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IFL ENTERPRISES LIMITED

IFL BSE Textile Manufacturing Consumer Cyclical

IFL Enterprises Limited trades in fabrics and related textile products in India. It offers services for procurement of orders; and engages in the real estate business. The company also operates as a commission agent sto…

ISIN INE714U01024
Listed β€”
Quarters tracked β€”
Filings 0 docs

About

IFL Enterprises Limited trades in fabrics and related textile products in India. It offers services for procurement of orders; and engages in the real estate business. The company also operates as a commission agent stockiest on behalf of others, as well as shares and securities. In addition, it is involved in trading of all type of paper for writing, wrapping, kraft and semi kraft cloth paper, wall paper, and related products. The company was formerly known as Sarthak Suppliers Private Limited and changed its name to IFL Enterprises Limited in January 2016. IFL Enterprises Limited was incorporated in 2009 and is based in Ahmedabad, India.

Quarterly Results

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Profit & Loss

Annual Β· Rs. Crores
Metric Mar 2009Mar 2008Mar 2007Mar 2006
Sales 99.00169.00207.00167.00
Expenses 219.00171.00206.00179.00
Operating Profit -120.00-3.001.00-12.00
OPM % -121.00-1.500.40-7.00
Other Income 0.009.002.0031.00
Interest 16.0020.0017.0016.00
Depreciation 14.0014.0015.0015.00
Profit before tax -149.00-28.00-29.00-13.00
Tax % 0.000.001.001.00
Net Profit -149.00-28.00-29.00-13.00
EPS in Rs -9.06β€”β€”β€”
Dividend Payout % 0.000.000.000.00

Balance Sheet

Annual Β· Rs. Crores β€” latest first
Metric Mar 2009Mar 2008Mar 2007Mar 2006
Equity Capital 16.0031.0031.0031.00
Reserves -275.00-211.00-180.00-148.00
Borrowings 269.00296.00291.00293.00
Other Liabilities 101.0078.0070.0054.00
Total Liabilities 112.00194.00212.00230.00
Fixed Assets 60.00133.00150.00166.00
CWIP 0.000.000.000.00
Investments 0.000.000.000.00
Other Assets 51.0061.0063.0063.00
Total Assets 112.00194.00212.00230.00

Cash Flows

Annual Β· Rs. Crores β€” latest first
Metric Mar 2009Mar 2008Mar 2007Mar 2006
Cash from Operating Activity -83.0012.0019.00-3.00
Cash from Investing Activity 56.000.000.000.00
Cash from Financing Activity 28.00-12.00-18.004.00
Net Cash Flow 1.000.001.001.00
Free Cash Flow -83.0012.0019.00-3.00
CFO/OP % 69.00-457.002,102.0046.00

Ratios

Annual Β· Days / % β€” latest first
Metric Mar 2009Mar 2008Mar 2007Mar 2006
Debtor Days 66.0050.0044.0052.00
Inventory Days 55.0054.0041.0061.00
Days Payable 97.00207.00141.00142.00
Cash Conversion Cycle 24.00-103.00-57.00-29.00
Working Capital Days -196.00-43.00-21.009.00
ROCE % -210.00-9.00-7.00β€”

Corporate Actions

10 records
ActionEx DateRecord DateRatioAmount (β‚Ή)Notes
Other 13 Jun 2025 13 Jun 2025 β€” β€” Right Issue of Equity Shares
Bonus 20 Sep 2024 21 Sep 2024 1:150 β€”
Other 17 May 2024 17 May 2024 β€” β€” Right Issue of Equity Shares
Bonus 18 Dec 2023 18 Dec 2023 1:10 β€”
Dividend 17 Nov 2023 17 Nov 2023 β€” 0.00
Dividend 17 Nov 2023 17 Nov 2023 β€” 0.00
Split 21 Apr 2023 21 Apr 2023 10:1 β€”
Bonus 21 Apr 2023 21 Apr 2023 1:4 β€”
Bonus 21 Sep 2022 21 Sep 2022 1:1 β€”
Other 04 Dec 2009 β€” β€” β€” Annual General Meeting