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Placid ltd Annual Reports, Balance Sheet and Financials

Placid Limited (Placid) Return Comparision with Primex 40 Index

Periods 1 Week 1 Month 3 Months 6 Months 1 Year 3 Years All Time
Primex-40
Placid Limited

Placid Limited Balance Sheet (In Rs Lakhs)

Particulars

2022

2021

ASSETS

 

 

Financial Assets

 

 

a) Cash and cash equivalents

656.64

368.63

b) Bank balances other than (a) above

6.48

62.95

c) Loans

25,903.18

24,331.61

d) Investments

62,198.35

56,586.04

e) Other financial assets

43.34

496.96

Total Financial Assets

88,807.99

81,846.19

Non-financial Assets

 

 

a) Current tax assets (Net)

794.28

861.17

b) Investment Property

504.33

504.33

c) Property, plant and equipment

413.11

347

d) Other non-financial assets

433.23

431.21

Total Non- Financial Assets

2,144.94

2,143.70

Total Assets

90,952.93

83,989.89

 

 

 

EQUITY AND LIABILTIES

 

 

1. Equity

 

 

a) Equity Share Capital

537.09

537.09

b) Other Equity

68,399.33

64,689.76

Total Equity

68,936.42

65,226.85

2. Financial Liabilities

 

 

a) Borrowings (other than debt securities)

19,842.95

17,038.21

b) Other financial liabilities

158.96

128.49

Total Financial Liabilities

20001.91

17,166.70

3. Non- Financial Liabilities

 

 

a) Current tax liabilities (net)

229.46

-

b) Provisions

93.04

74.67

c) Deferred tax liabilities (net)

1,630.85

1451.23

d) Other non-financial liabilities

61.25

70.45

Total  Non- Financial Liabilties

2,014.60

1,596.34

Total Equity and Liabilities

90,952.93

83,989.89

 

Placid Limited Profit & Loss Statement (In Rs Lakhs)

Particulars

2022

2021

Revenue From Operations

 

 

(a) Interest income

2436.52

2322.29

(b) Dividend income

329.59

107.05

(c) Net gain on fair value changes

3122.45

4252.29

(d) Net gain on sale of financial instrument under amortised cost category

-

1.41

Other income

17.67

104.81

Total Income

5906.23

6787.85

Expenses

 

 

(a) Finance costs

1768.80

1419.26

(b) Net loss on sale of de-recognition of financial instruments under
amortised cost category

55.65

-

(c) Net loss on sale of financial instrument under amortised cost category

16.80

-

(d) Impairment on financial instruments

-41.88

71.78

(e) Employee benefits expenses

631.44

901.76

(f) Depreciation

104.10

91.57

(g) Other expenses

429.13

361.41

Total expenses

2964.03

2845.78

Profit before tax

2942.19

3942.07

Tax Expense:

 

 

(i) Current tax

630.00

-

(ii) Deferred tax

-328.16

281.63

(iii) Taxation for earlier years

 

23.11

Profit for the year

2640.36

3637.32

Other comprehensive income

 

 

(a) (i) Items that will not be reclassified to profit or loss

 

 

Fair valuation of equity and preference instruments through other
comprehensive income

1576.64

-3486.20

Remeasurement of defined benefit plans

0.35

1.84

(ii) Income tax relating to items that will not be reclassified to profit
or loss

507.78

269.38

Total other comprehensive income

1069.21

-3753.74

Total comprehensive income for the year

3709.57

-116.42

Earning per Equity share

 

 

Basic

491.61

694.25

Diluted

491.61

694.25

 

Placid Limited Consolidated Cash Flow Statement (In Rs Lakhs)

Particulars

2022

2021

Cash flows from operating activities

 

 

Profit before tax

2942.19

3942.07

Adjustments for:

 

 

Net (gain)/loss on fair value changes

-3122.45

-4252.29

 (Profit)/Loss on sale of bonds

16.80

-1.41

Provisions for Gratuity

18.72

6.40

Depreciation

104.10

91.57

 Impairment on financial instruments

-41.88

71.78

Operating profit before working capital changes

-82.52

-141.88

Adjustments for changes in working capital

 

 

Decrease/ (Increase) in loans

-1,529.69

-5944.11

Decrease/ (Increase) in other financial assets

453.62

-309.98

Decrease/ (Increase) in other non-financial assets

-2.02

19.08

Increase / (decrease) in other financial liabilities

30.46

47.76

Increase/ (decrease) in other non-financial liabilities

-9.20

-20.32

Cash generated from operating activities

-1139.34

-6349.45

Income tax paid (net of refunds)

296.35

-190.93

Net cash generated from operating activities

-842.99

-6540.38

Cash flows from investing activities

 

 

Purchase of property, plant and equipment

-170.20

-5.94

Change in Fixed Deposits

54.52

1247.90

Change in Investment Property

-

-17.96

Purchase of investments

-25487.85

-13285.60

Sale of investments

23927.83

15303.58

Net cash generated from/(used in) investing activities

-1,675.70

3,241.98

Cash flow from financing activities

 

 

Proceeds from Borrowings(Net)

2,804.75

3,407.67

Proceeds from issue of shares

-

26.86

Net cash generated from financing activities

2,804.75

3,434.53

Net increase/(decrease) in cash and cash equivalents

286.06

136.13

Cash and cash equivalents as at beginning of the year

377.06

240.93

Cash and cash equivalents at the end of the financial year

663.11

377.06

 

Here is a summary of the Cash Flow Statement for the years 2022 and 2021:

Operating Activities:

1. Profitability:

In 2022, the company reported a profit before tax of 2942.19, compared to 3942.07 in 2021.

Adjustments were made for various factors such as net gain/loss on fair value changes, profit/loss on the sale of bonds, provisions for gratuity, depreciation, and impairment on financial instruments.

2. Operating Profit Before Working Capital Changes:

The operating profit before working capital changes was -82.52 in 2022 and -141.88 in 2021.

3. Working Capital Changes:

The adjustments for changes in working capital include decreases/increases in loans, other financial assets, other non-financial assets, and increases/decreases in other financial and non-financial liabilities.

4. Cash Generated from Operating Activities:

Cash generated from operating activities was -1139.34 in 2022 and -6349.45 in 2021.

Income tax paid (net of refunds) was 296.35 in 2022 and -190.93 in 2021.

5. Net Cash Generated from Operating Activities:

Net cash generated from operating activities was -842.99 in 2022 and -6540.38 in 2021.

Investing Activities:

1. Capital Expenditure:

Purchase of property, plant, and equipment was -170.20 in 2022 and -5.94 in 2021.

2. Changes in Investments:

Changes in fixed deposits, investment property, and the purchase/sale of investments resulted in a net cash outflow of -1,675.70 in 2022 and a net inflow of 3,241.98 in 2021.

Financing Activities:

1. Borrowings and Share Issuance:

Proceeds from borrowings (net) were 2,804.75 in 2022 and 3,407.67 in 2021.

Proceeds from the issue of shares were 0 in 2022 and 26.86 in 2021.

2. Net Cash Generated from Financing Activities:

Net cash generated from financing activities was 2,804.75 in 2022 and 3,434.53 in 2021.

Overall Cash Position:

1. Net Increase/(Decrease) in Cash and Cash Equivalents:

There was a net increase of 286.06 in 2022 and 136.13 in 2021.

2. Cash and Cash Equivalents:

Cash and cash equivalents at the end of the financial year were 663.11 in 2022 and 377.06 in 2021, compared to 377.06 and 240.93 at the beginning of the respective years.

Financial Ratios (NA)

Dividend History (NA)

Annual Report

Placid Limited Annual Report 2021-22

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