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Blue Blends India Annual Reports, Balance Sheet and Financials

Blue Blends India Limited (Blue Blends) Return Comparision with Primex 40 Index

Periods 1 Week 1 Month 3 Months 6 Months 1 Year 3 Years All Time
Primex-40
Blue Blends India Limited

Blue Blends India Limited Balance Sheet (Rs)

Particulars

2020

2019

ASSETS

 

 

Non-Current Assets

 

 

a)  Property, Plant and Equipment

171,173,618

207,470,812

b) Financial Assets

 

 

i) Investments

34,902,000

34,902,000

ii) Loans

-66,297,945

-66,081,660

c) Deferred tax assets (net)

42,200,000

42,200,000

d) Other non-current assets

106,373,912

121,570,185

Total Non-Current Assets

420,947,475

472,224,657

Current Assets

8,865,999

18,209,107

a)  Inventories

 

 

b) Financial Assets

 

 

i) Trade receivables

281,434,239

319,435,219

ii) Cash and cash equivalents

199,491

336,018

iii) Bank balances other than

-73,007,081

-81,271,662

c)     Current tax Assets (Net)

-

650,879

Total Current Assets

363,506,810

419,902,885

Total Assets

784,454,285

892,127,542

EQUITY AND LIABILITIES

 

 

EQUITY

216,512,130

216,512,130

a) Equity Share Capital

 

 

b) Other Equity

-560,702,726

-417,576,004

Total Equity LIABILITIES

-344,190,596

-201,063,874

Non-current Liabilities

 

 

a) Financial Liabilities

 

 

i) Redeemable Preference Share Capital

90,000,000

90,000,000

ii) Long term Borrowings

160,920,707

163,142,311

b) Long term provision - For Employee benefits

1,534,923

1,804,165

Total Non-current Liabilities

252,455,630

254,946,476

Current Liabilities

 

 

a) Financial Liabilities

 

 

i) Short term Borrowings

754,875,080

708,419,364

ii) Trade payables

121,314,171

129,825,576

Total current Liabilities

876,189,251

838,244,940

Total Liabilities

1,128,644,881

1,093,191,416

Total Equity and Liabilities

784,454,285

892,127,542

Blue Blends India Limited Profit & Loss Statement (Rs)

Particulars

2020

2019

INCOME

 

 

I Revenue from Operations :

 

 

a)  Income from Operations

187,202,579

567,133,683

b)  Other Operating Income

-

567,133,683

II Other Income

 

6,561,533

III  Total Revenue

 

573,695,216

IV  EXPENSES

 

 

Cost of Material Consumed

30,642,905

309,628,280

Changes in Inventories of Finished goods,

-209,837

71,268,204

Employee benefits expenses

21,685,890

49,620,878

Finance costs

87,152,631

74,932,318

Depreciation and amortization expenses

19,147,036

21,898,434

Other expenses

188,848,683

408,650,706

Total Expenses

347,267,308

935,998,820

V Profit / (Loss) before Exceptional and extraordinary items and tax

-143,148,288

-362,303,604

VI  Exceptional Items

-

-88,686,049

Profit / (Loss) before tax

-143,148,288

-450,989,653

VII Tax Expenses:

 

 

(1) Adjustment in Taxation for earlier years

21,566

-3,679,407

VIII Profit / (Loss) for the Year

-143,126,722

-454,669,060

Other Comprehensive Income -

 

 

Items that will be reclassified to Profit or Loss

-949,047

-3,105,079

Total Comprehensive Income for the Year

-949,047

-3,105,079

(Comprising Profit and Other Comprehensive Income)

-144,075,769

-457,774,139

IX  Earning Per equity Share

 

 

Basic and Diluted

-6.61

 

 Blue Blends India Limited Consolidated Cash Flow Statement (Rs)

Particulars

2020

2019

A.  Cash Flow From Operating Activities

 

 

Net Profit / (Loss) before Tax and Exceptional Item as per Profit and Loss Statement

-143,148,288

-450,989,653

Adjusted for:

 

 

Depreciation & Amortization

19,147,036

21,898,434

Sundry Balances Written Back

-4,578,650

1,361,294

Sundry Advances/ Deposit W/off

-

88,686,049

Sundry Debtors W/off

42,270,950

151,400,022

Interest & Finance Charges paid

87,152,631

74,932,318

Dividend and Interest Income

-150

-150

Deferred Revenue Expenditure W/off

15,196,273

15,196,273

(Profit)Loss on Sale of Assets

-10,757,241

-5,200,049

Operating Profit / (Loss) before Working Capital Changes

 

-102,715,462

Adjusted for:

 

 

Trade and Other Receivables

6,173,053

-60,531,670

Stock in Trade

9,343,108

83,371,611

Trade and Other Payables

-3,932,755

-11,612,897

Net Cash generated from Working Capital changes

11,583,406

11,227,044

Cash Flow from Operating Activities

16,865,967

-91,488,418

Direct Taxes paid

-2,766,542

-3,583,442

Net Cash Flow from Operating Activities - (A)

14,099,425

-95,071,860

B.  Cash Flow from Investing Activities

 

 

Dividend and Interest Income

150

150

Interest & Finance Charges paid

-87,152,631

-74,932,318

(Purchase) / Sales of Fixed Assets (including Advances)(Net)

-424,076

18,191,207

(Purchase) / Sale of Investments (net)

28,331,475

-

Net Cash Flow from Investing Activities - (B)

-59,245,082

-56,740,961

C.  Cash Flow from Financing Activities

 

 

(Increase) / Decrease in Given Long Term Advances

1,260,545

-1,272,945

(Increase) / Decrease in Given Long Term Loan & advances & Deposits

-216,285

4,831,183

Secured Long term Borrowings taken (repaid)

-2,604,088

85,525,312

Increase/(Decrease in Long Term Provisions for Employees benefits )

-269,242

-74,898

Short term Borrowings taken (repaid)

46,838,200

62,322,794

Net Cash Flow from Financing Activities - (C)

45,009,130

151,331,446

Net Increase in Cash and Cash Equivalents (A+B+C)

-136,527

-481,375

Opening Balance of Cash and Cash Equivalents

336,018

817,393

Closing Balance of Cash and Cash Equivalents

199,491

336,018

Certainly, here is a summary of the Cash Flow Statement for the years 2020 and 2019:

A. Cash Flow from Operating Activities:

1. Net Profit / (Loss) before Tax and Exceptional Item:

In 2020, the company reported a net loss of -143,148,288 Rs, while in 2019, it reported a significant loss of -450,989,653 Rs.

2. Adjustments:

Depreciation & Amortisation:

Non-cash expenses for asset depreciation were 19,147,036 Rs in 2020 and 21,898,434 Rs in 2019.

Sundry Balances Written Back:

A negative adjustment of -4,578,650 Rs in 2020 and a positive adjustment of 1,361,294 Rs in 2019.

Sundry Advances/Deposit W/off:

 An adjustment of 88,686,049 Rs in 2019.

Sundry Debtors W/off:

Write-off of 42,270,950 Rs in 2020 and 151,400,022 Rs in 2019.

Interest & Finance Charges Paid:

Cash outflow of 87,152,631 Rs in 2020 and 74,932,318 Rs in 2019.

Deferred Revenue Expenditure W/off:

Write-off of 15,196,273 Rs in both 2020 and 2019.

(Profit) Loss on Sale of Assets:

Loss of -10,757,241 Rs in 2020 and -5,200,049 Rs in 2019.

3. Operating Profit / (Loss) before Working Capital Changes:

In 2020, the operating loss before working capital changes was -102,715,462 Rs.

4. Working Capital Changes:

Trade and Other Receivables:

An increase of 6,173,053 Rs in 2020 and a decrease of -60,531,670 Rs in 2019.

Stock in Trade:

An increase of 9,343,108 Rs in 2020 and 83,371,611 Rs in 2019.

Trade and Other Payables:

A decrease of -3,932,755 Rs in 2020 and -11,612,897 Rs in 2019.

Net Cash Generated from Working Capital Changes:

Positive cash flow of 11,583,406 Rs in 2020 and 11,227,044 Rs in 2019.

5. Cash Flow from Operating Activities:

Net cash inflow of 16,865,967 Rs in 2020 and a net cash outflow of -91,488,418 Rs in 2019.

6. Direct Taxes Paid:

Tax payments of -2,766,542 Rs in 2020 and -3,583,442 Rs in 2019.

7. Net Cash Flow from Operating Activities (A):

Positive net cash flow of 14,099,425 Rs in 2020 and a negative net cash flow of -95,071,860 Rs in 2019.

B. Cash Flow from Investing Activities:

1. Dividend and Interest Income:

Negligible income in both years.

2. Interest & Finance Charges Paid:

Cash outflow of -87,152,631 Rs in 2020 and -74,932,318 Rs in 2019.

3. (Purchase) / Sales of Fixed Assets (including Advances)(Net):

Net purchase of fixed assets resulting in an outflow of -424,076 Rs in 2020 and a net sale of 18,191,207 Rs in 2019.

4. (Purchase) / Sale of Investments (Net):

Net inflow from the sale of investments was 28,331,475 Rs in 2020, and no information was provided for 2019.

5. Net Cash Flow from Investing Activities (B):

Overall outflow of -59,245,082 Rs in 2020 and -56,740,961 Rs in 2019.

C. Cash Flow from Financing Activities:

1. (Increase) / Decrease in Given Long Term Advances:

An increase of 1,260,545 Rs in 2020 and a decrease of -1,272,945 Rs in 2019.

2. (Increase) / Decrease in Given Long Term Loan & Advances & Deposits:

A decrease of -216,285 Rs in 2020 and an increase of 4,831,183 Rs in 2019.

3. Secured Long-term Borrowings Taken (Repaid):

A repayment of -2,604,088 Rs in 2020 and a repayment of 85,525,312 Rs in 2019.

4. Increase/(Decrease in Long-Term Provisions for Employee Benefits):

A decrease of -269,242 Rs in 2020 and a decrease of -74,898 Rs in 2019.

5. Short-term Borrowings Taken (Repaid):

An inflow of 46,838,200 Rs in 2020 and an inflow of 62,322,794 Rs in 2019.

6. Net Cash Flow from Financing Activities (C):

Overall inflow of 45,009,130 Rs in 2020 and 151,331,446 Rs in 2019.

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