Airmid Infrastructure Profile
Key Indicators
- Authorised Capital ₹ 0.50 M
- Paid Up Capital ₹ 0.50 M
- Company Age 17 Year, 3 Months
- Last Filing with ROC 31 Mar 2024
- Open Charges ₹ 1,606.60 Cr
- Satisfied Charges ₹ 1,340.00 Cr
- Revenue Growth -15.62%
- Profit Growth -1897.93%
- Ebitda -768.48%
- Net Worth -77.31%
- Total Assets 17.22%
About Airmid Infrastructure
Airmid Infrastructure Limited (AIL) is a Public Limited Indian Non-Government Company incorporated in India on 08 October 2007 and has a history of 17 years and three months. Its registered office is in Chennai, Tamil Nadu, India.
The Company is engaged in the Real Estate And Construction Industry.
The Company's status is Active, and it has filed its Annual Returns and Financial Statements up until 31 March 2024. It's a company limited by shares with an authorized capital of Rs 0.50 M and a paid-up capital of Rs 0.50 M.
The company currently has active open charges totaling ₹1,606.60 Cr. The company has closed loans amounting to ₹1,340.00 Cr, as per Ministry of Corporate Affairs (MCA) records.
Sathya Prasad, Vaithialingam Mahalingam, Singaram, and One other member serve as directors at the Company.
Company Details
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Location
Chennai, Tamil Nadu, India
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Telephone
+91-XXXXXXXXXX
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Email Address
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Website
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Social Media-
Corporate Identity Details
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CIN/LLPIN
U45400TN2007PLC131428
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Company No.
131428
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Company Classification
Public Limited Indian Non-Government Company
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Incorporation Date
08 Oct 2007
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Date of AGM
26 Sep 2024
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Date of Balance Sheet
31 Mar 2024
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Listing Status
Unlisted
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ROC Code
Roc Chennai
Industry
Who are the key members and board of directors at Airmid Infrastructure?
Board Members (4)
Name | Designation | Appointment Date | Status |
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Sathya Prasad | Director | 31-Oct-2023 | Current |
Vaithialingam Mahalingam | Director | 28-Mar-2018 | Current |
Singaram | Director | 21-Feb-2024 | Current |
Akshay Kejriwal | Director | 05-Jul-2024 | Current |
Financial Performance of Airmid Infrastructure.
Airmid Infrastructure Limited, for the financial year ended 2021, experienced significant reduction in revenue, with a 15.62% decrease. The company also saw a substantial fall in profitability, with a 1897.93% decrease in profit. The company's net worth observed a substantial decline by a decrease of 77.31%.
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What is the Ownership and Shareholding Structure of Airmid Infrastructure?
In 2021, Airmid Infrastructure had a promoter holding of 100.00%. Access key insights, ownership, including shareholding patterns, funding, foreign investors, KMP remuneration, group structure, and overseas investments.
Charges (Loans)
₹16,066.00 M
₹13,400.00 M
Charges Breakdown by Lending Institutions
- Others : 1606.60 Cr
Latest Charge Details
Date | Lender | Amount | Status |
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12 Jun 2020 | Others | ₹856.60 Cr | Open |
09 Jun 2020 | Others | ₹375.00 Cr | Open |
05 Jun 2020 | Others | ₹375.00 Cr | Open |
04 Jun 2019 | Others | ₹105.00 Cr | Satisfied |
19 Jun 2015 | Idbi Trusteeship Services Limited | ₹85.00 Cr | Satisfied |
How Many Employees Work at Airmid Infrastructure?
Unlock and access historical data on people associated with Airmid Infrastructure, such as employment history, contributions to the Employees' Provident Fund Organization (EPFO), and related information.
Deals i
Gain comprehensive insights into the Deals and Valuation data of Airmid Infrastructure, offering detailed information on various transactions, including security allotment data. Explore the intricate details of financial agreements, mergers, acquisitions, divestitures, and strategic partnerships that have shaped Airmid Infrastructure's trajectory.
Rating
Access the credit rating data, providing valuable insights into the company's creditworthiness and financial stability. Explore assessments from leading credit rating agencies, evaluating factors such as debt obligations, liquidity, profitability, and overall financial health.
Alerts
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