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SMFG INDIA HOME FINANCE COMPANY LIMITED

Active

SMFG INDIA HOME FINANCE COMPANY LIMITED having CIN U65922TN2010PLC076972 is 14 years , 4 month & 13 days old Public Indian Company incorporated on 08 Dec 2010. It is classified as Non-government company and is registered at Registrar of Companies. ROC Chennai, Its authorized share capital is Rs. 15,000,000,000 and its paid up capital is Rs. 3,412,826,910. It's NIC code is 729 (which is part of its CIN).

As per the NIC code, it is inolved in Other computer related activities [for example maintenance of websites of other firms/ creation of multimedia presentations for other firms etc.]. SMFG INDIA HOME FINANCE COMPANY LIMITED Annual General Meeting (AGM) was last held on N/A and as per records from Ministry of Corporate Affairs (MCA), its balance sheet was last filed on 06-19-2024. Directors of SMFG INDIA HOME FINANCE COMPANY LIMITED are Pavan Pal Kaushal and Menon Radhakrishnan Balakrishna.

SMFG INDIA HOME FINANCE COMPANY LIMITED ' Corporate Identification Number (CIN) is U65922TN2010PLC076972 and its registration number is 076972. Users may contact SMFG INDIA HOME FINANCE COMPANY LIMITED on its Email address - secretarial@smfgindia.com Registered address of SMFG INDIA HOME FINANCE COMPANY LIMITED is Megh towers, third floor, old no-307, new no-165, poonamallee high road, madur,chennai,tamil nadu,india-600095. Current status of SMFG INDIA HOME FINANCE COMPANY LIMITED is - Active.

Key Indicators

Authorised Capital
15,000,000,000

as on 08/12/2010

Paid Up Capital
3,412,826,910

as on 08/12/2010

Company Age
14 Year, 8 Months
Last Filing with ROC
0 Year, 10 Months

Company Information

CIN U65922TN2010PLC076972
Company Status Active
Registration Number 076972
Date of Incorporation 08/12/2010
RoC ROC Chennai
Company Age 14 years & 256 days
Authorized Capital ₹ 15000000000
Paid-up capital ₹ 3412826910
Company Category Company limited by shares
Company Sub-Category Non-government company
Class of company Public
Activity Computer programming, consultancy and related activities
Listing status Unlisted
Date of Last Annual General Meeting 31-03-2023
Date of Latest Balance Sheet 31-03-2019

Contact

Email ID secretarial@smfgindia.com
Address Megh Towers, Third Floor, Old No-307, New No-165, Poonamallee High Road, Madur Chennai Tamil Nadu India 600095
Website smfgindia.com
Contact Number +91*******

Location on Map

Director

Designation Name Date OF Appointment DIN PAN Tenure
Director
RAKESH MAKKAR shareholder
03/16/2018 01225230 *****3278K 6 years
Director
SUDHA PILLAI shareholder
08/04/2020 02263950 *****4151N 5 years
Director
AJAY PAREEK . shareholder
12/22/2021 08134389 *****9861J 2 years
Director 12/22/2021 01473781 *****6830K 2 years
Director
SUNITA SHARMA shareholder
04/26/2022 02949529 *****3615E 1 years
Director
SHANTANU MITRA shareholder
12/22/2021 03019468 *****2517P 2 years
Director
JITENDRA MAHESHWARI shareholder
01/18/2024 *****4278N 0 years
Director
ASHISH CHAUDHARY shareholder
10/01/2021 *****2287Q 4 years
Director
DEEPAK SHARAD PATKAR shareholder
02/20/2023 09731775 *****2678C 0 years
Director
DAKSHITA DAS shareholder
05/07/2023 07662681 *****9705E 1 years
Director
DEEPAK SHARAD PATKAR shareholder
02/14/2023 09731775 *****2678C 1 years
Director
PAVAN PAL KAUSHAL shareholder
09/06/2021 07117387 *****8830A 3 years
Director
AJAY PAREEK shareholder
04/26/2023 08134389 0 years
Director
SHANTANU MITRA shareholder
04/26/2023 03019468 0 years
Director
PAVAN PAL KAUSHAL shareholder
04/25/2023 07117387 *****8830A 0 years
Director 07/04/2023 01473781 2 years

Companies connected through Directors

Name Status Paid up Capital Common Directors Address
Active
891,692,735 0 Maharashtra
Active
891,692,735 1 Maharashtra
Active
891,692,735 1 Maharashtra
Active
891,692,735 1 Maharashtra
Active
891,692,735 0 Maharashtra
Active
891,692,735 0 Maharashtra
Active
891,692,735 0 Maharashtra
Active
891,692,735 0 Maharashtra
Active
891,692,735 0 Maharashtra
Active
891,692,735 0 Maharashtra
Active
891,692,735 0 Maharashtra

Charges on assets

39

Others

No. of Loans: 39

Total Amount: 147,545,000,000.00 cr

3

HDFC BANK LIMITED

No. of Loans: 3

Total Amount: 2,100,000,000.00 cr

1

Canara Bank

No. of Loans: 1

Total Amount: 500,000,000.00 cr

Charge Holder Branch Amount Date of creation Modification Satisfaction Status
Others Kothrud 2,000,000,000 28 May, 2024 - - Open
Others Lodhi Road 2,000,000,000 24 Jun, 2024 - - Open
Others Kothrud 4,250,000,000 17 Jan, 2024 - - Open
Others Lodhi Road 3,000,000,000 25 Oct, 2023 26 Dec, 2023 - Open
Others Kothrud 1,250,000,000 05 Sep, 2023 - - Open
Others Kothrud 3,500,000,000 17 May, 2023 - - Open
Others Kothrud 750,000,000 09 Feb, 2023 - - Open
Others Lodhi Road 500,000,000 24 Feb, 2023 - 20 Sep, 2023 Closed
Others Kothrud 1,750,000,000 27 Dec, 2022 - - Open
Others Kothrud 3,500,000,000 02 Dec, 2022 - - Open
Others Kothrud 3,900,000,000 03 Nov, 2022 - - Open
HDFC BANK LIMITED Lower Parel (West), 500,000,000 07 Oct, 2016 - 08 Jul, 2022 Closed
Others Kothrud 86,740,000,000 18 Sep, 2019 22 Jul, 2024 - Open
HDFC BANK LIMITED R K Salai, Mylapore 100,000,000 14 Mar, 2017 08 Jul, 2022 - Open
Others S. No. 94 & 95, Bhusari Colony (Right), Kothrud 2,000,000,000 25 May, 2022 - - Open
Others 12,525,000,000 24 Oct, 2017 25 Jun, 2024 - Open
Others 150,000,000 17 Mar, 2017 - 24 Mar, 2022 Closed
Others S. No. 94 & 95, Bhusari Colony (Right), Kothrud 1,000,000,000 10 Dec, 2021 - - Open
Others S. No. 94 & 95, Bhusari Colony (Right), Kothrud 990,000,000 22 Dec, 2021 - - Open
Canara Bank Anna Salai 500,000,000 21 Mar, 2017 - 25 Aug, 2021 Closed
Others Lodhi Road 500,000,000 02 Nov, 2020 - 07 Sep, 2021 Closed
Others Fort, Landmark: Opposite Akbarallys Showroom 250,000,000 07 Oct, 2016 - 11 Oct, 2021 Closed
Others S. No. 94 & 95, Bhusari Colony (Right), Kothrud 1,250,000,000 23 Jun, 2021 - 21 Feb, 2024 Closed
Others S. No. 94 & 95, Bhusari Colony (Right), Kothrud 750,000,000 27 Sep, 2018 15 Sep, 2020 02 Sep, 2021 Closed
Others Mount Road, 400,000,000 09 Dec, 2016 - 11 Oct, 2021 Closed
Others 3 Walchand Hirachand Marg,Ballard Pier, 2,000,000,000 05 Jan, 2017 - 26 Aug, 2021 Closed
Others S. No. 94 & 95, Bhusari Colony (Right), Kothrud 250,000,000 27 Sep, 2018 15 Sep, 2020 - Open
Others S. No. 94 & 95, Bhusari Colony (Right), Kothrud 1,250,000,000 14 Mar, 2019 15 Sep, 2020 13 May, 2021 Closed
Others S. No. 94 & 95, Bhusari Colony (Right), Kothrud 500,000,000 14 Mar, 2019 - 10 May, 2021 Closed
Others S. No. 94 & 95, Bhusari Colony (Right), Kothrud 1,210,000,000 08 May, 2020 15 Sep, 2020 - Open
Others S. No. 94 & 95, Bhusari Colony (Right), Kothrud 1,000,000,000 18 Sep, 2020 30 Mar, 2021 - Open
Others S. No. 94 & 95, Bhusari Colony (Right), Kothrud 1,000,000,000 10 Dec, 2020 - 26 Jul, 2023 Closed
Others S. No. 94 & 95, Bhusari Colony (Right), Kothrud 680,000,000 28 Mar, 2018 26 Sep, 2018 25 Jul, 2023 Closed
Others S. No. 94 & 95, Bhusari Colony (Right), Kothrud 1,000,000,000 28 Mar, 2018 15 Sep, 2020 13 May, 2021 Closed
Others S. No. 94 & 95, Bhusari Colony (Right), Kothrud 500,000,000 11 Jan, 2018 15 Sep, 2020 01 Jul, 2021 Closed
Others S. No. 94 & 95, Bhusari Colony (Right), Kothrud 300,000,000 12 Dec, 2017 15 Sep, 2020 11 Jan, 2021 Closed
Others S. No. 94 & 95, Bhusari Colony (Right), Kothrud 1,000,000,000 30 Oct, 2017 - 28 Oct, 2020 Closed
Others S. No. 94 & 95, Bhusari Colony (Right), Kothrud 400,000,000 30 Oct, 2017 15 Sep, 2020 19 Jul, 2023 Closed
HDFC BANK LIMITED Lower Parel (West), 1,500,000,000 12 Sep, 2017 - - Open
Others S. No. 94 & 95, Bhusari Colony (Right), Kothrud 500,000,000 22 Aug, 2017 - 28 Oct, 2020 Closed
Others Mount Road 250,000,000 28 Mar, 2017 - - Open
Others 1,000,000,000 31 May, 2017 - - Open
Others S. No. 94 & 95, Bhusari Colony (Right), Kothrud 1,750,000,000 11 Aug, 2020 - 06 Oct, 2023 Closed

Registered Details

CIN
U65922TN2010PLC076972
PAN
U65922TN2010PLC076972
Incorporation
14 years , 4 month
Company Email
secretarial@smfgindia.com
Paid up Capital
₹ 3,412,826,910
Authorised Capital
₹ 15,000,000,000
Type
Public Non-government company

* There is the date provided by MCA, but availability for this year is not guaranteed.

Industry

Products

rebars, wire rods, coated coil, building solutions., sections, automotive steels, Hot and cold rolled sheet, agriculture equipments, tubes

Key Metrics

** All rupee values in INR crores. Based on March 2024 numbers.

Sales arrow 9.29%
₹ 140,987.4
EBITDA arrow 29%
₹ 135,987.4
Net Profit arrow 29%
₹ 135,987.4
Networth arrow 29%
₹ 135,987.4
Borrowings arrow 9.29%
₹ 140,987.4
Assets arrow 9.29%
₹ 140,987.4
Gross Margin arrow 9.29%
₹ 140,987.4
Operating Margin arrow 29%
₹ 135,987.4
Net Profit Margin arrow 29%
₹ 135,987.4
Return on Equity arrow 29%
₹ 135,987.4
ROCE arrow 9.29%
₹ 140,987.4
Debt to Equity arrow 9.29%
₹ 140,987.4
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Financial Highlights

** All numbers in INR crores

Mar 2020 Mar 2021 Mar 2022 Mar 2023 Mar 2024
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Debt to equity lock lock lock lock lock
Current ratio lock lock lock lock lock
ROE lock lock lock lock lock
Days payable lock lock lock lock lock
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Balance Sheet

**** All numbers in INR crores

Mar 2020 Mar 2021 Mar 2022 Mar 2023 Mar 2024
Equity Capital lock lock lock lock lock
Reserves lock lock lock lock lock
Borrowings + lock lock lock lock lock
Long term borrowings lock lock lock lock lock
Short term borrowings lock lock lock lock lock
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Other liabilities + lock lock lock lock lock
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Fixed Assets + lock lock lock lock lock
Tangible assets lock lock lock lock lock
CWIP lock lock lock lock lock
Intangible assets lock lock lock lock lock
LT loans and advances lock lock lock lock lock
Other non-current assets lock lock lock lock lock
Current assets + lock lock lock lock lock
Inventories lock lock lock lock lock
Trade receivables lock lock lock lock lock
Cash and cash equivalents lock lock lock lock lock
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Percentage of assets Mar 2020 Mar 2021 Mar 2022 Mar 2023 Mar 2024
Equity Capital 44 78 90 45 38
Reserves 44 78 90 45 38
Borrowings + 44 78 90 45 38
Long term borrowings 44 78 90 45 38
Short term borrowings 44 78 90 45 38
Trade payables + 44 78 90 45 38
Days payable 44 78 90 45 38
Other liabilities + 44 78 90 45 38
Other non-current liabilities 44 78 90 45 38
Other current liabilities 44 78 90 45 38
Total liabilities 44 78 90 45 38
Fixed Assets + 44 78 90 45 38
Tangible assets 44 78 90 45 38
CWIP 44 78 90 45 38
Intangible assets 44 78 90 45 38
LT loans and advances 44 78 90 45 38
Other non-current assets 44 78 90 45 38
Current assets + 44 78 90 45 38
Inventories 44 78 90 45 38
Trade receivables 44 78 90 45 38
Cash and cash equivalents 44 78 90 45 38
ST loans and advances 44 78 90 45 38
Other current assets 44 78 90 45 38
Total assets 44 78 90 45 38
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Profit & Loss

**** All numbers in INR crores

Mar 2020 Mar 2021 Mar 2022 Mar 2023 Mar 2024
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Expenses + lock lock lock lock lock
Cost of goods lock lock lock lock lock
Employee cost lock lock lock lock lock
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Other income lock lock lock lock lock
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Precentage of total income Mar 2020 Mar 2021 Mar 2022 Mar 2023 Mar 2024
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Profit before tax lock lock lock lock lock
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Profit - disc. ops lock lock lock lock lock
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Net margin % lock lock lock lock lock
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Ratio

** All numbers in INR crores

Mar 2020 Mar 2021 Mar 2022 Mar 2023 Mar 2024
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Total Debt/Equity lock lock lock lock lock
Net Debt/Equity lock lock lock lock lock
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Efficiency + lock lock lock lock lock
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Days Inventory lock lock lock lock lock
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Total Asset Turnover lock lock lock lock lock
Working Capital lock lock lock lock lock
Cash Conversion Cycle lock lock lock lock lock
Working Capital Days lock lock lock lock lock
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Subsidiaries, Associate Companies & Join Ventures of ALTORIAS RECYCLE SOLUTIONS

Company Identifier Name Percentage of Shares Held
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Fund Raising Activity of ALTORIAS RECYCLE SOLUTIONS

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Board Meetings of ALTORIAS RECYCLE SOLUTIONS

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Auditors of ALTORIAS RECYCLE SOLUTIONS

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Outstanding Payments to Micro & Small Enterprises

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Investor Complaints & Serious Complaints About ALTORIAS RECYCLE SOLUTIONS

Director Complain

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Serious Complaints

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Prosecution Details of ALTORIAS RECYCLE SOLUTIONS

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Peers / Similar Companies

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Subsidiary Companies

Name State / Country Incorporation Year Paidup Capital
Singapore 1997 400 Cr
Orissa 1997 400 Cr
West Bengal 1997 400 Cr
Jharkhand 1997 400 Cr
Singapore 1997 400 Cr
West Bengal 1997 400 Cr
1 2 ... 25

FAQs

What is SMFG INDIA HOME FINANCE COMPANY LIMITED ?

SMFG INDIA HOME FINANCE COMPANY LIMITED having CIN U65922TN2010PLC076972 is 14 years , 4 month old Public Indian Company incorporated with MCA on 12 Aug 2010. SMFG INDIA HOME FINANCE COMPANY LIMITED is listed in the class of Public Indian Company and classified as Non-government company. This company is registered at Registrar of Companies(ROC), ROC Chennai with an Authorized Share Capital of 15,000,000,000 and paid-up capital is 3,412,826,910.

What is the CIN of SMFG INDIA HOME FINANCE COMPANY LIMITED?

CIN of SMFG INDIA HOME FINANCE COMPANY LIMITED is U65922TN2010PLC076972.

Where is SMFG INDIA HOME FINANCE COMPANY LIMITED located?

Address of SMFG INDIA HOME FINANCE COMPANY LIMITED is Megh towers, third floor, old no-307, new no-165, poonamallee high road, madur,chennai,tamil nadu,india-600095,.

Who are the directors of SMFG INDIA HOME FINANCE COMPANY LIMITED ?

The company has 16 directors/key management personnel RAKESH MAKKAR,SUDHA PILLAI,AJAY .,MENON BALAKRISHNA,SUNITA SHARMA,SHANTANU MITRA,JITENDRA MAHESHWARI,ASHISH CHAUDHARY,DEEPAK PATKAR,DAKSHITA DAS,DEEPAK PATKAR,PAVAN KAUSHAL,AJAY PAREEK,SHANTANU MITRA,PAVAN KAUSHAL,MENON BALAKRISHNA,

What is the contact details of SMFG INDIA HOME FINANCE COMPANY LIMITED ?

Email : secretarial@smfgindia.com
Address : Megh Towers, Third Floor, Old No-307, New No-165, Poonamallee High Road, Madur Chennai Tamil Nadu India 600095

What does SMFG INDIA HOME FINANCE COMPANY LIMITED do?

SMFG INDIA HOME FINANCE COMPANY LIMITED is involved in activities such as Computer programming, consultancy and related activities

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