Unlisted Deals:
ador powertron 500.00 (4,900.00 %) aitmc formerly avpl 62.00 (-6.06 %) 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 1,600.00 (3.23 %) 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 %) mohan meakin 2,300.00 (-4.17 %) mohfl 22.00 (4.76 %) msei 4.50 (-5.26 %) msil 34.00 (3.03 %) nayara energy 990.00 (-1.98 %) nayara energy ncd 320.00 (1.59 %) ncdex 199.00 (-1.49 %) ncl buildtek 320.00 (3.23 %) 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 420.00 (2.44 %) oswal minerals 60.10 (-1.48 %) otis elevator 4,100.00 (2.50 %) oyo rooms 56.00 (1.82 %) 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 530.00 (1.92 %) 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 625.00 (0.81 %) studds 1,390.00 (-0.71 %) svsml 315.00 (2.94 %) t stanes 800.00 (1.27 %) tata capital 880.00 (1.15 %) 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 %)
×

Greenearth Resources & Projects Annual Report & Financials

Greenearth Resources And Projects Limited (Austral Coke) Return Comparision with Primex 40 Index

Periods 1 Week 1 Month 3 Months 6 Months 1 Year 3 Years All Time
Primex-40
Greenearth Resources And Projects Limited

Greenearth Resources and Projects Limited Balance Sheet (In Rs)

Particulars

2022

2021

Balance sheet [Abstract]

 

 

Assets [Abstract]

 

 

Non-current assets [Abstract]

 

 

Property, plant and equipment

20,23,64,899

21,70,11,938

Other intangible assets

0

0

Non-current financial assets [Abstract]

 

 

Non-current investments

0

0

Loans, non-current

0

0

Total non-current financial assets

0

0

Total non-current assets

20,23,64,899

21,70,11,938

Current assets [Abstract]

 

 

Inventories

0

0

Current financial assets [Abstract]

 

 

Current investments

0

0

Trade receivables, current

0

32,34,000

Cash and cash equivalents

55,20,452

55,47,952

Loans, current

2,00,36,254

2,00,24,919

Other current financial assets

1,50,68,127

1,14,65,882

Total current financial assets

4,06,24,833

4,02,72,753

Current tax assets

3,57,55,961

3,57,55,961

Other current assets

8,58,21,828

8,58,04,855

Total current assets

16,22,02,622

16,18,33,569

Total assets

36,45,67,521

37,88,45,507

Equity and liabilities [Abstract]

 

 

Equity [Abstract]

 

 

Equity attributable to owners of parent [Abstract]

 

 

Equity share capital

29,02,96,040

29,02,96,040

Other equity

-3,21,72,22,827

-3,20,22,67,288

Total equity attributable to owners of parent

-2,92,69,26,787

-2,91,19,71,248

Non controlling interest

0

0

Total equity

-2,92,69,26,787

-2,91,19,71,248

Liabilities [Abstract]

 

 

Non-current liabilities [Abstract]

 

 

Non-current financial liabilities [Abstract]

 

 

Borrowings, non-current

42,79,05,970

42,79,05,970

Total non-current financial liabilities

42,79,05,970

42,79,05,970

Provisions, non-current

0

0

Deferred tax liabilities (net)

3,88,26,045

3,88,26,045

Total non-current liabilities

46,67,32,015

46,67,32,015

Current liabilities [Abstract]

 

 

Current financial liabilities [Abstract]

 

 

Borrowings, current

2,29,67,55,922

2,29,67,55,922

Trade payables, current

29,25,07,457

29,18,29,904

Total current financial liabilities

2,58,92,63,379

2,58,85,85,826

Other current liabilities

14,98,69,912

14,98,69,912

Provisions, current

0

0

Current tax liabilities

8,56,29,002

8,56,29,002

Total current liabilities

2,82,47,62,293

2,82,40,84,740

Total liabilities

3,29,14,94,308

3,29,08,16,755

Total equity and liabilities

36,45,67,521

37,88,45,507

Greenearth Resources and Projects Limited Profit & Loss Statement (In Rs)

Particulars

2022

2021

REVENUE

 

 

Statement of profit and loss [Abstract]

 

 

Income [Abstract]

 

 

Revenue from operations

6,00,000

6,00,000

Other income

66,308

66,308

Total income

6,66,308

6,66,308

Expenses [Abstract]

 

 

Cost of materials consumed

0

0

Changes in inventories of finished goods, work-in-progress and stock-in-trade

0

0

Employee benefit expense

0

0

Finance costs

0

0

Depreciation, depletion and amortisation expense

1,46,47,039

2,02,20,604

Other expenses

9,74,808

15,46,75,002

Total expenses

1,56,21,847

17,48,95,606

Profit before exceptional items and tax

-1,49,55,539

-17,42,29,298

Total profit before tax

-1,49,55,539

-17,42,29,298

Tax expense [Abstract]

 

 

Current tax

0

0

Total tax expense

0

0

Total profit (loss) for period from continuing operations

-1,49,55,539

-17,42,29,298

Tax expense of discontinued operations

0

0

Total profit (loss) from discontinued operations after tax

0

0

Total profit (loss) for period

-1,49,55,539

-17,42,29,298

Comprehensive income OCI components presented net of tax [Abstract]

 

 

Whether company has other comprehensive income OCI components presented net of tax

No

No

Other comprehensive income net of tax [Abstract]

 

 

Other comprehensive income that will not be reclassified to profit or loss, net of tax, others

0

0

Total other comprehensive income that will not be reclassified to profit or loss, net of tax

0

0

Components of other comprehensive income that will be reclassified to profit or loss, net of tax [Abstract]

 

 

Exchange differences on translation net of tax [Abstract]

 

 

Total other comprehensive income, net of tax, exchange differences on translation

0

0

Debt instrument through other comprehensive income Net of tax [Abstract]

 

 

Other comprehensive income, net of tax, Debt instrument through other comprehensive income

0

0

Cash flow hedges net of tax [Abstract]

 

 

Total other comprehensive income, net of tax, cash flow hedges

0

0

Hedges of net investment in foreign operations net of tax [Abstract]

 

 

Total other comprehensive income, net of tax, hedges of net investments in foreign operations

0

0

Change in value of time value of options net of tax [Abstract]

 

 

Total other comprehensive income, net of tax, change in value of time value of options

0

0

Change in value of forward elements of forward contracts net of tax [Abstract]

 

 

Total other comprehensive income, net of tax, change in value of forward elements of forward contracts

0

0

Change in value of foreign currency basis spreads net of tax [Abstract]

 

 

Total other comprehensive income, net of tax, change in value of foreign currency basis spreads

0

0

Other comprehensive income, net of tax, net movement in regulatory deferral account balances related to items that will be reclassified to profit or loss [Abstract]

 

 

Total other comprehensive income, net of tax, net movement in regulatory deferral account balances related to items that will be reclassified to profit or loss

 

 

0

0

Financial assets measured at fair value through other comprehensive income net of tax [Abstract]

 

 

Total other comprehensive income, net of tax, financial assets measured at fair value through other comprehensive income

 

 

0

0

Other comprehensive income that will be reclassified to profit or loss, net of tax, others

0

0

Total other comprehensive income that will be reclassified to profit or loss, net of tax

0

0

Total other comprehensive income

0

0

Total comprehensive income

-1,49,55,539

-17,42,29,298

Comprehensive income OCI components presented before tax [Abstract]

 

 

Whether company has comprehensive income OCI components presented before tax

No

No

Other comprehensive income before tax [Abstract]

 

 

Total other comprehensive income

0

0

Total comprehensive income

-1,49,55,539

-17,42,29,298

Earnings per share explanatory [TextBlock]

 

 

Earnings per share [Abstract]

 

 

Earnings per share [Line items]

 

 

Basic earnings per share [Abstract]

 

 

Basic earnings (loss) per share from continuing operations

[INR/shares] -0.05

[INR/shares] -0.6

Total basic earnings (loss) per share

[INR/shares] -0.05

[INR/shares] -0.6

Diluted earnings per share [Abstract]

 

 

Diluted earnings (loss) per share from continuing operations

[INR/shares] -0.05

[INR/shares] -0.6

Total diluted earnings (loss) per share

[INR/shares] -0.05

[INR/shares] -0.6

Greenearth Resources and Projects Limited Consolidated Cash Flow Statement (In Rs)

Particulars

2022

2021

Statement of cash flows [Abstract]

 

 

Whether cash flow statement is applicable on company

Yes

Yes

Cash flows from used in operating activities [Abstract]

 

 

Profit before tax

-1,49,55,539

-17,42,29,298

Adjustments for reconcile profit (loss) [Abstract]

 

 

Adjustments for decrease (increase) in inventories

0

9,33,124

Adjustments for decrease (increase) in trade receivables, current

32,34,000

8,06,50,639

Adjustments for decrease (increase) in other current assets

-36,30,553

7,76,232

Adjustments for other financial assets, non-current

66,308

66,308

Adjustments for increase (decrease) in other current liabilities

6,77,553

0

Adjustments for depreciation and amortisation expense

1,46,47,039

2,02,20,604

Total adjustments for reconcile profit (loss)

1,49,94,347

10,26,46,907

Net cash flows from (used in) operations

38,808

-7,15,82,391

Other inflows (outflows) of cash

0

7,16,21,199

Net cash flows from (used in) operating activities

38,808

38,808

Cash flows from used in investing activities [Abstract]

 

 

Interest received

-66,308

-66,308

Net cash flows from (used in) investing activities

-66,308

-66,308

Cash flows from used in financing activities [Abstract]

 

 

Net cash flows from (used in) financing activities

0

0

Net increase (decrease) in cash and cash equivalents before effect of exchange rate changes

-27,500

-27,500

Net increase (decrease) in cash and cash equivalents

-27,500

-27,500

Cash and cash equivalents cash flow statement at end of period

55,20,452

55,47,952

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

1. Applicability of Cash Flow Statement:

The statement of cash flows is applicable to the company in both 2022 and 2021.

2. Cash Flows from Operating Activities:

Profit before Tax:

  In 2022, the company reported a profit before tax of -1,49,55,539, a significant decrease from the previous year 's -17,42,29,298.

Adjustments for Reconcile Profit (Loss):

  Adjustments include factors such as changes in inventories, trade receivables, other current assets, other financial assets, other current liabilities, and depreciation and amortization expense.

  Notable adjustments include a decrease in trade receivables (32,34,000) and an increase in other current liabilities (6,77,553).

  The total adjustments for reconciling profit or loss amount to 1,49,94,347 in 2022, compared to 10,26,46,907 in 2021.

Net Cash Flows from (Used in) Operations:

  The net cash flows from operating activities in 2022 improved to 38,808 compared to a significant negative value of -7,15,82,391 in 2021.

Other Inflows (Outflows) of Cash:

  There were no other significant inflows or outflows of cash in both 2022 and 2021.

3. Cash Flows from Investing Activities:

Interest Received:

  The company received interest of -66,308 in both 2022 and 2021.

Net Cash Flows from (Used in) Investing Activities:

  The net cash flows from investing activities amounted to -66,308 in both years, reflecting the interest received.

4. Cash Flows from Financing Activities:

There were no net cash flows from financing activities in both 2022 and 2021.

5. Net Increase (Decrease) in Cash and Cash Equivalents:

The net increase (decrease) in cash and cash equivalents before the effect of exchange rate changes was -27,500 in both 2022 and 2021.

The net increase (decrease) in cash and cash equivalents remained consistent at -27,500 in both years.

6. Cash and Cash Equivalents at the End of the Period:

The cash and cash equivalents at the end of the period were 55,20,452 in 2022, slightly lower than 55,47,952 in 2021.

Financial Ratios

Ratio

2022

EBITDA

99.76%

Networth

-0.51%

Debt/Equity Ratio

-0.93

Return on Equity

NA

Total Assets

-3.77%

Fixed Assets

-6.75%

Current Assets

0.23%

Current Liabilities

0.02%

Trade Receivables

-100%

Trade Payables

0.23%

Current Ratio

0.06

Summary of Financial Ratios for the year 2022:

1. EBITDA Margin (Earnings Before Interest, Taxes, Depreciation, and Amortization):

The EBITDA margin of 99.76% signifies a high proportion of operating earnings relative to revenue. This suggests strong operational efficiency and profitability.

2. Net Worth Margin:

The net worth margin of -0.51% indicates a negative value, suggesting that the company 's liabilities may exceed its assets. This could signal financial distress or challenges in maintaining a positive net worth.

3. Debt/Equity Ratio:

The Debt/Equity Ratio at -0.93 is an unusual figure. A negative ratio could imply an inverse relationship between debt and equity, potentially indicating a higher equity position than debt. However, further context is needed to accurately interpret this result.

4. Return on Equity (ROE):

The Return on Equity is marked as NA, indicating insufficient data to calculate this ratio. ROE is a crucial measure of a company 's profitability relative to shareholder equity, and the absence of this figure warrants further investigation.

5. Total Assets Turnover:

The Total Assets Turnover at -3.77% suggests that the company may be facing challenges in efficiently utilizing its assets to generate revenue. This could indicate potential inefficiencies in asset management.

6. Fixed Assets Turnover:

With a Fixed Assets Turnover of -6.75%, the company may be experiencing difficulties in effectively using its fixed assets to generate revenue. This could signify underutilization or depreciation concerns.

7. Current Assets Turnover:

The Current Assets Turnover of 0.23% indicates a moderate efficiency in using current assets to generate revenue. While not alarming, further analysis is needed to assess the company 's overall liquidity and efficiency.

8. Current Liabilities Turnover:

The Current Liabilities Turnover of 0.02% suggests a relatively low efficiency in using current liabilities to generate revenue. This could imply that the company is not effectively leveraging short-term liabilities for operational activities.

9. Trade Receivables Turnover:

A Trade Receivables Turnover of -100% is an unusual figure, possibly indicating a negative value for trade receivables or a data reporting anomaly. Further investigation is necessary to understand and rectify this anomaly.

10. Trade Payables Turnover:

 The Trade Payables Turnover of 0.23% suggests a moderate efficiency in managing trade payables, indicating that the company is effectively utilizing these liabilities for operational purposes.

11. Current Ratio:

 The Current Ratio of 0.06 raises concerns about liquidity. A ratio below 1 implies that current assets may not be sufficient to cover current liabilities, potentially indicating a short-term liquidity challenge.

Dividend History (NA)

Greenearth Resources And Projects Annual Report 2021-22

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