Poorav Infrastructure Limited - Company overview

Poorav Infrastructure is an MCA-registered Indian company: a Public Limited Indian Non-Government Company (CIN U15311WB2012PLC174592). Busin…

2012-02-22 North 24 Parganas, West Bengal Active Unlisted Active Compliant
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PI Poorav Infrastructure Limited

Key Metrics

AUTHORISED CAPITAL
10.00 Lakh
PAID-UP CAPITAL
5.00 Lakh
COMPANY AGE
14 Years 2 Months
since 2012-02-22
LAST FILING WITH ROC
2024-03-31
Last AGM: 2024-09-30
OPEN CHARGES
2
46.08 Lakh
SATISFIED CHARGES
-
-
REVENUE
PROFIT / LOSS
EBITDA
NET WORTH
TOTAL ASSETS
TOTAL MONEY RAISED
ACTIVE GST
1
Updated: 2025-07-04 18:54:48

About Poorav Infrastructure

Poorav Infrastructure is an MCA-registered Indian company: a Public Limited Indian Non-Government Company (CIN U15311WB2012PLC174592). Business overview includes FMCG (Tobacco Products & Alternatives), incorporated on February 22, 2012 (14+ years old), headquartered in North 24 Parganas, West Bengal, India. The company is currently Active with Active Compliant compliance status. For FY 2023, the company reported revenue of ₹2.17 Cr with a profit of ₹50,705. It has 4 active directors.

Tobacco Products & Alternatives Instant & Ready-to-Eat Foods
  • Location Dag No-110, Mouza - Talbanda, Bilkanda -1 Gram Panchayat, North 24 Parganas, West Bengal - 700110
  • Website indcas.com
CIN / LLPINU15311WB2012PLC174592
Company No.174592
ClassificationPublic Limited Indian Non-Government Company
Incorporation Date2012-02-22
Date of AGM2024-09-30
Date of Balance Sheet2024-03-31
Listing StatusUnlisted
ROC CodeRoc Kolkata
PAN
LEI Number
Active ComplianceActive Compliant

Financial Performance of Poorav Infrastructure

Revenue Over The Year
2019 · 2020 · 2021 · 2022 · 2023 · 2024 · 2025
Growth (7 Year) ▲ 38.3% Growth (3 Year) ▼ -9.9%
Profit/Loss Over The Year
2019 · 2020 · 2021 · 2022 · 2023 · 2024 · 2025
Growth (7 Year) ▼ 65.1% Growth (3 Year) ▼ 60.7%
Values are in Mixed (K, L, Cr)
Metrics FY 2025FY 2024FY 2023FY 2022FY 2021FY 2020FY 2019
Revenue 2,20,083.04 cr2,35,431.21 cr2,51,890.00 cr2,18,400.00 cr1,95,200.00 cr1,72,000.00 cr1,59,000.00 cr
Profit/Loss 13,969.70 cr 4,810.00 cr 12,200.00 cr 9,100.00 cr -8,200.00 cr 3,200.00 cr 5,100.00 cr
Cash & Bank Balance 38,200.00 cr35,100.00 cr32,000.00 cr28,500.00 cr25,200.00 cr22,000.00 cr19,800.00 cr
Net Worth 1,26,731.94 cr1,37,500.00 cr1,40,200.00 cr1,28,000.00 cr1,15,000.00 cr1,02,000.00 cr95,000.00 cr
EBITDA 27,865.49 cr29,800.00 cr30,200.00 cr27,000.00 cr24,500.00 cr22,000.00 cr20,100.00 cr

Financial Ratios

Revenue P/L EBITDA

Values in Crores (Cr) - illustrative trend

FY 2021 - FY 2025
Key Insights (FY 2025)
Revenue2,20,083.04 cr ▼ 6.5%
Profit/Loss13,969.70 cr ▲ 190.6%
EBITDA27,865.49 cr
Net Profit Margin10.54%
Debt/Equity0.47
Current Ratio0.88
Return on Equity12.3%
Ratio FY 2025FY 2024FY 2023FY 2022FY 2021
Net Profit Margin10.543.202.101.800.50
Debt to EBITDA2.141.901.701.501.20
Interest Coverage Ratio0.470.500.450.400.35
Debt to Equity0.880.900.850.800.75
Return on Equity12.103.002.001.500.20
Current Ratio1.201.151.101.050.99
Quick Ratio0.950.920.880.850.80
EBITDA Margin12.0010.008.007.005.00
Return on Capital Employed8.002.001.000.200.00
Earning Per Share4.000.000.000.000.00

Shareholding Pattern

Shareholding Pattern (FY 2025)
  • Promoters 33.19%
  • DII 23.22%
  • FII 18.28%
  • Public 22.89%
  • Others 2.42%
Shareholding Pattern over the Year
Category 20252024202320222021
Promoters33.19%33.50%33.80%34.00%34.41%
DII23.22%22.90%22.50%22.10%21.80%
FII18.28%18.00%17.60%17.20%16.90%
Public22.89%23.10%23.50%24.00%24.20%
Others2.42%2.50%2.60%2.70%2.69%
Subsidiaries Company (6)
TAYO ROLLS LIMITED
54.91% held
THE TATA PIGMENTS LIMITED
100% held
CERAMAT PRIVATE LIMITED
90% held
BHUSHAN STEEL (SOUTH) LIMITED
100% held
NEELACHAL ISPAT NIGAM LTD
99.68% held
TATA STEEL DOWNSTREAM PRODUCTS LIMITED
100% held

EPFO Establishments (1)

MRNOI0019835000 Closed/All Member Excluded
StatusCode No Allotted Was Before Online Registration Started.
ActivityPaper
StateUttar Pradesh
Coverage07-JUN-1995

Current Directors (4)

R
Additional Director | Since 2022-03-23
D
Additional Director | Since 2024-02-01
N
Additional Director | Since 2019-05-24
T
Director | Since 2015-07-06

Charges Overview

Hdfc Bank Limited : 46.08 Lakh
Open Charges: 2 Satisfied Charges: 0
Open 46.08 Lakh
Satisfied 0
LenderAmountStatus
Hdfc Bank Limited
Creation Date: 28 Feb 2023
20.08 Lakh Open
Hdfc Bank Limited
Creation Date: 30 Jan 2021
26.00 Lakh Open

Business Activity

Activity GroupDescriptionTurnover %
Manufacturing-100
Manufacturing-100.00

Flagged By Authority

Regulatory and exchange flags (preview)

Frequently Asked Questions about Poorav Infrastructure
What is CIN of Poorav Infrastructure?
The Corporate Identification Number (CIN) for Poorav Infrastructure is U15311WB2012PLC174592. CIN is a distinct identification code allotted by the Registrar of Companies (ROC) under the Ministry of Corporate Affairs (MCA). The company registration number is 174592 as per MCA.
When was Poorav Infrastructure incorporated?
Poorav Infrastructure was incorporated 14 years 2 months ago on 22 Feb 2012.
What is paid-up capital and authorised share capital of Poorav Infrastructure?
The paid-up capital of Poorav Infrastructure is ₹ 500,000.00 and authorised share capital is ₹ 1,000,000.00.
Who are the current board members and directors of Poorav Infrastructure?
Currently 4 directors are associated with Poorav Infrastructure: Ravi Chouhan, Debdutta Mukherjee, Nitish Kumar, Tathagata Mukherjee.
  • Ravi Chouhan
  • Debdutta Mukherjee
  • Nitish Kumar
  • Tathagata Mukherjee
What is the registered address of Poorav Infrastructure?
As per Ministry of Corporate Affairs (MCA), the registered address of Poorav Infrastructure is Dag No-110, Mouza - Talbanda, Bilkanda -1 Gram Panchayat, Jugberia , P.S.-Ghola, North 24 Parganas, West Bengal, 700110, India.
What is the official website of Poorav Infrastructure?
The official website of Poorav Infrastructure is https://indcas.com.
What is the ROC code of Poorav Infrastructure?
Poorav Infrastructure ROC code is Roc Kolkata.
What is the company classification of Poorav Infrastructure?
Poorav Infrastructure is classified as Public Limited Indian Non-Government Company.
Poorav Infrastructure - is it listed or unlisted?
Poorav Infrastructure is a Unlisted company.
What is the current status of Poorav Infrastructure?
Poorav Infrastructure is currently Active and registered in North 24 Parganas, West Bengal, India.
What industry or business activity is Poorav Infrastructure associated with?
Poorav Infrastructure lists activity aligned with: FMCG - Tobacco Products & Alternatives - Manufacturing. See the Overview and Competition sections for fuller industry context.
Does Poorav Infrastructure have GST registrations on file?
Poorav Infrastructure shows 1 active GST registration signal(s) in compliance overview data. Open the Compliance tab for GSTIN and filing context when your plan allows.
Where can I see charges and lenders for Poorav Infrastructure?
Use the Charges tab for MCA charge filings, charge holders, and open versus satisfied charges for Poorav Infrastructure.
How do I contact Poorav Infrastructure?
Use the official website at https://indcas.com and the registered office address on this profile for corporate contact. Infyner does not publish personal customer-care numbers unless they appear in sourced company records.
What is the turnover or revenue of Poorav Infrastructure?
Turnover and revenue appear in filed financial statements when available. Open the Financial tab on this profile for revenue, profit or loss, balance sheet metrics, and related MCA filings - not headline estimates.
How can I get the financial details of Poorav Infrastructure?
You can view revenue, profit or loss, balance sheet metrics, and related filings on the Financial tab of this company profile.
What is the net worth of Poorav Infrastructure (last filed snapshot)?
As per the latest financial snapshot on file for FY 2023, net worth is about ₹ 38.11 Lakh. Verify figures on the Financial tab and supporting filings.