♥
ISIN : INE614R01014
BSE : 505685
Face Value : 10
Industry : Trading
EPS : 65.73
EPS (TTM) : 73.03
Price to Earning (P/E) : 0.36
Book Value : 208.55
Price to Bookvalue (P/B) : 0.11
Dividend Yield : 104 %
Return on Equity (ROE) : 33.99 %
Return on Capital Employed (ROCE) : 45.56 %
TAPARIA TOOLS LTD
ISIN : INE614R01014
BSE : 505685
Face Value : 10
Industry : Trading
EPS : 65.73
EPS (TTM) : 73.03
Price to Earning (P/E) : 0.36
Book Value : 208.55
Price to Bookvalue (P/B) : 0.11
Dividend Yield : 104 %
Return on Equity (ROE) : 33.99 %
Return on Capital Employed (ROCE) : 45.56 %
TAPARIA TOOLS share price(30-Mar-2026) | |
|---|---|
| Open / Close | 23.94 - 23.94 0 % |
| Low / High | 23.94 - 23.94 0 % |
| Trade Volume | 3 |
| 52 Week Low / High | 10.5 - 28.04 167 % |
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CONSOLIDATED QUARTERLY RESULT FOR TAPARIA TOOLS LTD
| Date End | Mar 2022 | Jun 2022 | Sep 2022 | Dec 2022 | Mar 2023 | Jun 2023 | Sep 2023 | Dec 2023 | Mar 2024 | Jun 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 | 1831.4 | 1810.5 | 1952.39 | 1933.18 | 1948.79 | 1913.68 | 2090.63 | 2085.84 | 2195.17 | 2111.79 |
| Total Income | 1836.99 | 1813.7 | 1959.92 | 1947.04 | 1968.09 | 1931.05 | 2107.11 | 2111.15 | 2227.38 | 2139.08 |
| Total Expenditure | 1560.77 | 1571.24 | 1726.01 | 1683.6 | 1722.42 | 1672.04 | 1779.62 | 1730.44 | 1843.43 | 1731.71 |
| Other Income | 5.59 | 3.2 | 7.53 | 13.86 | 19.31 | 17.37 | 16.47 | 25.31 | 32.21 | 27.29 |
| Operating Profit | 276.22 | 242.46 | 233.91 | 263.44 | 245.67 | 259.01 | 327.49 | 380.71 | 383.95 | 407.37 |
| Interest | 0.22 | 0.1 | 0.4 | 0.99 | 0.35 | 0.28 | 0.41 | 0.36 | 1.86 | 0.64 |
| PBDT | 276 | 242.36 | 233.51 | 262.45 | 245.32 | 258.73 | 327.08 | 380.35 | 382.09 | 406.73 |
| Depreciation | 4.19 | 4.12 | 3 | 5.65 | 3.63 | 3.43 | 3.45 | 3.59 | 3.5 | 5.49 |
| Profit Before Tax | 271.81 | 238.24 | 230.51 | 256.8 | 241.69 | 255.3 | 323.63 | 376.76 | 378.59 | 401.24 |
| Tax | 72.28 | 59.87 | 56.98 | 63.85 | 63.33 | 65.44 | 87.13 | 94.62 | 89.44 | 100.58 |
| Profit After Tax | 199.53 | 178.37 | 173.53 | 192.95 | 178.36 | 189.86 | 236.5 | 282.14 | 289.15 | 300.66 |
| Net Profit | 199.53 | 178.37 | 173.53 | 192.95 | 178.36 | 189.86 | 236.5 | 282.14 | 289.15 | 300.66 |
| Equity Capital | 30.36 | 30.36 | 30.36 | 30.36 | 30.36 | 30.36 | 151.79 | 151.79 | 151.79 | 151.79 |
| Face Value (IN RS) | 10 | 10 | 10 | 10 | 10 | 10 | 10 | 10 | 10 | 10 |
| Calculated EPS | 65.72 | 58.75 | 57.16 | 63.55 | 58.75 | 62.54 | 15.58 | 18.59 | 19.05 | 19.81 |
| Diluted Eps After Extraordinary Items | 65.72 | 58.76 | 57.16 | 63.56 | 58.75 | 62.55 | 15.58 | 18.59 | 19.05 | 19.81 |
| Diluted Eps Before Extraordinary Items | 65.72 | 58.76 | 57.16 | 63.56 | 58.75 | 62.55 | 15.58 | 18.59 | 19.05 | 19.81 |
STANDALONE QUARTERLY RESULT FOR TAPARIA TOOLS LTD
| Date End | Mar 2022 | Jun 2022 | Sep 2022 | Dec 2022 | Mar 2023 | Jun 2023 | Sep 2023 | Dec 2023 | Mar 2024 | Jun 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 | 1831.4 | 1810.5 | 1952.39 | 1933.18 | 1948.79 | 1913.68 | 2090.63 | 2085.84 | 2195.17 | 2111.79 |
| Total Income | 1836.99 | 1813.7 | 1959.92 | 1947.04 | 1968.09 | 1931.05 | 2107.11 | 2111.15 | 2227.38 | 2139.08 |
| Total Expenditure | 1560.77 | 1571.24 | 1726.01 | 1683.6 | 1722.42 | 1672.04 | 1779.62 | 1730.44 | 1843.43 | 1731.71 |
| Other Income | 5.59 | 3.2 | 7.53 | 13.86 | 19.31 | 17.37 | 16.47 | 25.31 | 32.21 | 27.29 |
| Operating Profit | 276.22 | 242.46 | 233.91 | 263.44 | 245.67 | 259.01 | 327.49 | 380.71 | 383.95 | 407.37 |
| Interest | 0.22 | 0.1 | 0.4 | 0.99 | 0.35 | 0.28 | 0.41 | 0.36 | 1.86 | 0.64 |
| PBDT | 276 | 242.36 | 233.51 | 262.45 | 245.32 | 258.73 | 327.08 | 380.35 | 382.09 | 406.73 |
| Depreciation | 4.19 | 4.12 | 3 | 5.65 | 3.63 | 3.43 | 3.45 | 3.59 | 3.5 | 5.49 |
| Profit Before Tax | 271.81 | 238.24 | 230.51 | 256.8 | 241.69 | 255.3 | 323.63 | 376.76 | 378.59 | 401.24 |
| Tax | 72.28 | 59.87 | 56.98 | 63.85 | 63.33 | 65.44 | 87.13 | 94.62 | 89.44 | 100.58 |
| Profit After Tax | 199.53 | 178.37 | 173.53 | 192.95 | 178.36 | 189.86 | 236.5 | 282.14 | 289.15 | 300.66 |
| Net Profit | 199.53 | 178.37 | 173.53 | 192.95 | 178.36 | 189.86 | 236.5 | 282.14 | 289.15 | 300.66 |
| Equity Capital | 30.36 | 30.36 | 30.36 | 30.36 | 30.36 | 30.36 | 151.79 | 151.79 | 151.79 | 151.79 |
| Face Value (IN RS) | 10 | 10 | 10 | 10 | 10 | 10 | 10 | 10 | 10 | 10 |
| Calculated EPS | 65.72 | 58.75 | 57.16 | 63.55 | 58.75 | 62.54 | 15.58 | 18.59 | 19.05 | 19.81 |
| Diluted Eps After Extraordinary Items | 65.72 | 58.76 | 57.16 | 63.56 | 58.75 | 62.55 | 15.58 | 18.59 | 19.05 | 19.81 |
| Diluted Eps Before Extraordinary Items | 65.72 | 58.76 | 57.16 | 63.56 | 58.75 | 62.55 | 15.58 | 18.59 | 19.05 | 19.81 |
CONSOLIDATED ANNUAL RESULT FOR TAPARIA TOOLS LTD
| Date End | Mar 2022 | Mar 2023 | Mar 2024 |
|---|---|---|---|
| No of months | 12 months | 12 months | 12 months |
| Net Sales | 6676.18 | 7644.86 | 8285.33 |
| Total Income | 6694.98 | 7688.75 | 8376.69 |
| Total Expenditure | 5802.33 | 6703.27 | 7025.52 |
| Other Income | 18.81 | 43.9 | 91.36 |
| Operating Profit | 892.65 | 985.48 | 1351.17 |
| Interest | 1.13 | 1.84 | 2.91 |
| PBDT | 891.52 | 983.64 | 1348.26 |
| Depreciation | 17.63 | 16.41 | 13.97 |
| Profit Before Tax | 873.89 | 967.23 | 1334.29 |
| Tax | 222.98 | 244.04 | 336.62 |
| Profit After Tax | 650.91 | 723.19 | 997.67 |
| Net Profit | 650.91 | 723.19 | 997.67 |
| Equity Capital | 30.36 | 30.36 | 151.79 |
| Face Value (IN RS) | 10 | 10 | 10 |
| Reserves | 3013.82 | ||
| Calculated EPS | 214.4 | 238.21 | 65.73 |
| Diluted Eps After Extraordinary Items | 214.41 | 238.22 | 65.73 |
| Diluted Eps Before Extraordinary Items | 214.41 | 238.22 | 65.73 |
STANDALONE ANNUAL RESULT FOR TAPARIA TOOLS LTD
| Date End | Mar 2022 | Mar 2023 | Mar 2024 |
|---|---|---|---|
| No of months | 12 months | 12 months | 12 months |
| Net Sales | 6676.18 | 7644.86 | 8285.33 |
| Total Income | 6694.98 | 7688.75 | 8376.69 |
| Total Expenditure | 5802.33 | 6703.27 | 7025.52 |
| Other Income | 18.81 | 43.9 | 91.36 |
| Operating Profit | 892.65 | 985.48 | 1351.17 |
| Interest | 1.13 | 1.84 | 2.91 |
| PBDT | 891.52 | 983.64 | 1348.26 |
| Depreciation | 17.63 | 16.41 | 13.97 |
| Profit Before Tax | 873.89 | 967.23 | 1334.29 |
| Tax | 222.98 | 244.04 | 336.62 |
| Profit After Tax | 650.91 | 723.19 | 997.67 |
| Net Profit | 650.91 | 723.19 | 997.67 |
| Equity Capital | 30.36 | 30.36 | 151.79 |
| Face Value (IN RS) | 10 | 10 | 10 |
| Reserves | 3013.82 | ||
| Calculated EPS | 214.4 | 238.21 | 65.73 |
| Diluted Eps After Extraordinary Items | 214.41 | 238.22 | 65.73 |
| Diluted Eps Before Extraordinary Items | 214.41 | 238.22 | 65.73 |
CONSOLIDATED PROFIT / LOSS FOR TAPARIA TOOLS LTD
| YEAR | Mar 2021 | Mar 2022 | Mar 2023 | Mar 2024 |
|---|---|---|---|---|
| No of Months | 12 months | 12 months | 12 months | 12 months |
| Gross Sales | 536.05 Cr | 690.05 Cr | 792.63 Cr | 858.74 Cr |
| Sales | 533.95 Cr | 671.97 Cr | 772.27 Cr | 846.78 Cr |
| Net Sales | 536.05 Cr | 667.62 Cr | 764.49 Cr | 828.53 Cr |
| Increase/Decrease in Stock | 2.93 Cr | -55.77 Cr | 16.87 Cr | 34.94 Cr |
| Raw Material Consumed | 333.05 Cr | 465.02 Cr | 461.35 Cr | 451.48 Cr |
| Opening Raw Materials | 9.1 Cr | 11.42 Cr | 11.33 Cr | 12.82 Cr |
| Purchases Raw Materials | 28.24 Cr | 42.2 Cr | 48.13 Cr | 36 Cr |
| Closing Raw Materials | 11.42 Cr | 11.33 Cr | 12.82 Cr | 7.28 Cr |
| Other Direct Purchases / Brought in cost | 307.13 Cr | 422.73 Cr | 414.71 Cr | 409.94 Cr |
| Power & Fuel Cost | 6.67 Cr | 8.83 Cr | 11.56 Cr | 10.78 Cr |
| Electricity & Power | 6.58 Cr | 8.74 Cr | 11.48 Cr | 10.69 Cr |
| Employee Cost | 29.1 Cr | 31.53 Cr | 36.84 Cr | 39.7 Cr |
| Salaries, Wages & Bonus | 26.39 Cr | 29.33 Cr | 33.77 Cr | 36.69 Cr |
| Contributions to EPF & Pension Funds | 1.31 Cr | 1.27 Cr | 2.12 Cr | 1.69 Cr |
| Workmen and Staff Welfare Expenses | 80.77 Lk | 93.16 Lk | 94.48 Lk | 1.33 Cr |
| Other Manufacturing Expenses | 35.85 Cr | 51.54 Cr | 54.78 Cr | 67.78 Cr |
| Processing Charges | 9.01 Cr | 12.82 Cr | 14.49 Cr | 15.26 Cr |
| Repairs and Maintenance | 1.38 Cr | 1.18 Cr | 1.44 Cr | 1.25 Cr |
| General and Administration Expenses | 3.25 Cr | 4.02 Cr | 3.88 Cr | 4.76 Cr |
| Rent , Rates & Taxes | 24.88 Lk | 64.52 Lk | 96.81 Lk | 1.18 Cr |
| Insurance | 48.31 Lk | 65.34 Lk | 44.86 Lk | 67.06 Lk |
| Printing and stationery | 38.84 Lk | 81.17 Lk | 57.21 Lk | 65.9 Lk |
| Professional and legal fees | 1.78 Cr | 1.45 Cr | 1.22 Cr | 1.61 Cr |
| Traveling and conveyance | 16.31 Lk | 20.7 Lk | 41.02 Lk | 42.01 Lk |
| Selling and Distribution Expenses | 58.37 Cr | 72.84 Cr | 82.72 Cr | 89.75 Cr |
| Advertisement & Sales Promotion | 14.08 Cr | 17.69 Cr | 19.89 Cr | 20.62 Cr |
| Sales Commissions & Incentives | 36.36 Cr | 45.49 Cr | 52.16 Cr | 57.3 Cr |
| Freight and Forwarding | 7.93 Cr | 9.66 Cr | 10.67 Cr | 11.83 Cr |
| Miscellaneous Expenses | 2.23 Cr | 2.22 Cr | 2.33 Cr | 3.36 Cr |
| Bad debts /advances written off | 5.56 Lk | 98,000 | 53,000 | 32.6 Lk |
| Loss on disposal of fixed assets(net) | 0 | 4.81 Lk | 2.2 Lk | 8.4 Lk |
| Total Expenditure | 471.44 Cr | 580.23 Cr | 670.33 Cr | 702.55 Cr |
| Other Income | 1.7 Cr | 1.88 Cr | 4.39 Cr | 9.14 Cr |
| Interest Received | 14.01 Lk | 2.19 Lk | 57.69 Lk | 8.42 Lk |
| Profit on sale of Fixed Assets | 3.6 Lk | 4.41 Lk | 72,000 | 5.67 Lk |
| Profits on sale of Investments | 94.79 Lk | 1.29 Cr | 1.96 Cr | 4.56 Cr |
| Foreign Exchange Gains | 25,000 | -1.08 Lk | 5.35 Lk | 2.84 Lk |
| Operating Profit | 66.31 Cr | 89.26 Cr | 98.55 Cr | 135.12 Cr |
| Interest | 20.05 Lk | 11.34 Lk | 18.42 Lk | 29.06 Lk |
| Bank Charges etc | 3.38 Lk | 11.22 Lk | 8.71 Lk | 13.01 Lk |
| PBDT | 66.11 Cr | 89.15 Cr | 98.36 Cr | 134.83 Cr |
| Depreciation | 1.67 Cr | 1.76 Cr | 1.64 Cr | 1.4 Cr |
| Profit Before Taxation & Exceptional Items | 64.44 Cr | 87.39 Cr | 96.72 Cr | 133.43 Cr |
| Profit Before Tax | 64.44 Cr | 87.39 Cr | 96.72 Cr | 133.43 Cr |
| Provision for Tax | 16.1 Cr | 22.3 Cr | 24.4 Cr | 33.66 Cr |
| Current Income Tax | 16.62 Cr | 22.17 Cr | 24.56 Cr | 32.56 Cr |
| Deferred Tax | 1.95 Lk | 13.21 Lk | 4.76 Lk | 1.1 Cr |
| Profit After Tax | 48.34 Cr | 65.09 Cr | 72.32 Cr | 99.77 Cr |
| Consolidated Net Profit | 48.34 Cr | 65.09 Cr | 72.32 Cr | 99.77 Cr |
| Profit Balance B/F | 141.6 Cr | 190.24 Cr | 212.84 Cr | 238.26 Cr |
| Appropriations | 189.94 Cr | 255.33 Cr | 285.16 Cr | 338.02 Cr |
| General Reserves | 0 | 6.56 Cr | 7.21 Cr | 10.03 Cr |
| Other Appropriation | -30.34 Lk | -50.1 Lk | 16.17 Cr | 35.38 Cr |
| Equity Dividend % | 0 | 1725 | 1550 | 400 |
| Earnings Per Share | 159.22 | 214.41 | 238.23 | 65.73 |
| Adjusted EPS | 159.22 | 214.41 | 238.23 | 65.73 |
STANDALONE PROFIT / LOSS FOR TAPARIA TOOLS LTD
| YEAR | Mar 2021 | Mar 2022 | Mar 2023 | Mar 2024 |
|---|---|---|---|---|
| No of Months | 12 months | 12 months | 12 months | 12 months |
| Gross Sales | 536.05 Cr | 690.05 Cr | 792.63 Cr | 858.74 Cr |
| Sales | 533.95 Cr | 671.97 Cr | 772.27 Cr | 846.78 Cr |
| Net Sales | 536.05 Cr | 667.62 Cr | 764.49 Cr | 828.53 Cr |
| Increase/Decrease in Stock | 2.93 Cr | -55.77 Cr | 16.87 Cr | 34.94 Cr |
| Raw Material Consumed | 333.05 Cr | 465.02 Cr | 461.35 Cr | 451.48 Cr |
| Opening Raw Materials | 9.1 Cr | 11.42 Cr | 11.33 Cr | 12.82 Cr |
| Purchases Raw Materials | 28.24 Cr | 42.2 Cr | 48.13 Cr | 36 Cr |
| Closing Raw Materials | 11.42 Cr | 11.33 Cr | 12.82 Cr | 7.28 Cr |
| Other Direct Purchases / Brought in cost | 307.13 Cr | 422.73 Cr | 414.71 Cr | 409.94 Cr |
| Power & Fuel Cost | 6.67 Cr | 8.83 Cr | 11.56 Cr | 10.78 Cr |
| Electricity & Power | 6.58 Cr | 8.74 Cr | 11.48 Cr | 10.69 Cr |
| Employee Cost | 29.1 Cr | 31.53 Cr | 36.84 Cr | 39.7 Cr |
| Salaries, Wages & Bonus | 26.39 Cr | 29.33 Cr | 33.77 Cr | 36.69 Cr |
| Contributions to EPF & Pension Funds | 1.31 Cr | 1.27 Cr | 2.12 Cr | 1.69 Cr |
| Workmen and Staff Welfare Expenses | 80.77 Lk | 93.16 Lk | 94.48 Lk | 1.33 Cr |
| Other Manufacturing Expenses | 35.85 Cr | 51.54 Cr | 54.78 Cr | 67.78 Cr |
| Processing Charges | 9.01 Cr | 12.82 Cr | 14.49 Cr | 15.26 Cr |
| Repairs and Maintenance | 1.38 Cr | 1.18 Cr | 1.44 Cr | 1.25 Cr |
| General and Administration Expenses | 3.25 Cr | 4.02 Cr | 3.88 Cr | 4.76 Cr |
| Rent , Rates & Taxes | 24.88 Lk | 64.52 Lk | 96.81 Lk | 1.18 Cr |
| Insurance | 48.31 Lk | 65.34 Lk | 44.86 Lk | 67.06 Lk |
| Printing and stationery | 38.84 Lk | 81.17 Lk | 57.21 Lk | 65.9 Lk |
| Professional and legal fees | 1.78 Cr | 1.45 Cr | 1.22 Cr | 1.61 Cr |
| Traveling and conveyance | 16.31 Lk | 20.7 Lk | 41.02 Lk | 42.01 Lk |
| Selling and Distribution Expenses | 58.37 Cr | 72.84 Cr | 82.72 Cr | 89.75 Cr |
| Advertisement & Sales Promotion | 14.08 Cr | 17.69 Cr | 19.89 Cr | 20.62 Cr |
| Sales Commissions & Incentives | 36.36 Cr | 45.49 Cr | 52.16 Cr | 57.3 Cr |
| Freight and Forwarding | 7.93 Cr | 9.66 Cr | 10.67 Cr | 11.83 Cr |
| Miscellaneous Expenses | 2.23 Cr | 2.22 Cr | 2.33 Cr | 3.36 Cr |
| Bad debts /advances written off | 5.56 Lk | 98,000 | 53,000 | 32.6 Lk |
| Loss on disposal of fixed assets(net) | 0 | 4.81 Lk | 2.2 Lk | 8.4 Lk |
| Total Expenditure | 471.44 Cr | 580.23 Cr | 670.33 Cr | 702.55 Cr |
| Other Income | 1.7 Cr | 1.88 Cr | 4.39 Cr | 9.14 Cr |
| Interest Received | 14.01 Lk | 2.19 Lk | 57.69 Lk | 8.42 Lk |
| Profit on sale of Fixed Assets | 3.6 Lk | 4.41 Lk | 72,000 | 5.67 Lk |
| Profits on sale of Investments | 94.79 Lk | 1.29 Cr | 1.96 Cr | 4.56 Cr |
| Foreign Exchange Gains | 25,000 | -1.08 Lk | 5.35 Lk | 2.84 Lk |
| Operating Profit | 66.31 Cr | 89.26 Cr | 98.55 Cr | 135.12 Cr |
| Interest | 20.05 Lk | 11.34 Lk | 18.42 Lk | 29.06 Lk |
| Bank Charges etc | 3.38 Lk | 11.22 Lk | 8.71 Lk | 13.01 Lk |
| PBDT | 66.11 Cr | 89.15 Cr | 98.36 Cr | 134.83 Cr |
| Depreciation | 1.67 Cr | 1.76 Cr | 1.64 Cr | 1.4 Cr |
| Profit Before Taxation & Exceptional Items | 64.44 Cr | 87.39 Cr | 96.72 Cr | 133.43 Cr |
| Profit Before Tax | 64.44 Cr | 87.39 Cr | 96.72 Cr | 133.43 Cr |
| Provision for Tax | 16.1 Cr | 22.3 Cr | 24.4 Cr | 33.66 Cr |
| Current Income Tax | 16.62 Cr | 22.17 Cr | 24.56 Cr | 32.56 Cr |
| Deferred Tax | 1.95 Lk | 13.21 Lk | 4.76 Lk | 1.1 Cr |
| Profit After Tax | 48.34 Cr | 65.09 Cr | 72.32 Cr | 99.77 Cr |
| Consolidated Net Profit | 48.34 Cr | 65.09 Cr | 72.32 Cr | 99.77 Cr |
| Profit Balance B/F | 141.6 Cr | 190.24 Cr | 212.84 Cr | 238.26 Cr |
| Appropriations | 189.94 Cr | 255.33 Cr | 285.16 Cr | 338.02 Cr |
| General Reserves | 0 | 6.56 Cr | 7.21 Cr | 10.03 Cr |
| Other Appropriation | -30.34 Lk | -50.1 Lk | 16.17 Cr | 35.38 Cr |
| Equity Dividend % | 0 | 1725 | 1550 | 400 |
| Earnings Per Share | 159.22 | 214.41 | 238.23 | 65.73 |
| Adjusted EPS | 159.22 | 214.41 | 238.23 | 65.73 |
CONSOLIDATED CASH FLOW FOR TAPARIA TOOLS 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 | 64.44 Cr | 87.39 Cr | 96.72 Cr | 133.43 Cr |
| Adjustment | 60.37 Lk | 48.94 Lk | -1.73 Cr | -2.37 Cr |
| Changes In working Capital | -27.09 Cr | -30.85 Cr | 14.27 Cr | 29.95 Cr |
| Cash Flow after changes in Working Capital | 37.95 Cr | 57.03 Cr | 109.26 Cr | 161 Cr |
| Cash Flow from Operating Activities | 21.85 Cr | 34.12 Cr | 84.7 Cr | 117.44 Cr |
| Cash Flow from Investing Activities | -5.72 Cr | -47.32 Cr | -43.79 Cr | -58.49 Cr |
| Cash Flow from Financing Activitie | -99.58 Lk | -73.31 Lk | -40.03 Cr | -54.71 Cr |
| Net Cash Inflow / Outflow | 15.13 Cr | -13.93 Cr | 87.99 Lk | 4.24 Cr |
| Opening Cash & Cash Equivalents | 4.51 Cr | 19.64 Cr | 5.71 Cr | 6.59 Cr |
| Closing Cash & Cash Equivalent | 19.64 Cr | 5.71 Cr | 6.59 Cr | 10.83 Cr |
STANDALONE CASH FLOW FOR TAPARIA TOOLS 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 | 64.44 Cr | 87.39 Cr | 96.72 Cr | 133.43 Cr |
| Adjustment | 60.37 Lk | 48.94 Lk | -1.73 Cr | -2.37 Cr |
| Changes In working Capital | -27.09 Cr | -30.85 Cr | 14.27 Cr | 29.95 Cr |
| Cash Flow after changes in Working Capital | 37.95 Cr | 57.03 Cr | 109.26 Cr | 161 Cr |
| Cash Flow from Operating Activities | 21.85 Cr | 34.12 Cr | 84.7 Cr | 117.44 Cr |
| Cash Flow from Investing Activities | -5.72 Cr | -47.32 Cr | -43.79 Cr | -58.49 Cr |
| Cash Flow from Financing Activitie | -99.58 Lk | -73.31 Lk | -40.03 Cr | -54.71 Cr |
| Net Cash Inflow / Outflow | 15.13 Cr | -13.93 Cr | 87.99 Lk | 4.24 Cr |
| Opening Cash & Cash Equivalents | 4.51 Cr | 19.64 Cr | 5.71 Cr | 6.59 Cr |
| Closing Cash & Cash Equivalent | 19.64 Cr | 5.71 Cr | 6.59 Cr | 10.83 Cr |
CONSOLIDATED BALANCE SHEET FOR TAPARIA TOOLS LTD
| YEAR | Mar 2021 | Mar 2022 | Mar 2023 | Mar 2024 |
|---|---|---|---|---|
| Share Capital | 3.04 Cr | 3.04 Cr | 3.04 Cr | 15.18 Cr |
| Equity - Authorised | 5 Cr | 5 Cr | 5 Cr | 35 Cr |
| Equity - Issued | 3.04 Cr | 3.04 Cr | 3.04 Cr | 15.18 Cr |
| Equity Paid Up | 3.04 Cr | 3.04 Cr | 3.04 Cr | 15.18 Cr |
| Face Value | 10 | 10 | 10 | 10 |
| Total Reserves | 205.57 Cr | 234.73 Cr | 267.35 Cr | 301.38 Cr |
| Securities Premium | 50 Lk | 50 Lk | 50 Lk | 50 Lk |
| Capital Reserves | 45 Lk | 45 Lk | 45 Lk | 45 Lk |
| Profit & Loss Account Balance | 190.24 Cr | 212.84 Cr | 238.26 Cr | 262.25 Cr |
| General Reserves | 14.38 Cr | 20.94 Cr | 28.15 Cr | 38.18 Cr |
| Reserve excluding Revaluation Reserve | 205.57 Cr | 234.73 Cr | 267.35 Cr | 301.38 Cr |
| Shareholder's Funds | 208.6 Cr | 237.76 Cr | 270.39 Cr | 316.56 Cr |
| Deferred Tax Assets / Liabilities | 28.81 Lk | 42.02 Lk | 38.94 Lk | 1.49 Cr |
| Deferred Tax Assets | 79.46 Lk | 71.53 Lk | 1.02 Cr | 88.8 Lk |
| Deferred Tax Liability | 1.08 Cr | 1.14 Cr | 1.41 Cr | 2.38 Cr |
| Other Long Term Liabilities | 36.08 Lk | 3.45 Lk | 32.82 Lk | 13.13 Lk |
| Long Term Provisions | 2.73 Cr | 2.68 Cr | 2.77 Cr | 1.91 Cr |
| Total Non-Current Liabilities | 3.38 Cr | 3.13 Cr | 3.49 Cr | 3.53 Cr |
| Trade Payables | 23.33 Cr | 55.81 Cr | 49.85 Cr | 62.61 Cr |
| Sundry Creditors | 23.33 Cr | 55.81 Cr | 49.85 Cr | 62.61 Cr |
| Other Current Liabilities | 18.79 Cr | 18.8 Cr | 23.71 Cr | 25.55 Cr |
| Advances received from customers | 3.46 Cr | 1.82 Cr | 91.82 Lk | 3.37 Cr |
| Short Term Provisions | 1.54 Cr | 1.36 Cr | 1.66 Cr | 1.33 Cr |
| Provision for Tax | 61.47 Lk | 90.57 Lk | 33.5 Lk | 33.5 Lk |
| Total Current Liabilities | 43.66 Cr | 75.97 Cr | 75.22 Cr | 89.49 Cr |
| Total Liabilities | 255.65 Cr | 316.86 Cr | 349.1 Cr | 409.58 Cr |
| Gross Block | 42.45 Cr | 42.24 Cr | 46.57 Cr | 46.8 Cr |
| Less: Accumulated Depreciation | 29.33 Cr | 28.53 Cr | 32.17 Cr | 32.81 Cr |
| Net Block | 13.12 Cr | 13.71 Cr | 14.41 Cr | 14 Cr |
| Capital Work in Progress | 5.37 Cr | 5.38 Cr | 5.62 Cr | 0 |
| Long Term Loans & Advances | 2.83 Cr | 2.64 Cr | 2.59 Cr | 5.25 Cr |
| Other Non Current Assets | 2.3 Cr | 82.93 Lk | 42.32 Lk | 87.75 Lk |
| Total Non-Current Assets | 23.62 Cr | 22.56 Cr | 23.04 Cr | 25.67 Cr |
| Currents Investments | 26.98 Cr | 37.08 Cr | 83.12 Cr | 144.21 Cr |
| Quoted | 26.98 Cr | 37.08 Cr | 83.12 Cr | 144.21 Cr |
| Inventories | 117.13 Cr | 175.5 Cr | 159.47 Cr | 126.22 Cr |
| Raw Materials | 11.42 Cr | 11.33 Cr | 12.82 Cr | 7.28 Cr |
| Work-in Progress | 11.49 Cr | 14.94 Cr | 14.04 Cr | 12.52 Cr |
| Finished Goods | 2.04 Cr | 4.56 Cr | 6.86 Cr | 6.88 Cr |
| Stores and Spare | 3.18 Cr | 3.76 Cr | 3.79 Cr | 3.92 Cr |
| Sundry Debtors | 51.13 Cr | 61.16 Cr | 65.97 Cr | 78.26 Cr |
| Debtors more than Six months | 0 | 5.55 Lk | 65.97 Cr | 78.57 Cr |
| Debtors Others | 51.13 Cr | 61.16 Cr | 0 | 0 |
| Cash and Bank | 19.64 Cr | 5.71 Cr | 6.59 Cr | 10.83 Cr |
| Cash in hand | 6.15 Lk | 7.04 Lk | 6.01 Lk | 2.31 Lk |
| Balances at Bank | 19.58 Cr | 5.64 Cr | 6.53 Cr | 10.81 Cr |
| Other Current Assets | 3.28 Cr | 34.95 Lk | 1.04 Cr | 57.67 Lk |
| Interest accrued and or due on loans | 12.12 Lk | 62,000 | 9,000 | 0 |
| Prepaid Expenses | 45.14 Lk | 32.98 Lk | 68.14 Lk | 26.28 Lk |
| Short Term Loans and Advances | 13.87 Cr | 14.5 Cr | 9.87 Cr | 23.81 Cr |
| Advances recoverable in cash or in kind | 45.95 Lk | 1.05 Cr | 36.76 Lk | 2.64 Cr |
| Advance income tax and TDS | 0 | 0 | 0 | 11 Cr |
| Total Current Assets | 232.03 Cr | 294.3 Cr | 326.05 Cr | 383.91 Cr |
| Net Current Assets (Including Current Investments) | 188.37 Cr | 218.33 Cr | 250.83 Cr | 294.42 Cr |
| Total Assets | 255.65 Cr | 316.86 Cr | 349.1 Cr | 409.58 Cr |
| Contingent Liabilities | 1.18 Cr | 1.32 Cr | 1.48 Cr | 56.17 Cr |
| Book Value | 0 | 0 | 890.66 | 208.55 |
| Adjusted Book Value | 687.14 | 783.2 | 890.66 | 208.55 |
STANDALONE BALANCE SHEET FOR TAPARIA TOOLS LTD
| YEAR | Mar 2021 | Mar 2022 | Mar 2023 | Mar 2024 |
|---|---|---|---|---|
| Share Capital | 3.04 Cr | 3.04 Cr | 3.04 Cr | 15.18 Cr |
| Equity - Authorised | 5 Cr | 5 Cr | 5 Cr | 35 Cr |
| Equity - Issued | 3.04 Cr | 3.04 Cr | 3.04 Cr | 15.18 Cr |
| Equity Paid Up | 3.04 Cr | 3.04 Cr | 3.04 Cr | 15.18 Cr |
| Face Value | 10 | 10 | 10 | 10 |
| Total Reserves | 205.57 Cr | 234.73 Cr | 267.35 Cr | 301.38 Cr |
| Securities Premium | 50 Lk | 50 Lk | 50 Lk | 50 Lk |
| Capital Reserves | 45 Lk | 45 Lk | 45 Lk | 45 Lk |
| Profit & Loss Account Balance | 190.24 Cr | 212.84 Cr | 238.26 Cr | 262.25 Cr |
| General Reserves | 14.38 Cr | 20.94 Cr | 28.15 Cr | 38.18 Cr |
| Reserve excluding Revaluation Reserve | 205.57 Cr | 234.73 Cr | 267.35 Cr | 301.38 Cr |
| Shareholder's Funds | 208.6 Cr | 237.76 Cr | 270.39 Cr | 316.56 Cr |
| Deferred Tax Assets / Liabilities | 28.81 Lk | 42.02 Lk | 38.94 Lk | 1.49 Cr |
| Deferred Tax Assets | 79.46 Lk | 71.53 Lk | 1.02 Cr | 88.8 Lk |
| Deferred Tax Liability | 1.08 Cr | 1.14 Cr | 1.41 Cr | 2.38 Cr |
| Other Long Term Liabilities | 36.08 Lk | 3.45 Lk | 32.82 Lk | 13.13 Lk |
| Long Term Provisions | 2.73 Cr | 2.68 Cr | 2.77 Cr | 1.91 Cr |
| Total Non-Current Liabilities | 3.38 Cr | 3.13 Cr | 3.49 Cr | 3.53 Cr |
| Trade Payables | 23.33 Cr | 55.81 Cr | 49.85 Cr | 62.61 Cr |
| Sundry Creditors | 23.33 Cr | 55.81 Cr | 49.85 Cr | 62.61 Cr |
| Other Current Liabilities | 18.79 Cr | 18.8 Cr | 23.71 Cr | 25.55 Cr |
| Advances received from customers | 3.46 Cr | 1.82 Cr | 91.82 Lk | 3.37 Cr |
| Short Term Provisions | 1.54 Cr | 1.36 Cr | 1.66 Cr | 1.33 Cr |
| Provision for Tax | 61.47 Lk | 90.57 Lk | 33.5 Lk | 33.5 Lk |
| Total Current Liabilities | 43.66 Cr | 75.97 Cr | 75.22 Cr | 89.49 Cr |
| Total Liabilities | 255.65 Cr | 316.86 Cr | 349.1 Cr | 409.58 Cr |
| Gross Block | 42.45 Cr | 42.24 Cr | 46.57 Cr | 46.8 Cr |
| Less: Accumulated Depreciation | 29.33 Cr | 28.53 Cr | 32.17 Cr | 32.81 Cr |
| Net Block | 13.12 Cr | 13.71 Cr | 14.41 Cr | 14 Cr |
| Capital Work in Progress | 5.37 Cr | 5.38 Cr | 5.62 Cr | 0 |
| Long Term Loans & Advances | 2.83 Cr | 2.64 Cr | 2.59 Cr | 5.25 Cr |
| Other Non Current Assets | 2.3 Cr | 82.93 Lk | 42.32 Lk | 87.75 Lk |
| Total Non-Current Assets | 23.62 Cr | 22.56 Cr | 23.04 Cr | 25.67 Cr |
| Currents Investments | 26.98 Cr | 37.08 Cr | 83.12 Cr | 144.21 Cr |
| Quoted | 26.98 Cr | 37.08 Cr | 83.12 Cr | 144.21 Cr |
| Inventories | 117.13 Cr | 175.5 Cr | 159.47 Cr | 126.22 Cr |
| Raw Materials | 11.42 Cr | 11.33 Cr | 12.82 Cr | 7.28 Cr |
| Work-in Progress | 11.49 Cr | 14.94 Cr | 14.04 Cr | 12.52 Cr |
| Finished Goods | 2.04 Cr | 4.56 Cr | 6.86 Cr | 6.88 Cr |
| Stores and Spare | 3.18 Cr | 3.76 Cr | 3.79 Cr | 3.92 Cr |
| Sundry Debtors | 51.13 Cr | 61.16 Cr | 65.97 Cr | 78.26 Cr |
| Debtors more than Six months | 0 | 5.55 Lk | 65.97 Cr | 78.57 Cr |
| Debtors Others | 51.13 Cr | 61.16 Cr | 0 | 0 |
| Cash and Bank | 19.64 Cr | 5.71 Cr | 6.59 Cr | 10.83 Cr |
| Cash in hand | 6.15 Lk | 7.04 Lk | 6.01 Lk | 2.31 Lk |
| Balances at Bank | 19.58 Cr | 5.64 Cr | 6.53 Cr | 10.81 Cr |
| Other Current Assets | 3.28 Cr | 34.95 Lk | 1.04 Cr | 57.67 Lk |
| Interest accrued and or due on loans | 12.12 Lk | 62,000 | 9,000 | 0 |
| Prepaid Expenses | 45.14 Lk | 32.98 Lk | 68.14 Lk | 26.28 Lk |
| Short Term Loans and Advances | 13.87 Cr | 14.5 Cr | 9.87 Cr | 23.81 Cr |
| Advances recoverable in cash or in kind | 45.95 Lk | 1.05 Cr | 36.76 Lk | 2.64 Cr |
| Advance income tax and TDS | 0 | 0 | 0 | 11 Cr |
| Total Current Assets | 232.03 Cr | 294.3 Cr | 326.05 Cr | 383.91 Cr |
| Net Current Assets (Including Current Investments) | 188.37 Cr | 218.33 Cr | 250.83 Cr | 294.42 Cr |
| Total Assets | 255.65 Cr | 316.86 Cr | 349.1 Cr | 409.58 Cr |
| Contingent Liabilities | 1.18 Cr | 1.32 Cr | 1.48 Cr | 56.17 Cr |
| Book Value | 0 | 0 | 890.66 | 208.55 |
| Adjusted Book Value | 687.14 | 783.2 | 890.66 | 208.55 |
FINANCIAL RATIOS (CONSOLIDATED) FOR TAPARIA TOOLS LTD
| YEAR | Mar 2021 | Mar 2022 | Mar 2023 | Mar 2024 |
|---|---|---|---|---|
| Operational & Financial Ratios | ||||
| Earnings Per Share (Rs) | 159.22 | 214.41 | 238.23 | 65.73 |
| CEPS(Rs) | 164.71 | 220.22 | 243.63 | 66.65 |
| DPS(Rs) | 0 | 172.5 | 155 | 40 |
| Book NAV/Share(Rs) | 687.14 | 783.2 | 890.66 | 208.55 |
| Tax Rate(%) | 24.99 | 25.52 | 25.23 | 25.23 |
| Margin Ratios | ||||
| Core EBITDA Margin(%) | 12.05 | 12.66 | 11.88 | 14.67 |
| EBIT Margin(%) | 12.06 | 12.68 | 12.23 | 15.57 |
| Pre Tax Margin(%) | 12.02 | 12.66 | 12.2 | 15.54 |
| PAT Margin (%) | 9.02 | 9.43 | 9.12 | 11.62 |
| Cash Profit Margin (%) | 9.33 | 9.69 | 9.33 | 11.78 |
| Performance Ratios | ||||
| ROA(%) | 21.08 | 22.74 | 21.72 | 26.3 |
| ROE(%) | 26.23 | 29.16 | 28.46 | 33.99 |
| ROCE(%) | 35.08 | 39.21 | 38.14 | 45.56 |
| Asset Turnover(x) | 2.34 | 2.41 | 2.38 | 2.26 |
| Sales/Fixed Asset(x) | 13.07 | 16.65 | 17.38 | 18.39 |
| Working Capital/Sales(x) | 2.85 | 3.16 | 3.16 | 2.92 |
| Efficiency Ratios | ||||
| Fixed Capital/Sales(x) | 0.08 | 0.06 | 0.06 | 0.05 |
| Receivable days | 27.3 | 29.68 | 29.27 | 30.65 |
| Inventory Days | 79.07 | 77.39 | 77.13 | 60.72 |
| Payable days | 26.77 | 35.3 | 40.32 | 42.19 |
| Valuation Parameters | ||||
| PER(x) | 0 | 0.05 | 0.04 | 0.06 |
| PCE(x) | 0 | 0.05 | 0.04 | 0.06 |
| Price/Book(x) | 0 | 0.01 | 0.01 | 0.02 |
| Yield(%) | 0 | 1565.34 | 1476.19 | 1081.08 |
| EV/Net Sales(x) | -0.03 | -0 | -0 | -0.01 |
| EV/Core EBITDA(x) | -0.25 | -0.03 | -0.03 | -0.04 |
| EV/EBIT(x) | -0.26 | -0.03 | -0.04 | -0.04 |
| EV/CE(x) | -0.06 | -0.01 | -0.01 | -0.02 |
| M Cap / Sales | 0 | 0.01 | 0 | 0.01 |
| Growth Ratio | ||||
| Net Sales Growth(%) | 13.69 | 24.54 | 14.51 | 8.38 |
| Core EBITDA Growth(%) | 54.02 | 34.62 | 10.4 | 37.11 |
| EBIT Growth(%) | 56.23 | 35.37 | 10.75 | 37.99 |
| PAT Growth(%) | 58.02 | 34.66 | 11.11 | 37.95 |
| EPS Growth(%) | 58.02 | 34.66 | 11.11 | -72.41 |
| Financial Stability Ratios | ||||
| Current Ratio(x) | 5.31 | 3.87 | 4.33 | 4.29 |
| Quick Ratio(x) | 2.63 | 1.56 | 2.21 | 2.88 |
| Interest Cover(x) | 322.4 | 771.62 | 526.1 | 460.15 |
FINANCIAL RATIOS (STANDALONE) FOR TAPARIA TOOLS LTD
| YEAR | Mar 2021 | Mar 2022 | Mar 2023 | Mar 2024 |
|---|---|---|---|---|
| Operational & Financial Ratios | ||||
| Earnings Per Share (Rs) | 159.22 | 214.41 | 238.23 | 65.73 |
| CEPS(Rs) | 164.71 | 220.22 | 243.63 | 66.65 |
| DPS(Rs) | 0 | 172.5 | 155 | 40 |
| Book NAV/Share(Rs) | 687.14 | 783.2 | 890.66 | 208.55 |
| Tax Rate(%) | 24.99 | 25.52 | 25.23 | 25.23 |
| Margin Ratios | ||||
| Core EBITDA Margin(%) | 12.05 | 12.66 | 11.88 | 14.67 |
| EBIT Margin(%) | 12.06 | 12.68 | 12.23 | 15.57 |
| Pre Tax Margin(%) | 12.02 | 12.66 | 12.2 | 15.54 |
| PAT Margin (%) | 9.02 | 9.43 | 9.12 | 11.62 |
| Cash Profit Margin (%) | 9.33 | 9.69 | 9.33 | 11.78 |
| Performance Ratios | ||||
| ROA(%) | 21.08 | 22.74 | 21.72 | 26.3 |
| ROE(%) | 26.23 | 29.16 | 28.46 | 33.99 |
| ROCE(%) | 35.08 | 39.21 | 38.14 | 45.56 |
| Asset Turnover(x) | 2.34 | 2.41 | 2.38 | 2.26 |
| Sales/Fixed Asset(x) | 13.07 | 16.65 | 17.38 | 18.39 |
| Working Capital/Sales(x) | 2.85 | 3.16 | 3.16 | 2.92 |
| Efficiency Ratios | ||||
| Fixed Capital/Sales(x) | 0.08 | 0.06 | 0.06 | 0.05 |
| Receivable days | 27.3 | 29.68 | 29.27 | 30.65 |
| Inventory Days | 79.07 | 77.39 | 77.13 | 60.72 |
| Payable days | 26.77 | 35.3 | 40.32 | 42.19 |
| Valuation Parameters | ||||
| PER(x) | 0 | 0.05 | 0.04 | 0.06 |
| PCE(x) | 0 | 0.05 | 0.04 | 0.06 |
| Price/Book(x) | 0 | 0.01 | 0.01 | 0.02 |
| Yield(%) | 0 | 1565.34 | 1476.19 | 1081.08 |
| EV/Net Sales(x) | -0.03 | -0 | -0 | -0.01 |
| EV/Core EBITDA(x) | -0.25 | -0.03 | -0.03 | -0.04 |
| EV/EBIT(x) | -0.26 | -0.03 | -0.04 | -0.04 |
| EV/CE(x) | -0.06 | -0.01 | -0.01 | -0.02 |
| M Cap / Sales | 0 | 0.01 | 0 | 0.01 |
| Growth Ratio | ||||
| Net Sales Growth(%) | 13.69 | 24.54 | 14.51 | 8.38 |
| Core EBITDA Growth(%) | 54.02 | 34.62 | 10.4 | 37.11 |
| EBIT Growth(%) | 56.23 | 35.37 | 10.75 | 37.99 |
| PAT Growth(%) | 58.02 | 34.66 | 11.11 | 37.95 |
| EPS Growth(%) | 58.02 | 34.66 | 11.11 | -72.41 |
| Financial Stability Ratios | ||||
| Current Ratio(x) | 5.31 | 3.87 | 4.33 | 4.29 |
| Quick Ratio(x) | 2.63 | 1.56 | 2.21 | 2.88 |
| Interest Cover(x) | 322.4 | 771.62 | 526.1 | 460.15 |
SHARE HOLDING PATTERN FOR TAPARIA TOOLS LTD
| Date | Jun 2022 | Sep 2022 | Dec 2022 | Mar 2023 | Jun 2023 | Sep 2023 | Dec 2023 | Mar 2024 | Jun 2024 | Sep 2024 |
|---|---|---|---|---|---|---|---|---|---|---|
| Promoters % | 69.72 | 69.72 | 69.72 | 69.72 | 69.72 | 58.06 | 69.72 | 69.72 | 69.72 | 69.72 |
| 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 % | 30.28 | 30.28 | 30.28 | 30.28 | 30.28 | 41.94 | 30.28 | 30.28 | 30.28 | 30.28 |
PEER COMPARISON FOR TAPARIA TOOLS LTD
CORPORATE ACTIONS FOR TAPARIA TOOLS
| Exchange Date | Purpose | Book Closure Dates |
|---|---|---|
| BSE 14-Oct-2024 | Board Meeting - Quarterly Results | 13-Nov-2024 |
| BSE 02-Aug-2024 | Board Meeting - Quarterly Results | 13-Aug-2024 |
| BSE 04-Jul-2024 | Book Closure - Rs.20.0000 per share(200%)Final Dividend & A.G.M. | 23-Jul-2024 29-Jul-2024 |
| BSE 04-Jul-2024 | AGM - Rs.20.0000 per share(200%)Final Dividend & A.G.M. | 29-Jul-2024 29-Jul-2024 |
| BSE 21-May-2024 | Dividend - Rs.20.0000 per share(200%)Final Dividend | |
| BSE 13-May-2024 | Board Meeting - Final Dividend & Audited Results | 21-May-2024 |
| BSE 23-Feb-2024 | Dividend - Rs.20.0000 per share(200%)Interim Dividend | |
| BSE 01-Feb-2024 | Board Meeting - Interim Dividend & Quarterly Results | 12-Feb-2024 |
| BSE 23-Oct-2023 | Board Meeting - Quarterly Results | 07-Nov-2023 |
| BSE 20-Sep-2023 | Board Meeting - Inter alia, to consider and recommend the appointment of Directors for Members approval through postal ballot process, to consider and approve the Draft Postal Ballot Notice, to consider and other matters, if any. | 26-Sep-2023 |
| BSE 01-Aug-2023 | Board Meeting - Bonus issue | 09-Aug-2023 |
| BSE 01-Aug-2023 | Bonus issue - Bonus issue | 09-Aug-2023 |
| BSE 11-Jul-2023 | Bonus issue - Bonus issue | |
| BSE 07-Jul-2023 | Board Meeting - Inter alia, to ?consider and approve the allotment of Bonus Equity Shares?, and other matters, if any. | 13-Jul-2023 |
| BSE 12-Jun-2023 | Book Closure - Rs.77.5000 per share(775%)Final Dividend & A.G.M. | 27-Jun-2023 03-Jul-2023 |
| BSE 12-Jun-2023 | AGM - Rs.77.5000 per share(775%)Final Dividend & A.G.M. | 03-Jul-2023 03-Jul-2023 |
| BSE 30-May-2023 | Dividend - Rs.77.5000 per share(775%)Final Dividend | |
| BSE 22-May-2023 | Board Meeting - Quarterly Results & Final Dividend & Audited Results | 30-May-2023 |
| BSE 16-Mar-2023 | Dividend - Interim Dividend | |
| BSE 24-Feb-2023 | Board Meeting - Interim Dividend & Increase in Authorised Capital | 04-Mar-2023 |
| BSE 01-Feb-2023 | Board Meeting - Quarterly Results | 09-Feb-2023 |
| BSE 31-Oct-2022 | Board Meeting - Quarterly Results | 10-Nov-2022 |
| BSE 02-Aug-2022 | Board Meeting - Quarterly Results | 12-Aug-2022 |
| BSE 21-Jul-2022 | Dividend - Rs.52.5000 per share(525%)Final Dividend | |
| BSE 01-Jul-2022 | AGM - A.G.M. | 29-Jul-2022 29-Jul-2022 |
| BSE 01-Jul-2022 | Book Closure - A.G.M. | 23-Jul-2022 29-Jul-2022 |
| BSE 23-May-2022 | Board Meeting - Audited Results | 30-May-2022 |
| BSE 24-Feb-2022 | Dividend - Rs.50.0000 per share(500%)Interim Dividend | |
| BSE 07-Feb-2022 | Board Meeting - Quarterly Results & Second Interim Dividend | 14-Feb-2022 |
| BSE 10-Jan-2022 | Board Meeting - Inter alia, to consider and approve ?the appointment of Independent Director? and other matters. | 19-Jan-2022 |
CORPORATE ANNOUNCEMENTS FOR TAPARIA TOOLS
| Exchange Date | Category File | Description |
|---|---|---|
| BSE 31-Oct-2024 | Intimation FILE | Update on board meeting TAPARIA TOOLS LTD.has informed BSE that the meeting of the Board of Directors of the Company is scheduled on 13/11/2024 inter alia to consider and approve ADDENDUM Update on board meeting |
| BSE 26-Oct-2024 | General Announcements FILE | Intimation Regarding Receipt Of Intimation For Loss Of Share Certificate Under Regulation 39(3) Of SEBI (Listing Obligations And Disclosure Requirements) Regulations 2015. Intimation under 39(3) of SEBI (LODR) requirements 2015. |
| BSE 13-Oct-2024 | Intimation FILE | Board Meeting Intimation for BM INTIMATION TAPARIA TOOLS LTD.has informed BSE that the meeting of the Board of Directors of the Company is scheduled on 13/11/2024 inter alia to consider and approve In terms of Regulation 29 of the SEBI (Listing Obligations and Disclosure Requirements) Regulations 2015 we write to inform you that a Meeting of the Board of Directors of the Company will be held on Wednesday 13th November 2024 at 1.15 pm at the Companys Corporate Office at 423-24 (A-2) Shah & Nahar Lower Parel (W) Mumbai- 400 013 to consider and approve The Statement of Standalone Un-audited Financial Results for the quarter and half year ended 30th September 2024 and other matters. |
| BSE 07-Oct-2024 | General Announcements FILE | Compliances-Certificate under Reg. 74 (5) of SEBI (DP) Regulations 2018 Compliance Certificate under Reg 74(5) of SEBI (DP) Reg. 2018. |
| BSE 23-Sep-2024 | Intimation FILE | Closure of Trading Window closure of trading window |
| BSE 14-Aug-2024 | Outcome FILE | Quarterly Result Along With Limited Review Report Quarterly Results along with Limited review report. |
| BSE 13-Aug-2024 | Outcome FILE | Board Meeting Outcome for OUTCOME OF BOARD MEETING 13/08/2024 OUTCOME OF BOARD MEETING 13/08/2024 ALONG WITH FINANCIAL RESULTS AND LIMITED REVIEW REPORT ISSUED BY INDEPENDANT AUDITOR. |
| BSE 02-Aug-2024 | Intimation FILE | Board Meeting Intimation for Intimation Of Board Meeting Under Regulation 29 Of SEBI (Listing Obligations And Disclosure Requirements) Regulations 2015. TAPARIA TOOLS LTD.has informed BSE that the meeting of the Board of Directors of the Company is scheduled on 13/08/2024 inter alia to consider and approve Intimation of Board Meeting under Regulation 29 of SEBI (Listing Obligations and Disclosure Requirements) Regulations 2015. |
| BSE 31-Jul-2024 | General Announcements FILE | Information Required Under Regulation-30 Information required under Regulation 30 Brief profile of Directors and Statutory Auditor. |
| BSE 30-Jul-2024 | Outcome FILE | Shareholder Meeting / Postal Ballot-Scrutinizer''s Report VOTING RESULT & SCRUTINIZER REPORT OF 58TH AGM OF TAPARIA TOOLS LIMITED |
| BSE 30-Jul-2024 | General Announcements FILE | Update On Circular Resolution Update on Circular Resolution. |
| BSE 29-Jul-2024 | Outcome FILE | Shareholder Meeting / Postal Ballot-Outcome of AGM SUMMARY PROCEEDINGS AND OUTCOME OF 58 TH ANNUAL GENERAL MEETING. |
| BSE 05-Jul-2024 | General Announcements FILE | Compliances-Certificate under Reg. 74 (5) of SEBI (DP) Regulations 2018 Compliance Certificate Under Reg 74 (5) of SEBI (DP ) Regulations 2018. |
| BSE 05-Jul-2024 | General Announcements FILE | Reg. 34 (1) Annual Report. Annual report of the Company "Taparia Tools Limited " along with meeting Notice of 58th AGM 2023-2024. |
| BSE 04-Jul-2024 | Intimation FILE | DETAILS OF 58 TH ANNUAL GENERAL MEETING ALONG WITH NOTICE & ANNUAL REPORT DETAILS OF 58TH AGM ALONG WITH ANNUAL REPORT 2023-24. |
| BSE 04-Jul-2024 | Intimation FILE | Notice Of 58 Th Annual General Meeting (AGM) 2023-24. NOTICE OF 58 TH ANNUAL GENERAL MEETING OF THE COMPANY. |
| BSE 03-Jul-2024 | General Announcements FILE | Disclosure Under Regulation 30 SEBI (Listing Obligations And Disclosure Requirements) Regulations 2015 Disclosure under regulation 30 SEBI (LODR) 2015. |
| BSE 26-Jun-2024 | Intimation FILE | Closure of Trading Window CLOSURE OF TRADING WINDOW. |
| BSE 14-Jun-2024 | General Announcements FILE | Submission Of Disclosure Under Regulation 7(2) Of The SEBI (Prohibition Of Insider Trading) Regulations 2015 Submission of Disclosure under Regulation 7(2) Of the SEBI (PIT) Regulations 2015. |
| BSE 14-Jun-2024 | General Announcements FILE | Submission Of Disclosure Under Regulation 29(2) Of The SEBI (Acquisition Of Shares And Takeovers) Regulations 2011 Submission of Disclosure under regulation 29(2) of the SEBI regulation 2011 |
| BSE 14-Jun-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 Karta & Co-parceners of erstwhile Harnarayan Taparia HUF |
| BSE 14-Jun-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 Rajdularidevi Taparia |
| BSE 30-May-2024 | Compliance FILE | Compliances-Reg.24(A)-Annual Secretarial Compliance Annual Secretarial Compliance Report for the period ended 31 March 2024. |
| BSE 26-May-2024 | General Announcements FILE | Compliances-Reg. 39 (3) - Details of Loss of Certificate / Duplicate Certificate Details of Loss of Certificate. |
| BSE 22-May-2024 | General Announcements FILE | Announcement under Regulation 30 (LODR)-Change in Management Brief Profile of Independent directors required under regulation-30 of para A of Schedule -III of SEBI (LODR) Regulations 2015. |
| BSE 22-May-2024 | General Announcements FILE | Declaration In Respect Of Unmodified Opinion On Audited Financial Statement For The Financial Year Ended March 31 2024 Unmodified Opinion on Audited Financial Statement for The Financial Year ended March 31 2024. |
| BSE 21-May-2024 | Outcome FILE | Board Meeting Outcome for OUTCOME OF BOARD MEETING OUTCOME OF BOARD MEETING |
| BSE 13-May-2024 | Intimation FILE | Closure of Trading Window Closure of trading window. |
| BSE 13-May-2024 | Intimation FILE | Board Meeting Intimation for Intimation Of Board Meeting Under Regulation 29 Of SEBI (Listing Obligations And Disclosure Requirements) Regulations 2015 & Closure Of Trading Window TAPARIA TOOLS LTD.has informed BSE that the meeting of the Board of Directors of the Company is scheduled on 21/05/2024 inter alia to consider and approve we write to inform you that a Meeting of the Board of Directors of the Company will be held on Tuesday the 21st May 2024 at 01.15 P.M. at the Corporate Office of the Company at 423/424 A-2 Shah & Nahar Lower Parel(w) Mumbai 400 013 to consider and approve The Statement of Standalone Audited Financial Results for the quarter and year ended 31st March 2024 The Financial Statements of the Company for the Financial Year -1st April 2023 to 31st March 2024 Recommendation of Final dividend on the Ordinary Shares for the financial year ended 31st March 2024 Boards Report for F.Y. 2023-2024 Notice for 58th Annual General Meeting Appointment of Independent Director Appointment of Statutory Auditors and other matters. Further the trading window for dealing in the shares of the company is closed from the start of business hours on May 14 2023 till the completion of 48 hours after the results are made public. |
| BSE 29-Apr-2024 | Compliance FILE | Compliance Certificate Under Reg 40 (10) Of SEBI LODR. Compliance Certificate under Reg 40(10) of SEBI LODR. |
INSIDER TRADING FOR TAPARIA TOOLS
| Exchange Dates | Activity | Qty & Price (%) | Person / Organisation |
|---|---|---|---|
| BSE 29-Mar-2024 29-Mar-2024 | Sell Others | 133,129 @ 0.00 (0.88 %) | HARNARAYAN TAPARIA HUF |
| BSE 29-Mar-2024 29-Mar-2024 | Buy Others | 133,129 @ 0.00 (0.88 %) | RAJDULARIDEVI TAPARIA |
BULK BLOCK DEALS FOR TAPARIA TOOLS LTD
| Exchange Dates | Activity | Qty & Price (%) | Person / Organisation |
|---|---|---|---|
| BSE 15-Mar-2023 | Sell BULK | 25,000 @ 12.14 | RAMESHCHANDRA DHIRAJLAL DESAI |
DIVIDEND BY TAPARIA TOOLS LTD
| Ex Dividend Date | Dividend Type | Dividend |
|---|---|---|
| 29-Nov-2024 | INTERIM DIVIDEND | 25 |
| 22-Jul-2024 | DIVIDEND | 20 |
| 23-Feb-2024 | INTERIM DIVIDEND | 20 |
| 26-Jun-2023 | DIVIDEND | 77.5 |
| 16-Mar-2023 | INTERIM DIVIDEND | 77.5 |
| 21-Jul-2022 | DIVIDEND | 52.5 |
| 24-Feb-2022 | INTERIM DIVIDEND | 50 |
| 30-Dec-2021 | INTERIM DIVIDEND | 70 |
SPLIT / BONUS BY TAPARIA TOOLS LTD
| Ex Date | Type | Detail |
|---|---|---|
| 11-Jul-2023 | BONUS | 4:1 |
Data feed Source : www.accordfintech.com, NSE DATA Feed & BSE Data Feed