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 Profit & Loss  
Sterling Tools Ltd.
 
BSE Code 530759
ISIN Demat INE334A01023
Book Value 140.44
NSE Code STERTOOLS
Dividend Yield % 1.24
Market Cap 7328.85
P/E 14.20
EPS 14.20
Face Value 2  
Type
(Rs. in Million)
Particulars Mar 2025Mar 2024Mar 2023Mar 2022Mar 2021
INCOME :          
Gross Sales10500.90  9782.40  7870.40  5223.60  3653.10  
     Sales10407.60  9686.10  7776.70  5127.00  3581.00  
     Job Work/ Contract Receipts          
     Processing Charges / Service Income7.30  5.70  2.60  3.70    
     Revenue from property development          
     Other Operational Income85.90  90.70  91.10  92.80  72.00  
Less: Excise Duty          
Net Sales10263.00  9319.70  7719.80  5095.80  3554.80  
EXPENDITURE :          
Increase/Decrease in Stock-30.50  -72.60  -117.30  -102.90  -154.90  
Raw Material Consumed5149.60  4996.30  4003.70  2343.30  1369.50  
     Opening Raw Materials776.40  739.10  472.50  522.70  197.00  
     Purchases Raw Materials5169.90  5033.70  4270.20  2293.10  1695.10  
     Closing Raw Materials796.70  776.40  739.10  472.50  522.70  
     Other Direct Purchases / Brought in cost          
     Other raw material cost0.00  0.00  0.00  0.00  0.00  
Power & Fuel Cost487.50  483.50  470.40  387.70  307.70  
     Electricity & Power487.50  483.50  470.40  387.70  307.70  
     Oil, Fuel & Natural gas0.00  0.00  0.00  0.00  0.00  
     Coals etc0.00  0.00  0.00  0.00  0.00  
     Other power & fuel0.00  0.00  0.00  0.00  0.00  
Employee Cost894.90  651.80  521.10  445.60  379.10  
     Salaries, Wages & Bonus719.10  580.80  464.90  400.70  334.60  
     Contributions to EPF & Pension Funds33.00  28.00  39.80  34.90  33.50  
     Workmen and Staff Welfare Expenses30.90  23.10  16.40  10.10  11.00  
     Other Employees Cost111.90  20.00  0.00  0.00  0.00  
Other Manufacturing Expenses1720.90  1584.70  1357.50  1003.10  748.20  
     Sub-contracted / Out sourced services      168.30    
     Processing Charges785.50  715.20  510.20  174.00  278.70  
     Repairs and Maintenance214.00  194.20  226.50  171.60  113.20  
     Packing Material Consumed99.60  94.70  101.50  92.10  63.10  
     Other Mfg Exp621.70  580.70  519.30  397.20  293.20  
General and Administration Expenses256.00  186.90  144.40  105.00  80.50  
     Rent , Rates & Taxes15.10  20.50  13.40  10.80  7.00  
     Insurance28.20  24.50  20.60  18.30  13.30  
     Printing and stationery          
     Professional and legal fees113.20  70.30  52.10  43.20  37.50  
     Traveling and conveyance55.50  47.50  33.20  14.60  5.00  
     Other Administration99.50  71.60  58.40  32.60  22.70  
Selling and Distribution Expenses240.70  214.00  201.90  155.80  130.20  
     Advertisement & Sales Promotion28.30  8.00  8.50  7.10  11.50  
     Sales Commissions & Incentives          
     Freight and Forwarding212.40  206.00  193.40  148.80  118.60  
     Handling and Clearing Charges0.00  0.00  0.00  0.00  0.00  
     Other Selling Expenses0.00  0.00  0.00  0.00  0.00  
Miscellaneous Expenses448.30  197.30  162.70  92.60  76.70  
     Bad debts /advances written off0.20  0.50  0.20  0.10  1.30  
     Provision for doubtful debts11.50  1.80  0.80  10.30  3.20  
     Losson disposal of fixed assets(net)57.00      0.40  9.00  
     Losson foreign exchange fluctuations3.20    6.70  4.00  1.20  
     Losson sale of non-trade current investments    0.40      
     Other Miscellaneous Expenses376.30  195.00  154.70  77.80  62.00  
Less: Expenses Capitalised          
Total Expenditure9167.30  8242.00  6744.40  4430.20  2936.90  
Operating Profit (Excl OI)1095.70  1077.70  975.40  665.60  617.90  
Other Income116.50  65.40  29.00  30.30  30.30  
     Interest Received71.30  46.10  14.30  13.70  24.20  
     Dividend Received    0.00  0.10    
     Profit on sale of Fixed Assets  3.00  3.40      
     Profits on sale of Investments    2.60  6.20    
     Provision Written Back0.20  0.90  0.10  0.80  1.60  
     Foreign Exchange Gains  5.90        
     Others45.00  9.50  8.70  9.60  4.50  
Operating Profit1212.20  1143.10  1004.40  695.90  648.20  
Interest97.70  94.60  88.40  68.70  76.00  
     InterestonDebenture / Bonds          
     Interest on Term Loan          
     Intereston Fixed deposits          
     Bank Charges etc    4.40  3.90  1.60  
     Other Interest97.70  94.60  83.90  64.80  74.40  
PBDT1114.50  1048.50  916.00  627.20  572.20  
Depreciation348.20  330.50  317.20  273.40  263.80  
Profit Before Taxation & Exceptional Items766.40  718.00  598.80  353.80  308.50  
Exceptional Income / Expenses  4.00  34.40      
Profit Before Tax766.40  722.00  633.30  347.70  303.40  
Provision for Tax183.40  168.30  154.50  92.30  68.30  
     Current Income Tax195.60  195.90  159.00  108.90  96.10  
     Deferred Tax-12.20  -27.60  -4.50  -12.10  -9.10  
     Other taxes0.00  0.00  0.00  -4.50  -18.60  
Profit After Tax582.90  553.70  478.80  255.40  235.10  
Extra items0.00  0.00  0.00  0.00  0.00  
Minority Interest      0.00  0.00  
Share of Associate          
Other Consolidated Items          
Consolidated Net Profit582.90  553.70  478.80  255.40  235.10  
Adjustments to PAT          
Profit Balance B/F3573.80  3098.70  2657.30  2438.40  2199.30  
Appropriations4156.70  3652.30  3136.10  2693.80  2434.40  
     General Reserves          
     Proposed Equity Dividend          
     Corporate dividend tax          
     Other Appropriation76.50  78.50  37.40  36.50  -4.00  
Equity Dividend %125.00  100.00  100.00  50.00  50.00  
Earnings Per Share16.00  15.00  13.00  7.00  7.00  
Adjusted EPS16.00  15.00  13.00  7.00  7.00  
 
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