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×

Rainbow Papers Latest Annual Report, Balance Sheet and Financials

Last Traded Price 2.00 + 0.00 %

Rainbow Papers Limited (RAINBOWPAP) Return Comparision with Primex 40 Index

Periods 1 Week 1 Month 3 Months 6 Months 1 Year 3 Years All Time
Primex-40 -15.70 (-0.43%) -58.84 (-1.59%) 200.37 (5.83%) 590.52 (19.40%) 1204.06 (49.53%) 1425.26 (18.05%)
Rainbow Papers Limited

Rainbow Papers Limited Balance Sheet (In Rs Lakhs)

Particulars

2018

2017

ASSETS

 

 

I. Non-current assets

 

 

(a) Property, plant and equipment

1,11,998.89

1,23,105.66

(b) Capital work-in-progress

6,426.78

6,426.78

(c)    Non-current financial assets

 

 

(i) Investments

400.24

1,402.99

(ii) Long-term loans and advances

1.35

1.35

(iii) Other non-current financial

5.29

10.87

(d) Other non-current assets

6.14

1,691.78

 

1,18,838.69

1,32,639.43

II. Current assets

 

 

(a) Inventories

813.09

841.48

(b) Financial assets

 

 

(i) Trade receivables

6.65

720.58

(ii) Cash and cash equivalents

3,091.95

60.12

(iii) Loans and advances

0.15

5,461.32

(c) Current tax assets (net)

221.79

221.79

(d) Other current assets

666.6

700.23

 

4,800.23

8,005.52

Total Assets

1,23,638.92

1,40,644.95

EQUITY AND LIABILITIES

 

 

Equity

 

 

(a) Equity share capital

2,124.35

2,124.35

(b) Other equity

-20,802.57

-930.24

 

-18,678.22

1,194.11

LIABILITIES

 

 

I. Non-current liabilities

 

 

(a) Non-current financial liabilities

 

 

(i) Borrowings

-

4.23

(b) Other Non-current liabilities

4,113.00

872.86

(c) Deferred tax liabilities (net)

5,048.06

5,048.06

 

9,161.06

5,925.15

II. Current liabilities

 

 

(a) Financial liabilities

 

 

(i) Borrowings

57,984.43

58,578.89

(ii) Trade payables

14,665.63

14,726.05

(iii) Other current financial liabilities

58,880.40

58,488.51

(b) Other current liabilities

1,558.06

1,587.18

(c) Provisions

67.56

145.06

 

1,33,156.08

1,33,525.69

Total Equity and Liabilities

1,23,638.92

1,40,644.95

Rainbow Papers Limited Profit & Loss Statement (In Rs Lakhs)

Particulars

2018

2017

Dis-continuing operations

 

 

Revenue from operations

28.39

5,163.85

Other Income

1.43

143.12

Total income

29.82

5,306.97

IV Expenses

 

 

(a) Cost of material consumed

28.38

2,196.27

(b) Purchase of stock in trade

-

913.69

(c) Changes in inventories

-

285.7

(d) Employee benefit expense

265.46

988.24

(e) Finance Costs

3.01

770.63

(f) Depreciation and amortization expense

11,111.72

13,647.57

(g) Other expense

8,493.58

3,443.62

Total expense

19,902.15

22,245.72

Net Profit/(Loss)

-19,872.33

-16,938.75

Profit/(loss) before tax

-19,872.33

-16,938.75

Profit/(loss) for the period

-19,872.33

-16,938.75

A (i) Items that will not be reclassified to profit or loss

-

7.72

B (i) Items that will be reclassified to profit or loss

 

 

(ii) Income Tax related to items that will be reclassified to profit or loss

 

 

Total Comprehensive Income for the period

-19872.33

-16,946.47

Income for the period )

-19,872.33

-16,946.47

Earnings Per Equity Share

 

 

(1) Basic

-18.71

-15.95

(2) Diluted

-18.71

-15.95

Rainbow Papers Limited Consolidated Cash Flow Statement (In Rs Lakhs)

Particulars

2018

2017

A.  Cash flow form operating activities

 

 

Net Profit before extra ordinary items

-19,872.33

-16,938.75

Adjustments to reconcile profit before tax to net cash flow

 

 

Depreciation and amortisation

11,111.72

13,647.57

Bad-debt written off (Net)

74.17

312.82

Provision for Fair value adjustment

6,980.23

-

Investment written off/ (written back)

1,002.75

-

Finance Costs

0.21

30.39

Loss/(Profit) on sale of Assets/Investment

-1.29

-5.56

Foreign Currency Monetry Assets Reserve

-

614.41

Changes in employee benefits measurements

-

-7.72

Operating profit before working capital changes

-704.54

-2,346.84

Adjustments For:

 

 

(Increase)/decrease in trade payables

-60.42

-1,604.95

Increase/(decrease) in current liabilities and provisions

287.21

-1,362.38

(Increase)/decrease in inventories

28.4

839.91

(Increase)/decrease in trade receivable

639.76

2,599.06

(Increase)/decrease in other non current liabilities

3,240.14

-13,837.41

Movement in Other current Assets

33.63

3,324.29

Movement in Other Non Current Assets

45.57

89.49

Cash used in operations

3,509.75

-12,298.83

Income taxes paid (net)

-

-3.11

Net cash flow from operating activities

3,509.75

-12,301.94

Cash flow from investing activities

 

 

Purchase of fixed assets ( Including CWIP)

-

-128.33

Proceeds from sale of fixed assets

1.3

6.87

Movement in Loans and Advances

121.6

-53.21

Purchase/Sale of non-current investments

-

-1,361.59

Interest received

1.02

16.94

Net cash used in investing activities

123.93

-1,519.32

Cash flow from financing activities

 

 

Proceeds from long term borrowings

-4.23

-40,825.46

Proceeds from short term borrowings

-594.47

53,754.53

Interest paid

-1.23

-47.34

Unpaid dividend transferred to fund

-1.91

-2.33

Net cash generated from / (used) in Financing Activities

-601.84

12,879.40

Net (decrease)/increase in Cash & Cash Equivalents

3,031.83

-941.86

Cash and Cash Equivalents at beginning of year

60.12

1,001.98

Cash and Cash Equivalents at end of year

3,091.95

60.12

Here is a summary of the Cash Flow Statement for the years 2018 and 2017:

 Cash Flow from Operating Activities:

1. Net Profit before Extraordinary Items: This represents the net profit of the company before considering any extraordinary items. In 2018, it was -Rs.19,872.33, and in 2017, it was -Rs.16,938.75.

2. Adjustments to Reconcile Profit Before Tax to Net Cash Flow: These are adjustments made to convert the profit before tax figure into the net cash flow from operating activities. It includes items like depreciation, bad-debt written off, provision for fair value adjustment, etc.

3. Operating Profit Before Working Capital Changes: This represents the profit generated from the core operations of the business before considering changes in working capital. In 2018, it was -Rs.704.54, and in 2017, it was -Rs.2,346.84.

4. Adjustments for Working Capital Changes: These adjustments account for changes in current assets and liabilities such as trade payables, trade receivables, inventories, etc. It reflects how the company 's working capital management affects its cash flow.

5. Cash Used in Operations: This is the net cash flow generated or consumed by the company 's operating activities. In 2018, it was Rs.3,509.75, indicating positive cash flow from operations, whereas in 2017, it was -Rs.12,298.83, indicating negative cash flow from operations.

 

 Cash Flow from Investing Activities:

1. Purchase/Sale of Fixed Assets: This represents the cash flows related to the acquisition or disposal of fixed assets. In 2018, there were no purchases, but there were sales worth Rs.1.3. In 2017, there was a purchase of fixed assets worth -Rs.128.33 and sales worth Rs.6.87.

 

2. Movement in Loans and Advances: This accounts for changes in loans and advances made by the company. In 2018, there was a movement of Rs.121.6, whereas in 2017, there was a movement of -Rs.53.21.

 

3. Purchase/Sale of Non-current Investments: This represents cash flows related to the acquisition or disposal of non-current investments. In 2018, there were no transactions, but in 2017, there were sales worth -Rs.1,361.59.

 Cash Flow from Financing Activities:

1. Proceeds from Long-term and Short-term Borrowings: These are cash flows generated from obtaining long-term and short-term borrowings. In 2018, there were proceeds from short-term borrowings worth -Rs.594.47 and no proceeds from long-term borrowings. In 2017, there were proceeds from short-term borrowings worth Rs.53,754.53 and negative proceeds from long-term borrowings worth -Rs.4.23.

2. Interest Paid and Received: These are cash flows related to the payment and receipt of interest on borrowings and investments. In 2018, there was interest paid of -Rs.1.23 and interest received of Rs.1.02. In 2017, there was interest paid of -Rs.47.34 and interest received of Rs.16.94.

3. Unpaid Dividend Transferred to Fund: This represents the transfer of unpaid dividends to a fund. In 2018, there was a transfer of -Rs.1.91, and in 2017, there was a transfer of -Rs.2.33.

 Net Increase/(Decrease) in Cash & Cash Equivalents:

- This represents the overall change in cash and cash equivalents during the period. In 2018, there was a net increase of Rs.3,031.83, and in 2017, there was a net decrease of -Rs.941.86.

 Cash and Cash Equivalents:

- These figures represent the cash and cash equivalents at the beginning and end of the year. In 2018, cash and cash equivalents increased from Rs.60.12 to Rs.3,091.95, whereas in 2017, they decreased from Rs.1,001.98 to Rs.60.12.

 

Financial Ratios (NA)

Dividend History (NA)

Rainbow Papers Annual Report

Rainbow Papers Annual Report 2017-18

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