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×

Capricon Realty Annual Reports, Balance Sheet and Financials

Capricon Realty Limited (Capricon) Return Comparision with Primex 40 Index

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

Capricon Realty Limited Balance Sheet (Rs in Lakhs)

Particulars

31-03-2024

31-03-2023

Non-current Assets

 

 

Property, plant and equipment

290.12

240.47

Investment property

923.13

970.39

Goodwill

7,355.43

7,355.43

Other Intangible assets

0.24

0.39

Right of use assets

119.88

21.81

Investments accounted for using the equity method

7,879.26

2,484.91

Investments

27,463.41

18,263.53

Other financial assets

300.15

451.70

Deferred tax assets

181.74

Other non-current assets

26.97

Current Assets

 

 

Inventories

2,346.34

2,079.51

Investments

40,834.41

48,518.14

Trade receivables

0.09

19.02

Cash and cash Equivalents

334.97

108.62

Bank balances other than above

14.46

1,111.39

Loans

3,500.00

Other financial assets

1,087.40

958.85

Current tax assets (net)

665.09

650.00

Other current assets

331.01

404.26

Total Assets

93445.39

83847.13

Equity

 

 

Share capital

0.90

0.90

Other Equity

92,011.32

81,641.17

Non-current Liabilities

 

 

Lease liabilities

78.47

Other financial liabilities

474.31

461.70

Provisions

114.21

80.58

Deferred tax liabilities

321.77

Other non-current liabilities

44.43

Current Liabilities

 

 

Lease liabilities

44.69

23.69

Trade Payables

 

 

Total outstanding dues of micro & Small enterprises

4.82

Total outstanding dues of ceditors other than micro & Small enterprises

6.45

Other financial liabilities

24.55

1,557.09

Other Current liabilities

249.53

26.38

Provisions

81.21

44.35

Total Equity and Liabilities

93,445.39

83,847.13

 

Capricon Realty Limited Profit & Loss Statement (Rs in Lakhs)

Particulars

31-03-2024

31-03-2023

Income

 

 

Revenue  From  Operations

2,745.54

27,395.26

Other  Income

8,889.95

4,373.57

Total  Income

11,635.49

31,768.83

Expenses:

 

 

Cost  of  Materials  Consumed

59.48

88.97

Purchase of stock in trade

2,715.30

Changes  in  Inventories  of  Finished  Goods and Work-In-Progress

(59.48)

5,690.61

Employee  Benefit  Expense

592.32

1,974.54

Financial  Costs

44.96

3.62

Depreciation  and  Amortisation  Cost

180.13

148.96

Other  Expenses

824.41

1,048.09

Total  Expenses

4,357.12

8,954.79

Profit  Before  Tax

7,278.37

22,814.04

Current tax

1,185.00

5,700.00

Deferred  Tax

504.35

(30.42)

Share of profit in associate company

5,395.64

160.57

Profit/(Loss)  For  The  Period

10,984.66

17,305.03

Other Comprehensive Income

 

 

Items that will not be reclassified to profit or loss:

 

 

Remeasurement of defined benefit plan

(3.35)

18.13

Share of other comprehensive income in associate accounted for using the equity method

(1.28)

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

0.84

Total Other Comprehensive income

(3.79)

18.13

Total Comprehensive Income for the year

10,980.87

17,323.16

Earning  Per  Equity  Share:

 

 

Basic and Diluted

1,22,418.98

1,92,342.04

 

Capricon Realty Limited Cash Flow Statement (Rs in Lakhs)

Particulars

31-03-2024

31-03-2023

Cash Flow from Operating Activities

 

 

Profit before tax

12674.01

22974.61

Adjustments for:

 

 

Finance costs

44.96

3.62

Depreciation and amortisation expenses

180.13

148.96

Interest Income

-2701.49

-1446.70

Unwinding of discount on security deposits

-6.23

18.97

Sundry credit balance written back

-1.23

-

Loss on sale of fixed assets

-

0.15

Net gain on sale of investments

-2351.24

-1646.38

Share of profit from associate

-5395.64

-160.57

Net gain on fair value changes of investments

-2096.13

-147.38

Investment related expenses

45.81

14.20

Dividend Income

-181.62

-132.16

Operating profit/(Loss) before working capital changes

211.33

19627.32

Changes in Working Capital:

 

 

Trade Receivables

20.16

4753.34

Inventories

-266.83

5690.60

Other current assets

73.24

-25.55

Other non-current assets

26.97

-345.89

Other non-current financial assets

151.55

-

Other current financial assets

-223.89

-

Trade payables

-11.27

3.50

Other non current liabilities

-

84.90

Other current liabilities

187.62

-1671.78

Other non-current financial liabilities

62.00

-

Other current financial liabilities

-1535.56

-

Provisions

67.13

18.05

Cash utilised from operations

-1237.55

28134.49

Direct taxes paid (net)

-1200.09

-5720.97

Net Cash from Operating Activities

-2437.64

22413.52

Cash Flow from Investing Activities

 

 

Purchase of Property, plant and equipment

-136.53

-203.95

Purchase of Investments

-86312.80

-147458.26

Proceeds from sale of investments

89244.03

109894.53

Loans given

-3500.00

-

Interest incone

2797.06

781.39

Income received from funds

-

134.27

Proceeds from fixed deposits (net)

1098.31

837.91

Investment related expenses

-45.81

-14.20

Dividend Income

181.40

132.16

Net Cash from Investing Activities

3325.66

-35896.15

Cash Flow from Financing Activities

 

 

Interest paid

-1.10

-

Dividend paid

-448.05

-449.85

Payment for buyback of shares

-162.66

-

Payment of lease liabilities:

 

 

Principal

-44.43

-44.80

Interest

-5.43

-3.62

Net Cash from Financing Activities

-661.67

-498.27

Net Increase/Decrease in cash & cash equivalents

226.35

-13980.90

Cash and cash equivalents at the beginning of the period

108.62

14089.52

Cash and cash equivalents at the end of the period

334.97

108.62

Cash and cash equivalents comprise of:

 

 

Balances with banks

334.12

107.85

Cash on hand

0.85

0.77

Total

334.97

108.62

 

Here is a summary of the Cash Flow Statement for the years 2024 and 2023:

Cash Flow from Operating Activities

Profit Before Tax: For 2024, the company reported a pre-tax profit of ₹12,674.01 lakhs, a decrease from ₹22,974.61 lakhs in 2023.

Adjustments for Non-Cash Items: Significant adjustments include depreciation and amortization expenses, finance costs, and investment-related expenses. Notably, adjustments also involved large deductions for interest and dividend income, and a significant gain from the sale of investments and fair value adjustments on investments, leading to a reduction in the operating profit before working capital changes.

Working Capital Adjustments: Various adjustments to working capital accounts show increases in trade receivables and a reduction in trade payables. This category reflects overall cash outflow due to the utilization of cash for operations, primarily influenced by direct taxes paid.

Net Cash from Operating Activities: The net cash used in operating activities was ₹-2,437.64 lakhs, compared to a positive inflow of ₹22,413.52 lakhs in 2023. This decrease suggests a year-over-year reduction in cash generated from core operations, potentially due to increased outflows for taxes and adjustments in non-operational income.

Cash Flow from Investing Activities

Investments and Property Purchases: The company made significant purchases of investments, leading to a large cash outflow, with only partial offset from proceeds from the sale of investments and fixed deposit income.

Proceeds from Sales and Dividends: The cash inflow primarily resulted from the sale of investments, interest income, and dividends, balancing the investment-related expenses. The net cash generated from investing activities was ₹3,325.66 lakhs for 2024, a significant improvement over the previous year's outflow of ₹-35,896.15 lakhs, likely reflecting strategic divestment or proceeds from sales.

Cash Flow from Financing Activities

Interest and Dividends: The company paid dividends and interest on lease liabilities, which contributed to cash outflow.

Buyback of Shares: The company repurchased shares, leading to additional cash outflow.

Net Cash Used in Financing Activities: Overall, financing activities led to a net cash outflow of ₹-661.67 lakhs in 2024 compared to ₹-498.27 lakhs in 2023, indicating moderate cash usage in shareholder and financing-related activities.

Net Change in Cash and Cash Equivalents

Year-End Cash Position: The company ended the year with a net increase in cash and cash equivalents of ₹226.35 lakhs, reaching a closing balance of ₹334.97 lakhs in 2024 compared to ₹108.62 lakhs in 2023.

Capricon Realty Annual Report

Capricon Realty Annual Report 2023-24

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Capricon Realty Annual Report 2022-23

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Capricon Realty Annual Report 2020-21

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Corporate Actions

Capricon Realty Letter of Offer 2023-24

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