 Cr | -4.28 Lk |
| Total Assets | 60.31 Cr | 81.17 Cr | 75.73 Cr | 75.71 Cr |
| Contingent Liabilities | 21.2 Lk | 24.94 Lk | 24.94 Lk | 27.57 Lk |
| Total Debt | 10.39 Cr | 19.63 Cr | 19.17 Cr | 15.74 Cr |
| Book Value | 290.35 | 0 | 303.56 | 312.39 |
| Adjusted Book Value | 290.35 | 293.73 | 303.56 | 312.39 |
STANDALONE BALANCE SHEET FOR PURITY FLEX PACK LTD
| YEAR | Mar 2021 | Mar 2022 | Mar 2023 | Mar 2024 |
|---|---|---|---|---|
| Share Capital | 1.07 Cr | 1.07 Cr | 1.07 Cr | 1.07 Cr |
| Equity - Authorised | 6 Cr | 6 Cr | 6 Cr | 6 Cr |
| Equity - Issued | 1.07 Cr | 1.07 Cr | 1.07 Cr | 1.07 Cr |
| Equity Paid Up | 1.07 Cr | 1.07 Cr | 1.07 Cr | 1.07 Cr |
| Face Value | 10 | 10 | 10 | 10 |
| Total Reserves | 30.09 Cr | 30.46 Cr | 31.51 Cr | 32.46 Cr |
| Capital Reserves | 48.45 Lk | 48.46 Lk | 48.45 Lk | 48.45 Lk |
| Profit & Loss Account Balance | 29.61 Cr | 29.97 Cr | 31.02 Cr | 31.97 Cr |
| General Reserves | 26,000 | 26,000 | 26,000 | 26,000 |
| Reserve excluding Revaluation Reserve | 30.09 Cr | 30.46 Cr | 31.51 Cr | 32.46 Cr |
| Shareholder's Funds | 31.17 Cr | 31.53 Cr | 32.58 Cr | 33.53 Cr |
| Secured Loans | 5.08 Cr | 13.44 Cr | 8.31 Cr | 5.4 Cr |
| Term Loans - Banks | 8.01 Cr | 16.98 Cr | 13.11 Cr | 10.04 Cr |
| Deferred Tax Assets / Liabilities | 2.98 Cr | 3.25 Cr | 3.44 Cr | 3.53 Cr |
| Deferred Tax Assets | 0 | 3.84 Lk | 5.67 Lk | 8.55 Lk |
| Deferred Tax Liability | 2.98 Cr | 3.29 Cr | 3.5 Cr | 3.61 Cr |
| Other Long Term Liabilities | 0 | 1.73 Cr | 1.76 Cr | 1.79 Cr |
| Long Term Provisions | 0 | 0 | 0 | 19.79 Lk |
| Total Non-Current Liabilities | 8.06 Cr | 18.42 Cr | 13.52 Cr | 10.92 Cr |
| Trade Payables | 11.88 Cr | 23.72 Cr | 17.46 Cr | 19.59 Cr |
| Sundry Creditors | 11.88 Cr | 23.72 Cr | 17.46 Cr | 19.59 Cr |
| Other Current Liabilities | 4.07 Cr | 4.26 Cr | 6.1 Cr | 5.97 Cr |
| Advances received from customers | 23.07 Lk | 32.01 Lk | 22.21 Lk | 25.92 Lk |
| Short Term Borrowings | 2.38 Cr | 2.65 Cr | 6.06 Cr | 5.69 Cr |
| Secured ST Loans repayable on Demands | 1.59 Cr | 2.22 Cr | 5.62 Cr | 5.26 Cr |
| Working Capital Loans- Sec | 1.59 Cr | 2.22 Cr | 5.62 Cr | 5.26 Cr |
| Short Term Provisions | 2.75 Cr | 59.02 Lk | 0 | 0 |
| Provision for Tax | 2.72 Cr | 0 | 0 | 0 |
| Provision for post retirement benefits | 0 | 53.41 Lk | 0 | 0 |
| Total Current Liabilities | 21.08 Cr | 31.22 Cr | 29.62 Cr | 31.26 Cr |
| Total Liabilities | 60.31 Cr | 81.17 Cr | 75.73 Cr | 75.71 Cr |
| Gross Block | 47.6 Cr | 63.93 Cr | 65.82 Cr | 68.79 Cr |
| Less: Accumulated Depreciation | 16.28 Cr | 19.41 Cr | 23.08 Cr | 26.59 Cr |
| Net Block | 31.32 Cr | 44.51 Cr | 42.74 Cr | 42.2 Cr |
| Capital Work in Progress | 0 | 15.14 Lk | 5.13 Lk | 0 |
| Non Current Investments | 84.83 Lk | 95.12 Lk | 96.25 Lk | 97.78 Lk |
| Long Term Investment | 84.83 Lk | 95.12 Lk | 96.25 Lk | 97.78 Lk |
| Quoted | 83.53 Lk | 93.82 Lk | 94.95 Lk | 0 |
| Unquoted | 1.3 Lk | 1.3 Lk | 1.3 Lk | 97.78 Lk |
| Long Term Loans & Advances | 48.14 Lk | 67.16 Lk | 66.02 Lk | 1.22 Cr |
| Other Non Current Assets | 5.36 Lk | 0 | 9.21 Lk | 9.58 Lk |
| Total Non-Current Assets | 32.71 Cr | 46.29 Cr | 44.51 Cr | 44.49 Cr |
| Unquoted | 1.3 Lk | 1.3 Lk | 1.3 Lk | 97.78 Lk |
| Inventories | 13.13 Cr | 16.99 Cr | 14.95 Cr | 14.24 Cr |
| Raw Materials | 8.12 Cr | 10.89 Cr | 7.35 Cr | 6.52 Cr |
| Work-in Progress | 2.64 Cr | 2.76 Cr | 2.41 Cr | 2.54 Cr |
| Finished Goods | 1 Cr | 1.36 Cr | 2.69 Cr | 2.49 Cr |
| Packing Materials | 14.16 Lk | 9.23 Lk | 6.8 Lk | 8.62 Lk |
| Stores and Spare | 1.22 Cr | 1.88 Cr | 2.43 Cr | 2.6 Cr |
| Sundry Debtors | 9.61 Cr | 15.09 Cr | 12.79 Cr | 14.95 Cr |
| Debtors more than Six months | 0 | 99.48 Lk | 83.75 Lk | 85.39 Lk |
| Debtors Others | 9.61 Cr | 14.09 Cr | 11.98 Cr | 14.11 Cr |
| Cash and Bank | 88.31 Lk | 1.58 Cr | 2.08 Cr | 1.7 Cr |
| Cash in hand | 6.5 Lk | 6.52 Lk | 6.63 Lk | 7.43 Lk |
| Balances at Bank | 81.81 Lk | 1.52 Cr | 2.01 Cr | 1.63 Cr |
| Other Current Assets | 27.98 Lk | 15.57 Lk | 38.54 Lk | 12.28 Lk |
| Prepaid Expenses | 27.98 Lk | 15.57 Lk | 38.54 Lk | 12.28 Lk |
| Short Term Loans and Advances | 3.7 Cr | 1.07 Cr | 1.01 Cr | 20.17 Lk |
| Advances recoverable in cash or in kind | 99.94 Lk | 55.76 Lk | 49.1 Lk | 18.91 Lk |
| Advance income tax and TDS | 2.7 Cr | 0 | 47.29 Lk | 0 |
| Total Current Assets | 27.6 Cr | 34.88 Cr | 31.22 Cr | 31.21 Cr |
| Net Current Assets (Including Current Investments) | 6.52 Cr | 3.67 Cr | 1.59 Cr | -4.28 Lk |
| Total Assets | 60.31 Cr | 81.17 Cr | 75.73 Cr | 75.71 Cr |
| Contingent Liabilities | 21.2 Lk | 24.94 Lk | 24.94 Lk | 27.57 Lk |
| Total Debt | 10.39 Cr | 19.63 Cr | 19.17 Cr | 15.74 Cr |
| Book Value | 290.35 | 0 | 303.56 | 312.39 |
| Adjusted Book Value | 290.35 | 293.73 | 303.56 | 312.39 |
FINANCIAL RATIOS (CONSOLIDATED) FOR PURITY FLEX PACK LTD
| YEAR | Mar 2021 | Mar 2022 | Mar 2023 | Mar 2024 |
|---|---|---|---|---|
| Operational & Financial Ratios | ||||
| Earnings Per Share (Rs) | 82.34 | 3.24 | 9.01 | 8.71 |
| CEPS(Rs) | 106.27 | 32.47 | 43.17 | 43.97 |
| Book NAV/Share(Rs) | 290.35 | 293.73 | 303.56 | 312.39 |
| Tax Rate(%) | 19.32 | 43.57 | 19.62 | 23.13 |
| Margin Ratios | ||||
| Core EBITDA Margin(%) | 15.14 | 4.79 | 6.1 | 6.36 |
| EBIT Margin(%) | 12.84 | 1.98 | 3.01 | 3.17 |
| Pre Tax Margin(%) | 11.72 | 0.59 | 1.04 | 1.13 |
| PAT Margin (%) | 9.46 | 0.33 | 0.84 | 0.87 |
| Cash Profit Margin (%) | 12.21 | 3.35 | 4.01 | 4.38 |
| Performance Ratios | ||||
| ROA(%) | 15.82 | 0.49 | 1.23 | 1.23 |
| ROE(%) | 33.07 | 1.11 | 3.02 | 2.83 |
| ROCE(%) | 31.01 | 4.45 | 6.77 | 6.76 |
| Asset Turnover(x) | 1.67 | 1.47 | 1.47 | 1.42 |
| Sales/Fixed Asset(x) | 2.02 | 1.87 | 1.78 | 1.6 |
| Working Capital/Sales(x) | 14.33 | 28.39 | 72.54 | -2516.66 |
| Efficiency Ratios | ||||
| Fixed Capital/Sales(x) | 0.5 | 0.54 | 0.56 | 0.62 |
| Receivable days | 39.12 | 43.31 | 44.01 | 47 |
| Inventory Days | 43.54 | 52.82 | 50.43 | 49.45 |
| Payable days | 65.27 | 82.51 | 88.48 | 89.13 |
| Valuation Parameters | ||||
| EV/Net Sales(x) | 0.11 | 0.18 | 0.16 | 0.14 |
| EV/Core EBITDA(x) | 0.73 | 3.68 | 2.54 | 2.1 |
| EV/EBIT(x) | 0.88 | 9.27 | 5.22 | 4.42 |
| EV/CE(x) | 0.18 | 0.24 | 0.24 | 0.31 |
| Growth Ratio | ||||
| Net Sales Growth(%) | 30.61 | 11.38 | 11.08 | -6.81 |
| Core EBITDA Growth(%) | 79.44 | -64.31 | 37.52 | 0.72 |
| EBIT Growth(%) | 110.93 | -82.82 | 68.91 | -1.92 |
| PAT Growth(%) | 250.11 | -96.06 | 178 | -3.3 |
| EPS Growth(%) | 250.11 | -96.06 | 178 | -3.3 |
| Financial Stability Ratios | ||||
| Total Debt/Equity(x) | 0.33 | 0.62 | 0.59 | 0.47 |
| Current Ratio(x) | 1.31 | 1.12 | 1.05 | 1 |
| Quick Ratio(x) | 0.69 | 0.57 | 0.55 | 0.54 |
| Interest Cover(x) | 11.53 | 1.43 | 1.53 | 1.55 |
FINANCIAL RATIOS (STANDALONE) FOR PURITY FLEX PACK LTD
| YEAR | Mar 2021 | Mar 2022 | Mar 2023 | Mar 2024 |
|---|---|---|---|---|
| Operational & Financial Ratios | ||||
| Earnings Per Share (Rs) | 82.34 | 3.24 | 9.01 | 8.71 |
| CEPS(Rs) | 106.27 | 32.47 | 43.17 | 43.97 |
| Book NAV/Share(Rs) | 290.35 | 293.73 | 303.56 | 312.39 |
| Tax Rate(%) | 19.32 | 43.57 | 19.62 | 23.13 |
| Margin Ratios | ||||
| Core EBITDA Margin(%) | 15.14 | 4.79 | 6.1 | 6.36 |
| EBIT Margin(%) | 12.84 | 1.98 | 3.01 | 3.17 |
| Pre Tax Margin(%) | 11.72 | 0.59 | 1.04 | 1.13 |
| PAT Margin (%) | 9.46 | 0.33 | 0.84 | 0.87 |
| Cash Profit Margin (%) | 12.21 | 3.35 | 4.01 | 4.38 |
| Performance Ratios | ||||
| ROA(%) | 15.82 | 0.49 | 1.23 | 1.23 |
| ROE(%) | 33.07 | 1.11 | 3.02 | 2.83 |
| ROCE(%) | 31.01 | 4.45 | 6.77 | 6.76 |
| Asset Turnover(x) | 1.67 | 1.47 | 1.47 | 1.42 |
| Sales/Fixed Asset(x) | 2.02 | 1.87 | 1.78 | 1.6 |
| Working Capital/Sales(x) | 14.33 | 28.39 | 72.54 | -2516.66 |
| Efficiency Ratios | ||||
| Fixed Capital/Sales(x) | 0.5 | 0.54 | 0.56 | 0.62 |
| Receivable days | 39.12 | 43.31 | 44.01 | 47 |
| Inventory Days | 43.54 | 52.82 | 50.43 | 49.45 |
| Payable days | 65.27 | 82.51 | 88.48 | 89.13 |
| Valuation Parameters | ||||
| EV/Net Sales(x) | 0.11 | 0.18 | 0.16 | 0.14 |
| EV/Core EBITDA(x) | 0.73 | 3.68 | 2.54 | 2.1 |
| EV/EBIT(x) | 0.88 | 9.27 | 5.22 | 4.42 |
| EV/CE(x) | 0.18 | 0.24 | 0.24 | 0.31 |
| Growth Ratio | ||||
| Net Sales Growth(%) | 30.61 | 11.38 | 11.08 | -6.81 |
| Core EBITDA Growth(%) | 79.44 | -64.31 | 37.52 | 0.72 |
| EBIT Growth(%) | 110.93 | -82.82 | 68.91 | -1.92 |
| PAT Growth(%) | 250.11 | -96.06 | 178 | -3.3 |
| EPS Growth(%) | 250.11 | -96.06 | 178 | -3.3 |
| Financial Stability Ratios | ||||
| Total Debt/Equity(x) | 0.33 | 0.62 | 0.59 | 0.47 |
| Current Ratio(x) | 1.31 | 1.12 | 1.05 | 1 |
| Quick Ratio(x) | 0.69 | 0.57 | 0.55 | 0.54 |
| Interest Cover(x) | 11.53 | 1.43 | 1.53 | 1.55 |
SHARE HOLDING PATTERN FOR PURITY FLEX PACK LTD
| Date | Jun 2022 | Sep 2022 | Dec 2022 | Mar 2023 | Jun 2023 | Sep 2023 | Dec 2023 | Mar 2024 | Jun 2024 | Sep 2024 |
|---|---|---|---|---|---|---|---|---|---|---|
| Promoters % | 50.39 | 50.39 | 50.39 | 50.39 | 50.39 | 50.39 | 50.46 | 50.46 | 50.46 | 50.46 |
| FII % | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 |
| DII % | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 |
| Public % | 49.56 | 49.56 | 49.56 | 49.56 | 49.56 | 49.56 | 49.49 | 49.49 | 49.49 | 49.49 |
PEER COMPARISON FOR PURITY FLEX PACK LTD
CORPORATE ACTIONS FOR PURITY FLEX
| Exchange Date | Purpose | Book Closure Dates |
|---|---|---|
| BSE 11-Oct-2024 | Board Meeting - Quarterly Results | 24-Oct-2024 |
| BSE 02-Aug-2024 | Board Meeting - Quarterly Results | 08-Aug-2024 |
| BSE 27-May-2024 | Book Closure - A.G.M. | 19-Aug-2024 24-Aug-2024 |
| BSE 27-May-2024 | AGM - A.G.M. | 24-Aug-2024 24-Aug-2024 |
| BSE 14-May-2024 | Board Meeting - Audited Results | 27-May-2024 |
| BSE 07-Feb-2024 | Board Meeting - Quarterly Results | 13-Feb-2024 |
| BSE 26-Oct-2023 | Board Meeting - Quarterly Results | 04-Nov-2023 |
| BSE 04-Aug-2023 | Board Meeting - Quarterly Results | 10-Aug-2023 |
| BSE 26-Jul-2023 | Book Closure - A.G.M. | 27-Aug-2023 02-Sep-2023 |
| BSE 26-Jul-2023 | AGM - A.G.M. | 02-Sep-2023 02-Sep-2023 |
| BSE 20-Jul-2023 | Board Meeting - Inter alia, to consider and approve:- 1. To fix day, time and date of 35th Annual General Meeting (?AGM?) for the Financial Year 2022-23. 2. To fix date of closure of register of members and transfer books for the purpose of 35th AGM. 3. To approve the Board?s report of the Company. 4. To appoint scrutinizer for the purpose of 35th AGM. 5. To appoint Secretarial Auditor for the Financial Year 2023... | 26-Jul-2023 |
| BSE 19-May-2023 | Board Meeting - Audited Results | 29-May-2023 |
| BSE 06-Feb-2023 | Board Meeting - Quarterly Results | 11-Feb-2023 |
| BSE 04-Nov-2022 | Board Meeting - Quarterly Results | 11-Nov-2022 |
| BSE 05-Aug-2022 | Board Meeting - Quarterly Results | 10-Aug-2022 |
| BSE 30-May-2022 | Book Closure - A.G.M. | 19-Jun-2022 25-Jun-2022 |
| BSE 30-May-2022 | AGM - A.G.M. | 25-Jun-2022 25-Jun-2022 |
| BSE 23-May-2022 | Board Meeting - Audited Results & A.G.M. | 28-May-2022 |
| BSE 21-Mar-2022 | Board Meeting - Inter alia, to consider and approve : 1. Appointment of Mr. Pratik Shah (DIN: 03337910) as an Additional Non Executive - Independent Director. 2. Appointment of Mr. Forum Lodaya (DIN: 08517985) as an Additional Non Executive - Independent Director. 3. Appointment of Mr. Aalok Davda (DIN: 03178800) as an Additional Non Executive - Independent Director. 4. Resignation of Mr. Darshak Sheth, Mr. Niles... | 26-Mar-2022 |
| BSE 07-Feb-2022 | Board Meeting - Quarterly Results | 12-Feb-2022 |
| BSE 01-Nov-2021 | Board Meeting - Quarterly Results | 12-Nov-2021 |
CORPORATE ANNOUNCEMENTS FOR PURITY FLEX
| Exchange Date | Category File | Description |
|---|---|---|
| BSE 26-Oct-2024 | General Announcements FILE | Announcement under Regulation 30 (LODR)-Newspaper Publication enclosed newspaper publication |
| BSE 24-Oct-2024 | Outcome FILE | Unaudited Financial Results 30.09.2024 Enclosed |
| BSE 24-Oct-2024 | Outcome FILE | Board Meeting Outcome for Outcome Of Board Meeting Enclosed outcome of Board meeting |
| BSE 11-Oct-2024 | Intimation FILE | Board Meeting Intimation for Approval Of Half Yearly Financial Results 30.09.2024 PURITY FLEX PACK LTD.has informed BSE that the meeting of the Board of Directors of the Company is scheduled on 24/10/2024 inter alia to consider and approve Unaudited Financial Results of the Company for the quarter and half year ended 30th September 2024 and any other matter with the permission of chair. |
| BSE 05-Oct-2024 | General Announcements FILE | Compliances-Certificate under Reg. 74 (5) of SEBI (DP) Regulations 2018 enclosed |
| BSE 05-Oct-2024 | General Announcements FILE | Intimation Under 10(7) Of SAST Regulations Enclosed disclosure under Reg 10(7) |
| BSE 27-Sep-2024 | Intimation FILE | Closure of Trading Window enclosed |
| BSE 17-Sep-2024 | General FILE | Disclosures under Reg. 10(6) of SEBI (SAST) Regulations 2011 The Exchange has received the disclosure under Regulation 10(6) of SEBI (Substantial Acquisition of Shares & Takeovers) Regulations 2011 for Anilkumar Bhanubhai Patel |
| BSE 17-Sep-2024 | General FILE | Disclosures under Reg. 29(2) of SEBI (SAST) Regulations 2011 The Exchange has received the disclosure under Regulation 29(2) of SEBI (Substantial Acquisition of Shares & Takeovers) Regulations 2011 for Kunal Anilkumar Patel & Others |
| BSE 16-Sep-2024 | General Announcements FILE | Disclosures Under Reg. 10(6) In Respect Of Acquisition Under Reg. 10(1)(A) Of SEBI (SAST) Regulations 2011 Enclosed disclosures |
| BSE 16-Sep-2024 | General Announcements FILE | Intimation Of Inter-Se- Transfer By Way Of ''Gift'' Under SAST Regulations Enclosed the disclosures received from Promoters |
| BSE 24-Aug-2024 | Outcome FILE | Shareholder Meeting / Postal Ballot-Scrutinizer''s Report Enclosed combined results |
| BSE 24-Aug-2024 | Outcome FILE | Shareholder Meeting / Postal Ballot-Outcome of AGM Enclosed outcome of AGM |
| BSE 17-Aug-2024 | General Announcements FILE | Revised Disclosures Under Reg. 10(5) In Respect Of Acquisition Under Reg. 10(1)(A) Of SEBI (SAST) Regulations 2011 revised disclosure enclosed |
| BSE 13-Aug-2024 | General FILE | Disclosures under Reg. 10(5) in respect of acquisition under Reg. 10(1)(a) of SEBI (SAST) Regulations 2011 The Exchange has received the disclosure under Regulation 10(5) in respect of acquisition under Regulation 10(1)(a) of SEBI (Substantial Acquisition of Shares & Takeovers) Regulations 2011 for Anilkumar Bhanubhai Patel |
| BSE 12-Aug-2024 | General Announcements FILE | Disclosures Under Reg. 10(5) In Respect Of Acquisition Under Reg. 10(1)(A) Of SEBI (SAST) Regulations 2011 Disclosure under Reg 10(5) of SEBI (SAST) Regulations from Mr. Anil Patel is enclosed |
| BSE 12-Aug-2024 | General Announcements FILE | Announcement under Regulation 30 (LODR)-Newspaper Publication enclosed publication |
| BSE 08-Aug-2024 | Outcome FILE | Unaudited Financial Results For The Quarter Ended 30Th June 2024 Enclosed UFR 30.06.2024 |
| BSE 08-Aug-2024 | Outcome FILE | Board Meeting Outcome for Outcome Of Board Meeting Dated 08.08.2024 Pursuant to the provisions of the Regulation 33 of SEBI (Listing Obligations and Disclosure Requirements) Regulations 2015 the Board of Directors of the Company at its meeting held today i.e. 8th August 2024 have inter alia considered and approved the Unaudited Financial Results of the Company for the quarter ended 30th June 2024. Copy of the Limited Review Report from the Statutory Auditors of the Company - M/s. Shah Mehta and Bakshi Chartered Accountants is enclosed herewith.The meeting of the Board of Directors commenced at 11:00 a.m. and concluded at 01:15 p.m.This is for your kind information and records. |
| BSE 02-Aug-2024 | General Announcements FILE | Announcement under Regulation 30 (LODR)-Newspaper Publication Newspaper Ad enclosed |
| BSE 02-Aug-2024 | Intimation FILE | Board Meeting Intimation for Approval Of UFR 30.06.2024 PURITY FLEX PACK LTD.has informed BSE that the meeting of the Board of Directors of the Company is scheduled on 08/08/2024 inter alia to consider and approve Enclosed notice of Board meeting |
| BSE 31-Jul-2024 | General Announcements FILE | Reg. 34 (1) Annual Report. ENCLOSED ANNUAL REPORT 2023-24 |
| BSE 31-Jul-2024 | Intimation FILE | Shareholders Meeting On Saturday 24Th August 2024 Notice of AGM enclosed |
| BSE 31-Jul-2024 | Intimation FILE | Intimation Of Book Closure For The Purpose Of AGM enclosed |
| BSE 31-Jul-2024 | Intimation FILE | Intimation Of 36Th Annual General Meeting Of The Company Book Closure And Cut-Off Date For E-Voting enclosed |
| BSE 04-Jul-2024 | General Announcements FILE | Compliances-Certificate under Reg. 74 (5) of SEBI (DP) Regulations 2018 Enclosed |
| BSE 27-Jun-2024 | Intimation FILE | Closure of Trading Window enclosed |
| BSE 28-May-2024 | General Announcements FILE | Announcement under Regulation 30 (LODR)-Newspaper Publication Newspaper publication enclosed |
| BSE 27-May-2024 | Intimation FILE | Book Closure From 19Th August 2024 To 24Th August 2024 For The Purpose Of AGM Enclosed the details. |
| BSE 27-May-2024 | General Announcements FILE | Intimation Of AGM - Saturday 24Th August 2024 At 11:00 A.M. Through VC/OAVM. The AGM is scheduled to be held on Saturday 24th August 2024 at 11:00 a.m. through VC/OAVM. The notice of the AGM will be intimated to the exchange in due course. |
INSIDER TRADING FOR PURITY FLEX
| Exchange Dates | Activity | Qty & Price (%) | Person / Organisation |
|---|---|---|---|
| BSE 13-Sep-2024 16-Sep-2024 | Buy Gift | 135,788 @ 0.00 (12.65 %) | Anilkumar Bhanubhai Patel |
| BSE 13-Sep-2024 16-Sep-2024 | Sell Gift | 2,765 @ 0.00 (0.26 %) | Ankit Rajendrabhai Amin |
| BSE 13-Sep-2024 16-Sep-2024 | Sell Gift | 72,857 @ 0.00 (6.79 %) | Kokila Anilkumar Patel |
| BSE 13-Sep-2024 16-Sep-2024 | Sell Gift | 53,800 @ 0.00 (5.02 %) | Kunal Anilkumar Patel |
| BSE 13-Sep-2024 16-Sep-2024 | Sell Gift | 6,366 @ 0.00 (0.59 %) | Vaishali Ankit Amin |
| BSE 04-Dec-2023 07-Dec-2023 | Buy Off Market | 675 @ 0.00 (0.07 %) | KUNAL ANILKUMAR PATEL |
BULK BLOCK DEALS FOR PURITY FLEX PACK LTD
| Exchange Dates | Activity | Qty & Price (%) | Person / Organisation |
|---|---|---|---|
| No Bulk Block details found | |||
DIVIDEND BY PURITY FLEX PACK LTD
No dividend details found
SPLIT / BONUS BY PURITY FLEX PACK LTD
No Split / Bonus details found
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