Gain deep insights into companies, competitors, and market trends to drive smarter business growth and success.

WIM PLAST LIMITED

Active

WIM PLAST LIMITED having CIN L25209DD1988PLC001544 is 36 years , 9 month & 10 days old Public Indian Company incorporated on 10 Jul 1988. It is classified as Non-government company and is registered at Registrar of Companies. ROC Goa, Its authorized share capital is Rs. 140,000,000 and its paid up capital is Rs. 120,033,600. It's NIC code is 729 (which is part of its CIN).

As per the NIC code, it is inolved in Other computer related activities [for example maintenance of websites of other firms/ creation of multimedia presentations for other firms etc.]. WIM PLAST LIMITED Annual General Meeting (AGM) was last held on N/A and as per records from Ministry of Corporate Affairs (MCA), its balance sheet was last filed on 08-11-2023. Directors of WIM PLAST LIMITED are Pankaj Ghisulal Rathod and Piyush Sohanrajji Chhajed.

WIM PLAST LIMITED ' Corporate Identification Number (CIN) is L25209DD1988PLC001544 and its registration number is 001544. Users may contact WIM PLAST LIMITED on its Email address - wimplast@celloworld.com Registered address of WIM PLAST LIMITED is S. no. 324 / 4 to 7 of kachigam, village kachigam swami narayan gurukul road,daman,daman and diu,india-396210. Current status of WIM PLAST LIMITED is - Active.

Key Indicators

Authorised Capital
140,000,000

as on 10/07/1988

Paid Up Capital
120,033,600

as on 10/07/1988

Company Age
36 Year, 6 Months
Last Filing with ROC
1 Year, 8 Months

Company Information

CIN L25209DD1988PLC001544
Company Status Active
Registration Number 001544
Date of Incorporation 10/07/1988
RoC ROC Goa
Company Age 36 years & 204 days
Authorized Capital ₹ 140000000
Paid-up capital ₹ 120033600
Company Category Company limited by shares
Company Sub-Category Non-government company
Class of company Public
Activity Computer programming, consultancy and related activities
Listing status listed
Date of Last Annual General Meeting 31-03-2023
Date of Latest Balance Sheet 31-03-2023

Contact

Email ID wimplast@celloworld.com
Address S. No. 324 / 4 to 7 of Kachigam, Village Kachigam Swami Narayan Gurukul Road Daman Daman and Diu India 396210
Website celloworld.com
Contact Number +91*******

Location on Map

Director

Designation Name Date OF Appointment DIN PAN Tenure
Director 02/12/2020 00027527 *****5520Q 4 years
Director 09/12/2009 02372984 *****8126D 15 years
Director
KARISHMA HARSH PAREKH shareholder
08/09/2014 06884681 *****5526J 10 years
Director
RASNA RAGHU PATEL shareholder
08/10/2019 08273754 *****2640G 5 years
Director
GAURAV PRADEEP RATHOD shareholder
08/13/2020 06800983 *****5523P 4 years
Director 08/13/2020 02907098 *****1012C 4 years
Director
PUSHAPRAJ SINGHVI shareholder
08/09/2014 00255738 *****5410L 10 years
Director 09/18/2010 01532570 *****1708N 13 years
Director 05/26/2014 *****7853M 9 years
Director
DARSHA YASH ADODRA shareholder
03/15/2019 *****1084Q 5 years
Director 01/05/2023 *****0420B 1 years
Director 08/26/2016 07458093 *****2136D 7 years
Director 05/30/2019 00027572 *****5522N 3 years
Director
PUSHAPRAJ SINGHVI shareholder
04/18/2023 00255738 *****5410L 0 years
Director 03/13/2023 00027527 *****5520Q 1 years
Director
GAURAV PRADEEP RATHOD shareholder
04/11/2023 06800983 1 years
Director 12/21/2019 *****5522N 4 years
Director 12/21/2019 *****5520Q 4 years
Director
KARISHMA HARSH PAREKH shareholder
11/01/2023 06884681 *****5526J 2 years
Director 07/19/2023 00027572 0 years
Director 07/29/2023 01532570 0 years
Director 08/11/2023 02907098 *****1012C 1 years

Companies connected through Directors

Name Status Paid up Capital Common Directors Address
Active
126,200,000 0 Daman and Diu
Active
126,200,000 0 Daman and Diu
Active
126,200,000 0 Daman and Diu
Active
126,200,000 1 Daman and Diu

Charges on assets

1

STATE BANK OF INDIA

No. of Loans: 1

Total Amount: 5,000,000.00 cr

1

IDBI BANK LTD.

No. of Loans: 1

Total Amount: 125,000,000.00 cr

2

CITIBANK N.A.

No. of Loans: 2

Total Amount: 310,000,000.00 cr

3

INDUSIND BANK LTD.

No. of Loans: 3

Total Amount: 416,200,000.00 cr

1

INDUSTRIAL DEV. BANK OF INDIA

No. of Loans: 1

Total Amount: 35,276,000.00 cr

1

IDBI Bank Limited

No. of Loans: 1

Total Amount: 150,000,000.00 cr

1

INDUSTRIAL DEVELOPMENT BANK OF INDIA

No. of Loans: 1

Total Amount: 14,500,000.00 cr

Charge Holder Branch Amount Date of creation Modification Satisfaction Status
STATE BANK OF INDIA KILLICK HOUSE ; CHARANJIT RAI MARG 5,000,000 03 Jun, 1994 07 Dec, 1994 01 Jun, 2022 Closed
IDBI BANK LTD. CROSS ROAD NO. 2 ; MAROL MIDC ; ANDHERI 125,000,000 13 Jan, 2005 - 02 Jan, 2023 Closed
CITIBANK N.A. BANDRA 155,000,000 30 Aug, 2003 - 30 Jun, 2017 Closed
INDUSIND BANK LTD. 261,200,000 18 Feb, 2000 22 Aug, 2003 31 May, 2010 Closed
INDUSIND BANK LTD. 100,000,000 11 Sep, 1997 - 31 May, 2010 Closed
INDUSTRIAL DEV. BANK OF INDIA 35,276,000 01 Nov, 1997 31 Jul, 1998 02 Jan, 2023 Closed
IDBI Bank Limited Ground Floor, Central Road, MIDC, Andheri East 150,000,000 04 Jan, 2000 12 Jun, 2017 - Open
CITIBANK N.A. BANDRA 155,000,000 27 Aug, 2003 - 30 Jun, 2017 Closed
INDUSTRIAL DEVELOPMENT BANK OF INDIA NARIMAN BHAVAN ; NARIMAN POINT 14,500,000 22 Dec, 1993 07 Dec, 1994 26 Apr, 2023 Closed
INDUSIND BANK LTD. 55,000,000 13 Nov, 1995 25 Jan, 1999 31 May, 2010 Closed

Registered Details

CIN
L25209DD1988PLC001544
PAN
L25209DD1988PLC001544
Incorporation
36 years , 9 month
Company Email
wimplast@celloworld.com
Paid up Capital
₹ 120,033,600
Authorised Capital
₹ 140,000,000
Type
Public Non-government company

* There is the date provided by MCA, but availability for this year is not guaranteed.

Industry

Products

rebars, wire rods, coated coil, building solutions., sections, automotive steels, Hot and cold rolled sheet, agriculture equipments, tubes

Key Metrics

** All rupee values in INR crores. Based on March 2024 numbers.

Sales arrow 9.29%
₹ 140,987.4
EBITDA arrow 29%
₹ 135,987.4
Net Profit arrow 29%
₹ 135,987.4
Networth arrow 29%
₹ 135,987.4
Borrowings arrow 9.29%
₹ 140,987.4
Assets arrow 9.29%
₹ 140,987.4
Gross Margin arrow 9.29%
₹ 140,987.4
Operating Margin arrow 29%
₹ 135,987.4
Net Profit Margin arrow 29%
₹ 135,987.4
Return on Equity arrow 29%
₹ 135,987.4
ROCE arrow 9.29%
₹ 140,987.4
Debt to Equity arrow 9.29%
₹ 140,987.4
unlock

Subscribe to access detailed insight of companies

subscribe
unlock

Subscribe to access detailed insight of companies

subscribe

Financial Highlights

** All numbers in INR crores

Mar 2020 Mar 2021 Mar 2022 Mar 2023 Mar 2024
Sales lock lock lock lock lock
Operating profit lock lock lock lock lock
Net profit lock lock lock lock lock
Gross margin lock lock lock lock lock
Operating margin lock lock lock lock lock
Net margin lock lock lock lock lock
Networth lock lock lock lock lock
Borrowings lock lock lock lock lock
Assets lock lock lock lock lock
Debt to equity lock lock lock lock lock
Current ratio lock lock lock lock lock
ROE lock lock lock lock lock
Days payable lock lock lock lock lock
WC days lock lock lock lock lock
unlock

Subscribe to access detailed insight of companies

subscribe

Balance Sheet

**** All numbers in INR crores

Mar 2020 Mar 2021 Mar 2022 Mar 2023 Mar 2024
Equity Capital lock lock lock lock lock
Reserves lock lock lock lock lock
Borrowings + lock lock lock lock lock
Long term borrowings lock lock lock lock lock
Short term borrowings lock lock lock lock lock
Trade payables + lock lock lock lock lock
Days payable lock lock lock lock lock
Other liabilities + lock lock lock lock lock
Other non-current liabilities lock lock lock lock lock
Other current liabilities lock lock lock lock lock
Total liabilities lock lock lock lock lock
Fixed Assets + lock lock lock lock lock
Tangible assets lock lock lock lock lock
CWIP lock lock lock lock lock
Intangible assets lock lock lock lock lock
LT loans and advances lock lock lock lock lock
Other non-current assets lock lock lock lock lock
Current assets + lock lock lock lock lock
Inventories lock lock lock lock lock
Trade receivables lock lock lock lock lock
Cash and cash equivalents lock lock lock lock lock
ST loans and advances lock lock lock lock lock
Other current assets lock lock lock lock lock
Total assets lock lock lock lock lock
Percentage of assets Mar 2020 Mar 2021 Mar 2022 Mar 2023 Mar 2024
Equity Capital 44 78 90 45 38
Reserves 44 78 90 45 38
Borrowings + 44 78 90 45 38
Long term borrowings 44 78 90 45 38
Short term borrowings 44 78 90 45 38
Trade payables + 44 78 90 45 38
Days payable 44 78 90 45 38
Other liabilities + 44 78 90 45 38
Other non-current liabilities 44 78 90 45 38
Other current liabilities 44 78 90 45 38
Total liabilities 44 78 90 45 38
Fixed Assets + 44 78 90 45 38
Tangible assets 44 78 90 45 38
CWIP 44 78 90 45 38
Intangible assets 44 78 90 45 38
LT loans and advances 44 78 90 45 38
Other non-current assets 44 78 90 45 38
Current assets + 44 78 90 45 38
Inventories 44 78 90 45 38
Trade receivables 44 78 90 45 38
Cash and cash equivalents 44 78 90 45 38
ST loans and advances 44 78 90 45 38
Other current assets 44 78 90 45 38
Total assets 44 78 90 45 38
unlock

Subscribe to access detailed insight of companies

subscribe

Profit & Loss

**** All numbers in INR crores

Mar 2020 Mar 2021 Mar 2022 Mar 2023 Mar 2024
Sales + lock lock lock lock lock
Sales growth % lock lock lock lock lock
Expenses + lock lock lock lock lock
Cost of goods lock lock lock lock lock
Employee cost lock lock lock lock lock
Other costs lock lock lock lock lock
Operating profit + lock lock lock lock lock
Operating margin % lock lock lock lock lock
Other income lock lock lock lock lock
Interest lock lock lock lock lock
Depreciation lock lock lock lock lock
Exceptional items lock lock lock lock lock
Profit before tax lock lock lock lock lock
Tax lock lock lock lock lock
Profit - disc. ops lock lock lock lock lock
Net profit lock lock lock lock lock
Net margin % lock lock lock lock lock
Precentage of total income Mar 2020 Mar 2021 Mar 2022 Mar 2023 Mar 2024
Sales + lock lock lock lock lock
Sales growth % lock lock lock lock lock
Expenses + lock lock lock lock lock
Cost of goods lock lock lock lock lock
Employee cost lock lock lock lock lock
Other costs lock lock lock lock lock
Operating profit + lock lock lock lock lock
Operating margin % lock lock lock lock lock
Other income lock lock lock lock lock
Interest lock lock lock lock lock
Depreciation lock lock lock lock lock
Exceptional items lock lock lock lock lock
Profit before tax lock lock lock lock lock
Tax lock lock lock lock lock
Profit - disc. ops lock lock lock lock lock
Net profit lock lock lock lock lock
Net margin % lock lock lock lock lock
unlock

Subscribe to access detailed insight of companies

subscribe

Ratio

** All numbers in INR crores

Mar 2020 Mar 2021 Mar 2022 Mar 2023 Mar 2024
Solvency + lock lock lock lock lock
Total Debt/Equity lock lock lock lock lock
Net Debt/Equity lock lock lock lock lock
Total Debt/Assets lock lock lock lock lock
Total Assets/Equity lock lock lock lock lock
Liquidity + lock lock lock lock lock
Current Ratio lock lock lock lock lock
Quick Ratio lock lock lock lock lock
Interest Coverage lock lock lock lock lock
Performance lock lock lock lock lock
Gross Margin lock lock lock lock lock
Operating Margin lock lock lock lock lock
Net Margin lock lock lock lock lock
Return + lock lock lock lock lock
Return on Equity lock lock lock lock lock
Pre-tax ROCE lock lock lock lock lock
Return on Assets lock lock lock lock lock
Pre-tax ROIC lock lock lock lock lock
Efficiency + lock lock lock lock lock
Days Payable lock lock lock lock lock
Days Inventory lock lock lock lock lock
Days Receivable lock lock lock lock lock
Fixed Asset Turnover lock lock lock lock lock
Total Asset Turnover lock lock lock lock lock
Working Capital lock lock lock lock lock
Cash Conversion Cycle lock lock lock lock lock
Working Capital Days lock lock lock lock lock
unlock

Subscribe to access detailed insight of companies

subscribe

Subsidiaries, Associate Companies & Join Ventures of ALTORIAS RECYCLE SOLUTIONS

Company Identifier Name Percentage of Shares Held
lock lock lock
lock lock lock
lock lock lock

Fund Raising Activity of ALTORIAS RECYCLE SOLUTIONS

Date of Allotment Securities Alloted Terms Number of Securities Nominal Amount Premium Amount Due & Payable Premium Amount Paid Total Discount Amount to be Paid on Calls (Excluding Premium) Attachments
lock lock lock lock lock lock lock lock lock lock
lock lock lock lock lock lock lock lock lock lock
lock lock lock lock lock lock lock lock lock lock

Board Meetings of ALTORIAS RECYCLE SOLUTIONS

Date of Filing Date of Dispatch of Notice Date of Passing Resolution Section (Companies Act 2013) Section (Companies Act 1956) Subject Matter of Resolution Resolution Agreed By Resolution Type Additional Documents
lock lock lock lock lock lock lock lock lock
lock lock lock lock lock lock lock lock lock
lock lock lock lock lock lock lock lock lock

Auditors of ALTORIAS RECYCLE SOLUTIONS

Financial Year Name of Auditor or Firm PAN of Auditor or Firm Membership Number / Registration Number Name of Auditor Signing Report Membership Number of Auditor Signing Report
lock lock lock lock lock lock
lock lock lock lock lock lock
lock lock lock lock lock lock

Outstanding Payments to Micro & Small Enterprises

Filing Type As On Amount Due to MSME Current Liabilities Ratio to Current Liabilities Reasons for Delay
lock lock lock lock lock lock
lock lock lock lock lock lock
lock lock lock lock lock lock

Investor Complaints & Serious Complaints About ALTORIAS RECYCLE SOLUTIONS

Director Complain

Date DIN Cessation Date Cessation Reason Complaint
lock lock lock lock lock
lock lock lock lock lock
lock lock lock lock lock

Serious Complaints

Date Complaint Other
lock lock lock
lock lock lock
lock lock lock

Investor Complaints & Other Complaints

Date Complaint Type Complaint Sub Type Particulars of Secutiries Period Complaint Other Details
lock lock lock lock lock lock lock
lock lock lock lock lock lock lock
lock lock lock lock lock lock lock

Prosecution Details of ALTORIAS RECYCLE SOLUTIONS

S.No. Defaulting Entities Court Name Prosecution Section Date of Order Status
lock lock lock lock lock lock
lock lock lock lock lock lock
lock lock lock lock lock lock

Peers / Similar Companies

Hindalco Industries Limited
Maharashtra
Jsw Steel Limited
Maharashtra
Jindal Steel & Power Limited
Haryana
Steel Authority Of India Limited
Delhi
Jindal Steel & Power Limited
Haryana
Jindal Steel & Power Limited
Haryana

Subsidiary Companies

Name State / Country Incorporation Year Paidup Capital
Singapore 1997 400 Cr
Orissa 1997 400 Cr
West Bengal 1997 400 Cr
Jharkhand 1997 400 Cr
Singapore 1997 400 Cr
West Bengal 1997 400 Cr
1 2 ... 25

FAQs

What is WIM PLAST LIMITED ?

WIM PLAST LIMITED having CIN L25209DD1988PLC001544 is 36 years , 9 month old Public Indian Company incorporated with MCA on 07 Oct 1988. WIM PLAST LIMITED is listed in the class of Public Indian Company and classified as Non-government company. This company is registered at Registrar of Companies(ROC), ROC Goa with an Authorized Share Capital of 140,000,000 and paid-up capital is 120,033,600.

What is the CIN of WIM PLAST LIMITED?

CIN of WIM PLAST LIMITED is L25209DD1988PLC001544.

Where is WIM PLAST LIMITED located?

Address of WIM PLAST LIMITED is S. no. 324 / 4 to 7 of kachigam, village kachigam swami narayan gurukul road,daman,daman and diu,india-396210,.

Who are the directors of WIM PLAST LIMITED ?

The company has 22 directors/key management personnel PRADEEP RATHOD,SUMERMAL KHINVESRA,KARISHMA PAREKH,RASNA PATEL,GAURAV RATHOD,PIYUSH CHHAJED,PUSHAPRAJ SINGHVI,MAHENDRA SUNDESHA,MADHUSUDAN JANGID,DARSHA ADODRA,L25209DD1988PLC001544 L25209DD1988PLC001544,SUDHAKAR MONDKAR,PANKAJ RATHOD,PUSHAPRAJ SINGHVI,PRADEEP RATHOD,GAURAV RATHOD,PANKAJ RATHOD,PRADEEP RATHOD,KARISHMA PAREKH,PANKAJ RATHOD,MAHENDRA SUNDESHA,PIYUSH CHHAJED,

What is the contact details of WIM PLAST LIMITED ?

Email : wimplast@celloworld.com
Address : S. No. 324 / 4 to 7 of Kachigam, Village Kachigam Swami Narayan Gurukul Road Daman Daman and Diu India 396210

What does WIM PLAST LIMITED do?

WIM PLAST LIMITED is involved in activities such as Computer programming, consultancy and related activities

Enquiry
Enquiry