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CORPORATE INFORMATION   
KD Leisures Ltd
Industry :  Finance & Investments
BSE Code
ISIN Demat
Book Value()
540385
INE081R01016
4.9382716
NSE Symbol
P/E(TTM)
Mar.Cap( Cr.)
N.A
0
1.77
EPS(TTM)
Face Value()
Div & Yield %
0
10
0
Detailed Quotes
BSE
Last Price() 5.47 eqnew
Jan 01,2024 EOD
Today's Change( ) 0.00 (0.00%) eqnew
Open( ) 5.47
Prev Close( ) 5.47
Volume 537.00
Today's Range( ) 5.47 - 5.47
52-Week Range( ) 5.47 - 0.00
Buy (Size) N.A
Sell (Size) N.A
Company Background
Incorporation Year 1981
Registered Office B-702 Neelkanth Business Park,Kirol Village Vidyavihar (W),
Mumbai,
Maharashtra-400086
Telephone 91-22-25122488
Fax NA
Chairman NA
Managing Director Mandeep Singh Thukral
Company Secretary jyothi jhamb
Auditor TDK & Co/Raj Gupta & Co/GAV & Associates
Face Value 10
Market Lot 1
Listing BSE,KolkataBSE,Kolkata
Registrar Purva Sharegistry (I) Pvt Ltd
9 ShivShakti Indl Es,J R Boricha Marg,Lower Parel,Mumbai - 400 011
Board of Directors
Executive Director / Managing Director / CFOMandeep Singh Thukral
Executive DirectorParminder Singh
Independent Non Exe. DirectorDileep Kumar
Angad Bijan
Non Executive DirectorSmita Ajay Vora
Additional DirectorSumeet Kaur
Company Secretary / Compliance Officerjyothi jhamb
Balance Sheet
Particulars (Sources Of Funds)Mar 2025
( Cr)
Mar 2024
( Cr)
Mar 2023
( Cr)
Mar 2022
( Cr)
Mar 2021
( Cr)
Mar 2020
( Cr)
Share Capital 3.243.243.243.243.243.24
Reserves Total -1.62-1.58-1.570.420.300.34
Equity Share Warrants0.000.000.000.000.000.00
Equity Application Money0.000.000.000.000.000.00
Total Shareholders Funds1.621.661.673.663.543.58
Secured Loans0.000.000.000.000.000.00
Unsecured Loans0.000.000.000.000.120.12
Total Loan Funds0.000.000.000.000.120.12
Other Liabilities0.000.000.000.000.000.00
Total Liabilities1.621.661.673.663.663.70
APPLICATION OF FUNDS :
Loan / Non-Current Assets 1.771.771.770.000.000.00
Fixed Assets
Gross Block 0.000.000.000.060.080.08
Less: Accumulated Depreciation 0.000.000.000.000.010.00
Less:Impairment of Assets0.000.000.000.000.000.00
Net Block0.000.000.000.060.070.08
Lease Adjustment0.000.000.000.000.000.00
Capital Work in Progress0.000.000.000.000.000.00
Investments 0.000.000.000.000.120.12
Current Assets, Loans & Advances
Inventories 0.000.000.000.810.810.83
Sundry Debtors 0.000.000.001.190.941.01
Cash and Bank Balance0.080.080.080.020.040.03
Loans and Advances 0.010.020.021.821.821.98
Total Current Assets0.090.100.103.833.613.84
Less : Current Liabilities and Provisions
Current Liabilities 0.250.210.200.130.160.29
Provisions 0.000.000.000.120.000.07
Total Current Liabilities & Provisions0.250.210.200.240.160.36
Net Current Assets-0.16-0.11-0.103.593.453.48
Miscellaneous Expenses not written off 0.000.000.000.000.000.00
Deferred Tax Assets0.010.010.010.010.010.01
Deferred Tax Liability0.000.000.000.000.000.00
Net Deferred Tax0.010.010.010.010.010.01
Other Assets0.000.000.000.000.000.00
Total Assets1.621.671.683.663.653.69
Contingent Liabilities0.000.000.000.000.000.00
Profit and Loss
Particulars(INCOME)Mar 2025
( Cr)
Mar 2024
( Cr)
Mar 2023
( Cr)
Mar 2022
( Cr)
Mar 2021
( Cr)
Mar 2020
( Cr)
Operating Income0.000.001.880.330.380.39
Other Income 0.000.000.000.000.000.00
Total Income0.000.001.880.330.380.39
EXPENDITURE :
Operating Expenses & Administrative Expenses 0.030.011.820.080.300.28
Miscellaneous Expenses 0.010.002.040.040.080.00
Interest 0.000.000.000.000.000.00
Less : Pre-operative Expenses Capitalised 0.000.000.000.000.000.00
Employee Cost 0.000.000.010.030.030.05
Total Expenditure0.040.013.870.150.410.33
Gross Profit-0.04-0.01-1.980.18-0.030.05
Depreciation 0.000.000.000.010.010.01
Profit Before Tax-0.04-0.01-1.980.17-0.040.04
Tax0.000.000.000.040.000.02
Fringe Benefit tax0.000.000.000.000.000.00
Deferred Tax0.000.000.000.000.000.01
Reported Net Profit-0.04-0.01-1.980.12-0.040.02
Extraordinary Items 0.000.00-2.030.000.000.00
Adjusted Net Profit-0.04-0.010.050.12-0.040.02
Adjustment below Net Profit 0.000.000.000.000.000.00
P & L Balance brought forward-1.58-1.570.420.300.340.32
Appropriations 0.000.000.000.000.000.00
P & L Balance carried down-1.62-1.58-1.570.420.300.34
Dividend0.000.000.000.000.000.00
Preference Dividend0.000.000.000.000.000.00
Equity Dividend %0.000.000.000.000.000.00
Dividend Per Share(Rs)0.000.000.000.000.000.00
Earnings Per Share-Unit Curr-0.13-0.03-6.120.37-0.130.06
Earnings Per Share(Adj)-Unit Curr-0.13-0.03-6.120.37-0.130.06
Book Value-Unit Curr5.005.135.1611.2810.9111.04
Book Value(Adj)-Unit Curr5.005.135.1611.2810.9111.04
Quarterly Results
 
Quarters
ParticularsMar 2026 ( Cr)Dec 2025 ( Cr)Sep 2025 ( Cr)
Operating Income0.000.000.00
Total Income0.000.000.00
Interest0.000.000.00
Employee Expenses0.010.000.00
Selling & Administrative Expenses0.000.000.00
Impairment of Assets0.000.000.00
Loss on Forex Transaction0.000.000.00
Other Expenses0.010.000.00
TOTAL OPERATING EXPENDITURE0.020.000.00
Operating Profit Before Prov. & Cont.-0.020.000.00
Provisions & Write Offs0.000.000.00
Depreciation0.000.000.00
TOTAL EXPENDITURE0.020.000.00
Tax0.000.000.00
Fringe Benefit Tax0.000.000.00
Deferred Tax0.000.000.00
Reported Profit After Tax-0.020.000.00
Extra-ordinary Items0.000.000.00
Adjusted Profit After Extra-ordinary item-0.020.000.00
EPS (Unit Curr.)-0.050.000.00
EPS (Adj) (Unit Curr.)-0.050.000.00
Calculated EPS (Unit Curr.)-0.050.000.00
Calculated EPS (Adj) (Unit Curr.)-0.050.000.00
Calculated EPS (Ann.) (Unit Curr.)-0.20-0.02-0.02
Calculated EPS (Adj) (Ann.) (Unit Curr.)-0.20-0.02-0.02
Book Value (Unit Curr.)0.000.000.00
Dividend (%)0.000.000.00
Equity3.243.243.24
Reserve & Surplus0.000.000.00
Face Value10.0010.0010.00
Public Shareholding (No. Of Shares)0.000.000.00
Public Shareholding (% in Equity)0.000.000.00
Pledged/Encumbered - No. of Shares0.000.000.00
Pledged/Encumbered - % in Total Promoters Holding0.000.000.00
Pledged/Encumbered - % in Total Equity0.000.000.00
Non Encumbered - No. of Shares0.000.000.00
Non Encumbered - % in Total Promoters Holding0.000.000.00
Non Encumbered - % in Total Equity0.000.000.00
PBIDTM(%)0.000.000.00
PBDTM(%)0.000.000.00
PATM(%)0.000.000.00
Net Interest Income0.000.000.00
Operating Expenses0.000.000.00
Loan Losses & Provision0.000.000.00
Assets Under Management0.000.000.00
Return on Equity(%)0.000.000.00
Operating Expenses to Net Interest Income(%)0.000.000.00
Cost to Income Ratio0.000.000.00
Loan Loss Provision Ratio0.000.000.00
Loans Spreads(%)0.000.000.00
Net Interest Margin(%)0.000.000.00
Provision Coverage Ratio(%)0.000.000.00
Capital Adequacy Ratio0.000.000.00
Tier I Capital0.000.000.00
Tier II Capital0.000.000.00
Gross Non Performing Assets0.000.000.00
Net Non Performing Assets0.000.000.00
(%) Gross Non Performing Assets0.000.000.00
(%) Net Non Performing Assets0.000.000.00
Return on Assets(Annualised)0.000.000.00
Return on Assets0.000.000.00
Loans Disbursed(Amt Rs cr)0.000.000.00
Loans Sanctioned/Approved(Amt Rs cr)0.000.000.00
Loan Book(Amt Rs cr)0.000.000.00
Financial Ratios
   ParticularsMar 2025Mar 2024Mar 2023Mar 2022Mar 2021
Debt-Equity Ratio0.000.000.000.020.03
Long Term Debt-Equity Ratio0.000.000.000.020.03
Current Ratio8.119.1212.7118.2214.38
Fixed Assets0.000.0062.674.714.75
Inventory0.000.004.640.410.46
Debtors0.000.003.160.310.39
Interest Cover Ratio0.000.000.000.000.00
PBIDTM (%)0.000.002.6654.55-7.89
PBITM (%)0.000.002.6651.52-10.53
PBDTM (%)0.000.002.6654.55-7.89
CPM (%)0.000.002.6639.39-7.89
APATM (%)0.000.002.6636.36-10.53
ROCE (%)0.000.000.004.64-1.09
RONW (%)0.000.000.003.33-1.12
Share Price
Year High () Low () Close () P/E High P/E Low P/E Close Mkt Cap.( In Cr.)
Jan 2024 5.47 5.47 5.47 35.45 35.45 35.45 1.77
Share Prices Of 2023
Dec 2023 5.73 4.75 5.21 40.84 28.12 33.76 1.69
Nov 2023 5.98 5.13 5.13 42.75 33.24 33.24 1.66
Oct 2023 7.50 5.70 5.70 52.30 36.94 36.94 1.85
Sep 2023 8.53 7.33 7.33 55.27 47.50 47.50 2.37
Aug 2023 9.44 8.97 8.97 61.17 58.13 58.13 2.91
Jul 2023 12.14 9.93 9.93 86.82 64.35 64.35 3.22
Jun 2023 11.90 11.02 11.02 83.27 71.41 71.41 3.57
May 2023 12.20 10.77 11.59 81.05 69.79 75.10 3.76
Apr 2023 11.00 8.53 10.80 72.60 50.16 69.98 3.50
Mar 2023 11.50 8.65 9.13 78.62 55.41 59.16 2.96
Feb 2023 11.59 7.81 9.86 34.15 17.61 26.62 3.19
Jan 2023 12.32 9.66 10.86 34.88 23.90 29.32 3.52

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