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Bateli Tea Annual Reports, Balance Sheet and Financials

Bateli Tea Company Limited (Bateli Tea) Return Comparision with Primex 40 Index

Periods 1 Week 1 Month 3 Months 6 Months 1 Year 3 Years All Time
Primex-40
Bateli Tea Company Limited

BALANCE SHEET OF BATELI TEA COMPANY LIMITED (Rs. in Lakhs)

(As of 31-03-2018 to 31-03-2020)

PARTICULARS

2020

2019

2018

ASSETS                                                    

   

 

Non-Current Assets

   

 

Property, Plant, and Equipment

7,776.50

8,224.05

7,900.15

Capital Work-In-Progress

1,367.11

1,352.25

1,156.72

Financial Assets:

   

 

                      Others Financial Assets

524.21

7.21

8.41

Other Non-Current Assets

49.25

42.76

54.33

Total Non-Current Assets

9,717.07

9,626.27

9,119.61

Current Assets

   

 

Inventories

879.07

841.29

724.90

Biological Assets other than Bearer Plants

25.59

11.74

26.06

Financial Assets:

   

 

             Investments

1,472.64

1,472.79

1,473.14

             Trade Receivables

219.39

391.17

403.98

             Cash & Cash Equivalents

51.31

52.70

39.34

             Bank Balances other than Cash & Cash Equivalents

-

5.17

-

             Other Financial Assets

2,105.96

1,799.39

1,024.89

Other Current Assets

224.00

132.25

200.41

Total Current Assets

4,977.96

4,706.50

3,892.72

TOTAL ASSETS

14,695.03

14,332.77

13,012.33

EQUITY AND LIABILITIES

   

 

Equity

   

 

Equity Share Capital

21.42

21.42

21.42

Other Equity

8,072.09

7,323.47

6,732.90

Total Equity

8,093.51

7,344.89

6754.32

Liabilities

   

 

Non-Current Liabilities

   

 

Financial Liabilities

   

 

                Borrowings

2,957.64

3,453.31

2,848.15

Deferred Tax Liabilities (Net)

894.38

952.50

1,025.50

Other Non-Current Liabilities

209.67

143.67

218.48

Total Non-Current Liabilities

4,061.69

4,549.48

4,092.13

Current Liabilities

   

 

Financial Liabilities:

   

 

            Borrowings

1,234.95

853.49

951.74

            Trade Payables

   

 

Total outstanding dues of creditors other than Micro

Enterprise & small enterprise

336.26

285.84

183.43

Total outstanding dues of Microenterprise &

small enterprise

-

-

-

             Other Financial Liabilities

804.52

870.81

903.76

Other Current Liabilities

68.84

363.47

45.72

Current Tax Liabilities (Net)

95.26

64.79

81.23

Total Current Liabilities

2,539.83

2,438.40

2,165.88

TOTAL LIABILITIES

6,601.52

6,987.88

6,258.01

TOTAL EQUITY AND LIABILITIES

14,695.03

14,332.77

13,012.33

   

 PROFIT & LOSS STATEMENT OF BATELI TEA COMPANY LIMITED

(Rs. in Lakhs) 

(As of 31-03-2018 to 31-03-2020)

Particular

2020

2019

2018

Revenue:

   

 

Revenue from Operations

5,847.78

5,632.35

7,215.55

Other Income

592.25

68.22

41.90

Finance Income

-

-

20.86

Total Revenue

6,440.03

5,700.57

7,278.31

Expenses:

   

 

Cost of Materials Consumed

1,851.47

1,801.61

1,674.89

Purchase of Stock-in-Trade

2.65

23.32

-

Changes in Inventories of Finished Goods, Work-In-Progress and Stock-In Trade

82.54

(136.95)

1,159.47

Employee Benefits Expense

1,526.63

1,181.02

1,253.59

Finance Costs

321.15

308.78

354.88

Depreciation & Amortisation expenses

515.60

557.53

511.14

Other Expenses

1,253.31

1,355.02

1,640.48

Total expenses

5,553.35

5,090.33

6,594.45

Profit / (Loss) Before Tax

886.68

610.24

683.86

Tax expenses:

   

 

Current tax

140.32

130.28

134.95

MAT Credit Entitlement

-

-

(129.12)

Deferred Tax/(Credits)

(42.59)

(83.46)

(12.04)

Total Tax Expenses

97.73

46.82

(6.21)

Profit / (Loss) After Tax

788.95

563.42

690.07

Other Comprehensive Income

   

 

Items that will not be reclassified to profit and loss

(55.88)

37.62

(7.13)

Tax relating to the above items

15.55

(10.47)

1.98

Total Comprehensive Income

(40.33)

27.15

(5.15)

Total Comprehensive income for the period

748.62

590.57

684.92

Earnings per Equity Share:

   

 

Earnings per Equity Share (Basic)

368.32

263.03

322.16

Earnings per Equity Share (Diluted)

368.32

263.03

322.16

 

DIVIDEND AND RETAINED EARNINGS

(As of 31-03-2018 to 31-03-2020)

Particulars

2020

2019

2018

Dividend

Nil

Nil

Nil

Retained Earnings (Rs. In Lakhs)

748.62

590.57

68

 

 PERFORMANCE OF THE COMPANY

  • Revenue from operations increased from Rs. 5,632.35 Lakh in FY 2019 to Rs. 5,847.78 Lakh in FY 2020, showing a growth of 3.82% as compared to the previous financial year.
  • Finance Cost has increased from Rs. 308.78 Lakh in FY 2019 to Rs. 321.15 Lakh in FY 2020 showing a growth of 4.00% as compared to the previous financial year.
  • In fy 2020, Company’s Net profit stood at Rs. 788.95 Lakh, 40.02% higher than the net profit of Rs. 563.42 Lakh in FY 2019 as compared to the previous financial year.
  • The current Ratio of the company as of 31st March 2020 was 1.95.
  •  The debt to Equity ratio of the company as of 31st March 2020 was 0.81.
  • In the Financial Year 2019-20, the company has not paid dividends.              

 

Bateli Tea Annual Report

Financial results for the Quarter & Half year ended Sept, 2024

Download

Bateli Tea Company Annual Report 2022-23

Download

Bateli Tea Company Annual Report 2021-22

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