Fem Care
Fem Care
Fem Care
Material consumed & purchase of goods 1,522.60 1,806.85 2,024.83 2,238.59 953.91
Raw material
Opening stock 41.86 43.81 40.36 74.29 113.17
Purchases 229.78 132.59 184.80 212.57 874.05
Closing stock 43.81 40.36 74.29 73.76 91.94
Raw material consumed 227.83 136.05 150.87 213.10 895.28
Packing material
Opening stock 45.53 39.30 39.37 35.92 7.63
Purchases 438.20 302.99 318.80 377.91 41.96
Closing stock 39.30 39.37 35.92 47.04 4.60
Packing material consumed 444.43 302.92 322.25 366.79 45.00
Consumables 12.04 9.33 11.08 15.23 13.63
Purchase of goods 838.30 1,358.55 1,540.63 1,643.47
Increase in stock of work in progress & finished goods (12.25) (26.90) (30.92) (9.01) 36.96
Opening stock
Work in progress 19.30 10.13 18.38 7.47 11.34
Finished goods 82.26 103.69 82.01 123.84 255.68
Less : Prior period adjustments - 42.99 - -
101.57 70.83 100.39 131.31 267.02
Closing stock
Work in progress 10.13 18.38 7.47 11.34 11.29
Finished goods 103.69 79.35 123.84 128.98 218.77
113.82 97.73 131.31 140.32 230.06
Manufacturing expenses 54.12 44.78 48.56 52.28 59.67
Labor charges 36.45 27.43 29.84 32.45 35.86
Power, fuel and water charges 15.30 16.67 17.04 16.81 22.61
Repairs and maintenance - plant and machinery 2.37 0.69 1.68 3.02 1.20
Administrative, selling & other expenses 669.76 828.62 774.23 594.77 1,709.64
Rent 3.75 23.43 11.29 4.25 24.75
Rates and taxes 0.70 0.94 1.17 20.60 41.87
Repairs & maintenance - Buildings 0.44 1.28 0.06 3.45 8.37
Repairs & maintenance - Others 4.52 8.48 10.34 11.13 31.29
Insurance 5.72 6.06 6.27 11.54 15.01
Printing and stationery 8.44 14.51 10.33 - 18.18
Telephone, postage and telegrams 17.37 23.95 24.63 - 34.22
Travelling, conveyance and vehicle expenses 126.37 136.80 130.60 124.68 225.04
Legal and professional charges 10.14 38.91 35.77 36.64 76.00
Auditors remunerations 1.40 2.16 2.58 2.95 6.41
Bank charges & commission 6.44
Directors sitting fees 0.18 0.18 0.20 - 1.55
Expired stock written off 30.02 26.91 94.21 62.90 15.50
Provision for expiry stock -
Freight, transportation and octroi 57.79 32.35 35.90 43.04 58.39
Commission charges on sales 23.62 49.01 46.85 49.67 -
To sole selling agent 56.82
To others -
Excise duty 0.51
Interest on trade deposits from customers and CFA 6.83
Sales tax - 14.15 11.36 - -
FOREX difference - - - 11.69 0.69
Warehousing and distribution cost 165.70
Bad debts - 6.03 - 5.32 1.79
Provision for doubtful debts - 1.22 - 13.24 -
Advertisement and publicity 345.58 338.35 141.58 101.59 878.31
Loss on sale of assets 2.63 5.20 20.11 6.49 2.34
Loss on sale of investment - - 161.13 - 2.06
Stock write offs - - - - -
Fixed assets written off - 41.20 2.21 4.93 -
Diminution of value of fixed assets - - - 17.18 -
Miscellaneous expenses 31.08 57.49 27.64 63.48 31.57
Fixed assets excl goodwill (net block) 867.82 944.06 860.90 945.02 1,237.04
Current assets excl cash #REF! 1,240.99 1,100.09 1,064.90 969.06
Current liabilities excl debt 587.35 758.64 733.36 789.60 1,133.34
Capital invested #REF! 1,426.41 1,227.63 1,220.32 1,072.76
CASH FLOW
Net profit before tax and extraordinary items 47.04 (34.08) 120.76 610.99 804.34
Adjustments
Depreciation 82.05 51.10 72.84 58.78 57.94
Loss on sale of assets 2.63 5.20 20.11 6.49 4.77
Assets discarded - 41.20 2.21 4.93 (2.44)
Brands written off - 333.42 - - -
Loss on sale of investment - - - - 0.69
Provision for contingencies - 1.93 - - -
Diminution of value of Fixed Assets - - - 17.18 -
Interest and financial charges 208.10 189.98 171.10 64.57 23.84
Misc exp - 0.10 - - -
Provision for sale tax under the deferral scheme - 3.35 9.14 11.76 27.90
Provision for doubtful debts 13.24 (10.13)
Provision for expired stock claims 13.20 -
Misc exp written off 40.61 86.60 7.33 6.31 -
Unrealised Foreign exchange loss 12.02 -
Interest income (4.95) (6.98) (2.28) (7.34) (3.63)
Rent income (19.20) (19.20) (9.60)
Dividend income (28.05) (19.16) (5.86) (7.17) (12.41)
(A) 347.44 652.67 376.15 785.76 881.27
Changes in working capital
Loan and advances 43.63 66.59 (11.07) 42.38 177.20
Sundry debtors (85.71) (169.58) 215.95 189.37 188.46
Inventories (42.10) 53.60 (64.04) (19.61) 29.53
Liabilities and provisions 110.18 169.35 (22.28) (174.97) (14.41)
(B) 26.00 119.95 118.56 37.17 380.78
Cash from operation (A) + (B) 373.44 772.63 494.71 822.93 1,262.05
Income tax paid (4.65) - (9.00) (190.19) (289.23)
Prior period items (5.10) (443.16) (4.76) (0.86) (0.24)
Cash from operating activities 363.69 329.46 480.95 631.88 972.58
SEGMENT
REVENUE
Consumer products 2,320.60 2,657.37 2,828.90 3,182.33
Growth 14.5% 6.5% 12.5%
% on total sales 72.0% 76.5% 71.7% 70.9%
Pharma 767.75 636.10 818.95 783.72
Growth -17.1% 28.7% -4.3%
% on total sales 23.8% 18.3% 20.8% 17.5%
Others 134.31 179.26 295.79 525.09
Growth 33.5% 65.0% 77.5%
% on total sales 4.2% 5.2% 7.5% 11.7%
Total sales 3,222.66 3,472.73 3,943.64 4,491.14
Total growth 7.8% 13.6% 13.9%
- - - (1,554.83)
EBITDA
Consumer products 318.09 403.91 720.14 845.48
Growth 27.0% 78.3% 17.4%
Margin 13.7% 15.2% 25.5% 26.6%
Pharma (47.41) (42.09) (20.70) (6.13)
Growth -11.2% -50.8% -70.4%
Margin -6.2% -6.6% -2.5% -0.8%
Others (6.88) (24.82) 35.92 50.04
Growth 260.7% -244.7% 39.3%
Margin -5.1% -13.8% 12.1% 9.5%
Corporate overheads (96.97) (7.33) (69.42) (67.88)
Total 166.83 329.67 665.94 821.51
Total growth 97.6% 102.0% 23.4%
Total margin 5.2% 9.5% 16.9% 18.3%
- - - -
EBIT
Consumer products 278.13 342.00 688.11 813.24
Growth 23.0% 101.2% 18.2%
Margin 12.0% 12.9% 24.3% 25.6%
Pharma (52.89) (45.65) (24.18) (8.56)
Growth -13.7% -47.0% -64.6%
Margin -6.9% -7.2% -3.0% -1.1%
Others (12.54) (32.19) 28.90 42.82
Growth 156.6% -189.8% 48.2%
Margin -9.3% -18.0% 9.8% 8.2%
Corporate overheads (96.97) (7.33) (85.67) (83.93)
Total 115.73 256.83 607.16 763.57
Total growth 121.9% 136.4% 25.8%
Total margin 3.6% 7.4% 15.4% 17.0%
Depreciation
Consumer products 39.96 61.91 32.03 32.24
Pharma 5.48 3.56 3.48 2.43
Others 5.66 7.37 7.02 7.22
Corporate assets - - 16.25 16.05
Total 51.10 72.84 58.78 57.94
Capex
Consumer products 480.33 27.35 18.29 8.06
Pharma 17.36 0.32 1.19 0.13
Others 34.24 2.84 6.29 1.91
Corporate assets - - 140.62 67.57
Total 531.93 30.51 166.39 77.67
Assets
Consumer products 1,770.85 1,621.66 1,087.58 774.35
Pharma 332.03 242.11 263.46 190.75
Others 138.77 145.08 155.51 195.68
Corporate assets 521.84 352.22 1,079.18 1,651.26
Total 2,763.50 2,361.07 2,585.73 2,812.04
Liabilities
Consumer products 559.67 493.60 311.32 388.23
Pharma 193.13 222.28 186.55 266.52
Others 5.83 17.48 17.43 40.81
Corporate liabilities 1,377.74 1,039.04 2,070.42 798.75
Total 2,136.38 1,772.40 2,585.72 1,494.31
Consolidated
FY 3/06 FY 3/07 FY 3/08
7,449.88
414.04
7,035.84 - -
1.97
7,037.81 - -
16.4% -100.0% #DIV/0!
115.75 - -
0.16
23.71
0.91
6.67
0.80
-
3.15
80.35
885.24
91.94
907.71
181.73
817.92
4.60
47.66
3.77
48.49
18.84
(133.03)
11.29
218.77
6.02
224.04
10.72
346.34
357.06
61.21
36.93
21.82 245,692.00 2.46
2.46
718.28
598.20
7.69
44.58
54.87
12.93
2,280.44
30.15
32.83
0.37
29.84
25.01
18.02
46.74
262.71
82.58
13.33
5.99
1.62
25.62
41.60
149.76
63.61
8.87
19.46
-
-
-
146.11
-
54.82
1,155.44
1.68
-
-
-
-
64.28
24.74
-
-
24.74
-
30.08
1,983.30 - -
1,249.86 - -
1,923.86 - -
1,309.30 - -
1,404.03 - -
300.96
1,103.08
303.35
-
-
-
-
-
303.35
303.35
1,983.30
-
43.51
32.23
96.61
6.15
528.03
129.76
26.66
9.63
26.24
33.20
-
42.53
1,008.75
256.59
0.44
-
-
-
-
-
1.00
0.10
0.03
0.45
0.13
0.09
1.91
0.72
0.71
-
0.69
50.00
-
150.00
30.32
20.00
-
12.78
250.76
263.54
541.73
181.73
3.77
10.72
345.52
-
404.63
60.60
403.18
59.15
323.13
303.50
142.34
-
7.40
153.43
0.33
1,283.48
133.15
408.47
-
390.86
3.66
44.42
141.24
161.67
640.38
8.47
1.38
21.21
42.37
179.19
73.50
-
41.60
272.66
-
-
-100.0% #DIV/0! #DIV/0!
#DIV/0! #DIV/0! #DIV/0!
- - -
-100.0% #DIV/0! #DIV/0!
#DIV/0! #DIV/0! #DIV/0!
- - -
-100.0% #DIV/0! #DIV/0!
#DIV/0! #DIV/0! #DIV/0!
- - -
-100.0% #DIV/0! #DIV/0!
#DIV/0! #DIV/0! #DIV/0!
- - -
- - -
-100.0% #DIV/0! #DIV/0!
#DIV/0! #DIV/0! #DIV/0!
- - -
- - -
-100.0% #DIV/0! #DIV/0!
#DIV/0! #DIV/0! #DIV/0!
- - -
- - -
- - -
- - -