Unlisted Deals:
ador powertron 500.00 (4,900.00 %) aitmc formerly avpl 66.00 (-2.94 %) amol minechem 601.00 (0.17 %) anglo french drugs 950.00 (2.15 %) anugraha valve 525.00 (2.94 %) apl metals 39.00 (-2.50 %) apollo fashion 90.00 (-2.17 %) arohan 250.00 (-1.96 %) assam carbon 330.00 (1.54 %) avalokiteshvar 242.00 (0.83 %) axles india 655.00 (-3.68 %) balmer lawrie 200.00 (-0.99 %) bharat hotels 380.00 (-1.30 %) bima mandi 235.00 (-2.08 %) bira 545.00 (-0.91 %) blsx limited 35.00 (2.94 %) boat 1,550.00 (-1.90 %) c & s electric 1,070.00 (1.90 %) cable corporation 11.00 (-8.33 %) capgemini 14,300.00 (-1.38 %) care health 180.00 (-2.17 %) carrier aircon 550.00 (0.92 %) cial 455.00 (-2.15 %) csk 188.00 (-1.05 %) dalmia refract 270.00 (-1.82 %) dfm foods 470.00 (0.64 %) dsp merrill lynch 1,000.00 east india pharma 39.00 (-2.50 %) eaton fluid 445.00 (1.14 %) electronica plastic 4,500.00 (2.27 %) elgi ultra 400.00 elofic industries 2,850.00 (1.79 %) esl steel 42.00 (-2.33 %) fincare business 87.00 (1.16 %) fincare sfbl 205.00 (1.49 %) finopaytech limited 149.00 (-0.67 %) frick india 3,350.00 (-1.47 %) gkn driveline 1,818.00 (1.00 %) goodluck defence 290.00 (3.57 %) group pharma 300.00 gynofem healthcare 75.00 (2.74 %) hazira cargo terminals limited 205.00 (1.49 %) hdb financial 1,220.00 (-0.41 %) hdfc ergo 370.00 (1.70 %) hdfc securities 10,600.00 (-0.93 %) hella india 900.00 (-2.17 %) hero fincorp 1,950.00 (-0.76 %) hexaware 990.00 (1.02 %) hicks 1,650.00 (3.13 %) hinduja leyland 260.00 hira ferro 200.00 (2.56 %) honeywell electrical 7,600.00 (1.33 %) ikf finance 310.00 (-3.13 %) incred financial 10.00 (1.01 %) incred holdings 153.00 (-1.29 %) india carbon 1,100.00 (-1.79 %) india exposition 121.00 (0.83 %) indian potash 3,150.00 (1.61 %) indian seamless 195.00 (2.63 %) indo alusys 25.75 (-0.96 %) indofil 1,390.00 (-0.71 %) infinite computer 405.00 (1.25 %) inkel 22.00 (-2.22 %) jana small finance bank 75.00 kel 500.00 (-4.76 %) kial 137.00 (-0.72 %) klm axiva 15.50 (3.33 %) kurlon limited 1,275.00 (1.59 %) lava 42.00 (-1.18 %) mahindra rural mrhfl 100.00 manipal housing 74.00 (2.07 %) manjushree technopack 850.00 (-2.86 %) martin & harris 820.00 (-1.20 %) matrix gas 795.00 (-0.63 %) merino 3,300.00 (1.54 %) minosha 282.00 (0.71 %) mitsubishi heavy 207.00 (-0.48 %) mkcl 425.00 (-2.30 %) mobikwik 590.00 (-1.67 %) mohan meakin 2,300.00 (-4.17 %) mohfl 20.00 (5.26 %) msei 4.00 (6.67 %) msil 34.00 (3.03 %) nayara energy 950.00 (5.56 %) nayara energy ncd 320.00 (1.59 %) ncdex 199.00 (-1.49 %) ncl buildtek 310.00 (-3.13 %) ncl holdings 106.00 (0.95 %) nsdl 1,000.00 (-0.99 %) nse india 1,800.00 (-2.70 %) onix renewable 21,000.00 (2.44 %) orbis financial 410.00 (1.23 %) oswal minerals 60.10 (-1.48 %) otis elevator 4,100.00 (2.50 %) oyo rooms 55.00 (3.77 %) panasonic appliances 270.00 (3.05 %) paymate india 500.00 (-1.96 %) pharmeasy 8.60 (1.78 %) pharmed limited 675.00 (2.27 %) philips domestic 625.00 (-2.34 %) philips india 925.00 (-0.54 %) pnb metlife 70.00 proyuga adtech 25.00 purity flexpack 20.00 ramaraju surgical 260.00 (-1.89 %) rapido 16,650.00 (0.03 %) rasoi 82,000.00 (2.50 %) reliance gic 520.00 (4.00 %) resins plastics 575.00 (2.68 %) ring plus aqua 580.00 (3.57 %) rrp s4e innovation 295.00 (-1.67 %) sab miller 535.00 (0.94 %) sbi amc 2,625.00 (-0.19 %) sbi general insurance 621.00 (0.16 %) scottish assam 505.00 (1.00 %) shriram life 261.00 (0.38 %) sigachi laboratories 36.00 (-2.70 %) signify 1,325.00 (-1.85 %) smile microfinance 51.00 (-1.92 %) sterlite grid 5 290.00 (5.45 %) sterlite power 590.00 (1.72 %) studds 1,390.00 (-0.71 %) svsml 315.00 (2.94 %) t stanes 800.00 (1.27 %) tata capital 855.00 (-0.58 %) trl krosaki 1,730.00 (-1.14 %) urban tots 64.00 (-1.54 %) utkarsh coreinvest 285.00 (-1.72 %) vikram solar 440.00 (-0.45 %) vivriti capital 1,040.00 (-0.95 %)
×

Ace Exports Annual Reports, Balance Sheet and Financials

Ace Exports Limited (ACEEXPO) Return Comparision with Primex 40 Index

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

ACE Exports Limited Balance Sheet (Rs In Thousand)

Particulars

2023

2022

Assets

 

 

(1) Non-current assets

 

 

(a) Property Plant & Equipment

30,486.14

26,863.43

(b) Capital work-in-progress

 

3,944.73

Total Non Current Assets

30,486.14

30,808.17

(2) Current assets

 

 

(a) Inventories

33,749.37

40,844.73

(b) Financial Assets

 

 

(i) Trade receivables

3,235.02

13,190.15

(ii) Cash and cash equivalents

430.38

379.2

(iii) Loans

1,643.38

4,444.39

Total Current Assets

39,058.15

58,858.47

Total Assets

69,544.29

89,666.63

EQUITY AND LIABILITIES

 

 

(a) Equity Share Capital

53,928.00

53,928.00

(b) Other Equity

-20,112.02

-20,365.17

Total Equity

33,815.98

33,562.83

(1) Non-Current Liabilities

 

 

(a) Financial Liabilities

 

 

(i) Other Financial Liabilities

2,695.00

6,590.00

Total Non Current Liabilities

2,695.00

6,590.00

(2) Current Liabilities

 

 

(a) Financial Liabilities

26,633.71

24,573.35

(i) Borrowings

 

 

(ii) Trade payable

2,345.22

20,928.54

(b) Other Current Liabilities

13.28

24.88

(c) Provisions

4,041.10

3,987.04

Total Current Liabilities

33,033.31

49,513.80

Total Liabilities

35,728.31

56,103.80

Total Equity & Liabilities

69,544.29

89,666.63

ACE Exports Limited Profit & Loss Statement (Rs In Thousand)

Particulars

2023

2022

I. Revenue from operations

79,175.50

60,374.11

II. Other Income

87.95

17.41

III. Total Revenue

79,263.45

60,391.53

IV. Expenses

 

 

Cost of materials consumed

33,746.70

46,222.05

Changes in inventories of finished goods,work-in-progress and Stock-in-Trade

14,130.18

-15,921.61

Employee benefit expense

9,435.71

6,985.95

Finance costs

2,393.62

1,493.70

Depreciation and amortization expense

1,803.27

1,837.12

Other expenses

17,500.81

19,227.11

Total Expenses

79,010.30

59,844.32

V. Profit/(Loss) before exceptional and extraordinary items and tax

253.15

547.2

VI. Profit/(Loss) before extraordinary items and tax

253.15

547.2

VII.  Profit before tax

253.15

547.2

VIII. Profit/(Loss) from the period from continuing operations

253.15

547.2

IX. Profit/(Loss) for the period

253.15

547.2

X.Earning per equity share:

 

 

(a) Basic

 

0.0001

ACE Exports Limited Consolidated Cash Flow Statement (Rs In Thousand)

Particulars

2023

2022

CASH FLOW FROM OPERATING ACTIVITIES:

 

 

Net Profit/Loss before tax & Extra ordinary Items

253.15

547.2

Adjustment for:

 

 

Depreciation

1803.27

1837.12

Interest on Borrowings

2393.62

1493.7

Net Profit Before Change in Working Capital

4450.04

3878.02

Adjustment for Increase/Decrease in current Assets & Current liabilities

 

 

Inventories

7095.36

-19762.55

Trade receivable

9955.13

-13008.79

Short term loans & Advances

2801.01

969.26

Short term borrowing

2060.36

11072.44

Trade payable

-18583.32

18418.87

Other current liabilities

-11.6

-148.43

Short term provision

54.07

1015.76

NET CASH USED IN OPERATING ACTIVITIES

7821.05

2434.58

CASH FLOW FROM INVESTING ACTIVITIES:

 

 

Purchase of Fixed Assets

-1481.25

-3654.61

Decrease in FDR

 

150

NET CASH USED IN INVESTING ACTIVITIES

-1481.25

-3504.61

CASH FLOW FROM FINANCING ACTIVITIES:

 

 

Unsecured Loans

-3895

2540

Interest paid

-2393.62

-1493.7

NET CASH USED IN FINANCING ACTIVITIES

-6288.62

1046.3

Net Increase in cash

51.18

-23.73

Cash (Opening Balance)

290.7

314.43

Cash (Closing Balance)

341.88

290.7

Certainly, here is a summary of the Cash Flow Statement for the years 2023 and 2022:

2023:

CASH FLOW FROM OPERATING ACTIVITIES:

Net Profit/Loss before tax & Extraordinary Items: 253.15

Adjustment for:

Depreciation: 1803.27

Interest on Borrowings: 2393.62

Net Profit Before Change in Working Capital: 4450.04

Adjustment for Increase/Decrease in current Assets & Current liabilities:

Inventories: 7095.36

Trade Receivable: 9955.13

Short-term Loans & Advances: 2801.01

Short-term Borrowing: 2060.36

Trade Payable: -18583.32

Other Current Liabilities: -11.6

Short-term Provision: 54.07

NET CASH USED IN OPERATING ACTIVITIES: 7821.05

CASH FLOW FROM INVESTING ACTIVITIES:

Purchase of Fixed Assets: -1481.25

Decrease in Fixed Deposit Receipts (FDR): 150

NET CASH USED IN INVESTING ACTIVITIES: -1481.25

CASH FLOW FROM FINANCING ACTIVITIES:

Unsecured Loans: -3895

Interest paid: -2393.62

NET CASH USED IN FINANCING ACTIVITIES: -6288.62

Net Increase in cash: 51.18

Cash (Opening Balance): 290.7

Cash (Closing Balance): 341.88

2022:

CASH FLOW FROM OPERATING ACTIVITIES:

Net Profit/Loss before tax & Extraordinary Items: 547.2

Adjustment for:

Depreciation: 1837.12

Interest on Borrowings: 1493.7

Net Profit Before Change in Working Capital: 3878.02

Adjustment for Increase/Decrease in current Assets & Current liabilities:

Inventories: -19762.55

Trade Receivable: -13008.79

Short-term Loans & Advances: 969.26

Short-term Borrowing: 11072.44

Trade Payable: 18418.87

Other Current Liabilities: -148.43

Short-term Provision: 1015.76

NET CASH USED IN OPERATING ACTIVITIES: 2434.58

CASH FLOW FROM INVESTING ACTIVITIES:

Purchase of Fixed Assets: -3654.61

NET CASH USED IN INVESTING ACTIVITIES: -3654.61

CASH FLOW FROM FINANCING ACTIVITIES:

Unsecured Loans: 2540

Interest paid: -1493.7

NET CASH USED IN FINANCING ACTIVITIES: 1046.3

Net Decrease in cash: -23.73

Cash (Opening Balance): 314.43

Cash (Closing Balance): 290.7

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