BSE Prices delayed by 5 minutes... << Prices as on Jun 04, 2026 - 1:05PM >>   ABB  7260 ATS - Market Arrow  [1.04]  ACC  1348.75 ATS - Market Arrow  [-0.20]  AMBUJA CEM  426.5 ATS - Market Arrow  [-0.11]  ASIAN PAINTS  2660.05 ATS - Market Arrow  [0.01]  AXIS BANK  1250 ATS - Market Arrow  [-0.41]  BAJAJ AUTO  10313 ATS - Market Arrow  [0.59]  BANKOFBARODA  270.2 ATS - Market Arrow  [0.43]  BHARTI AIRTE  1808.1 ATS - Market Arrow  [-0.89]  BHEL  404.9 ATS - Market Arrow  [-0.30]  BPCL  294.05 ATS - Market Arrow  [0.63]  BRITANIAINDS  5080 ATS - Market Arrow  [0.33]  CIPLA  1393.6 ATS - Market Arrow  [1.35]  COAL INDIA  481.45 ATS - Market Arrow  [1.86]  COLGATEPALMO  2017.85 ATS - Market Arrow  [-0.01]  DABUR INDIA  427.2 ATS - Market Arrow  [2.25]  DLF  581.1 ATS - Market Arrow  [0.01]  DRREDDYSLAB  1267 ATS - Market Arrow  [0.34]  GAIL  166.2 ATS - Market Arrow  [1.65]  GRASIM INDS  3110.05 ATS - Market Arrow  [0.29]  HCLTECHNOLOG  1168.9 ATS - Market Arrow  [-0.81]  HDFC BANK  754.9 ATS - Market Arrow  [0.17]  HEROMOTOCORP  4915.75 ATS - Market Arrow  [1.51]  HIND.UNILEV  2085 ATS - Market Arrow  [-0.29]  HINDALCO  1128.7 ATS - Market Arrow  [-0.92]  ICICI BANK  1251.55 ATS - Market Arrow  [0.74]  INDIANHOTELS  658.75 ATS - Market Arrow  [0.45]  INDUSINDBANK  902.95 ATS - Market Arrow  [0.41]  INFOSYS  1203.95 ATS - Market Arrow  [-1.49]  ITC LTD  280.3 ATS - Market Arrow  [1.21]  JINDALSTLPOW  1208.5 ATS - Market Arrow  [-0.24]  KOTAK BANK  380.65 ATS - Market Arrow  [-0.18]  L&T  3955.95 ATS - Market Arrow  [0.05]  LUPIN  2260.9 ATS - Market Arrow  [-0.01]  MAH&MAH  3046.1 ATS - Market Arrow  [1.17]  MARUTI SUZUK  13157 ATS - Market Arrow  [0.79]  MTNL  30.84 ATS - Market Arrow  [1.21]  NESTLE  1386.5 ATS - Market Arrow  [-0.44]  NIIT  92.92 ATS - Market Arrow  [0.42]  NMDC  94.86 ATS - Market Arrow  [-1.22]  NTPC  366.6 ATS - Market Arrow  [-0.01]  ONGC  266 ATS - Market Arrow  [-0.69]  PNB  105.3 ATS - Market Arrow  [-0.47]  POWER GRID  282 ATS - Market Arrow  [-1.10]  RIL  1300.6 ATS - Market Arrow  [-0.95]  SBI  976.15 ATS - Market Arrow  [0.53]  SESA GOA  326.8 ATS - Market Arrow  [-0.44]  SHIPPINGCORP  305.2 ATS - Market Arrow  [0.58]  SUNPHRMINDS  1777.4 ATS - Market Arrow  [-0.67]  TATA CHEM  721 ATS - Market Arrow  [0.18]  TATA GLOBAL  1144.45 ATS - Market Arrow  [0.19]  TATA MOTORS  397.45 ATS - Market Arrow  [-0.15]  TATA STEEL  210.1 ATS - Market Arrow  [-0.80]  TATAPOWERCOM  411.2 ATS - Market Arrow  [-0.13]  TCS  2236 ATS - Market Arrow  [-0.25]  TECH MAHINDR  1481.2 ATS - Market Arrow  [0.55]  ULTRATECHCEM  10988 ATS - Market Arrow  [-1.03]  UNITED SPIRI  1261.9 ATS - Market Arrow  [-0.16]  WIPRO  204.35 ATS - Market Arrow  [0.10]  ZEETELEFILMS  96.77 ATS - Market Arrow  [2.35]  

Kachchh Minerals Ltd.

Notes to Accounts

BSE: 531778ISIN: INE059E01010INDUSTRY: Mining/Minerals

BSE   Rs 28.86   Open: 27.55   Today's Range 27.55
28.86
+1.36 (+ 4.71 %) Prev Close: 27.50 52 Week Range 18.42
59.95
You can view the entire text of Notes to accounts of the company for the latest year
Market Cap. (Rs.) 15.30 Cr. P/BV 15.89 Book Value (Rs.) 1.82
52 Week High/Low (Rs.) 60/18 FV/ML 10/1 P/E(X) 0.00
Bookclosure 30/09/2024 EPS (Rs.) 0.00 Div Yield (%) 0.00
Year End :2025-03 

(25) Contingent liability

The Company does not have any contingent liability as at March 31, 2025

(26) Fair values

Fair value measurement include both the significant financial instruments stated at amortised cost and at fair value in the

(28) Financial risk management objectives and policies

The risk management policies of the Company are established to identify and analyse the risks faced by the Company, to set appropriate risk limits and controls, and to monitor risks and adherence to limits. Risk management policies and systems are reviewed regularly to reflect changes in market conditions and the Company’s activities.

The Management has overall responsibility for the establishment and oversight of the Company’s risk management framework.

In performing its operating, investing and financing activities, the Company is exposed to the Credit risk, Liquidity risk and Market

Carrying amount of financial assets and liabilities:

The following table summaries the carrying amount of financial assets and liabilities recorded at the end of the period by

(29) Credit risk on financial assets

Credit risk is the risk of financial loss to the company if a customer or counter-party fails to meet its contractual obligations.

Other financial assets

The company's maximum exposure to credit risk as at 31 March 2025, 31 March 2024 is the carrying value of each class of financial

(30) Market risk

Market risk is the risk that the fair value of future cash flows of a financial instrument will fluctuate because of changes in market

(31) Interest rate risk

The interest rate risk exposure is mainly from changes in fixed and floating interest rates. The interest rate are disclosed in the respective notes to the financial statement of the Company. The following table analyse the breakdown of the financial assets and liabilities by type of interest rate:

At present, the Company does expects to repay all liabilities at their contractual maturity. In order to meet such cash commitments, the operating activity is expected to generate sufficient cash inflows.

(34) Capital management

For the purpose of the Company's capital management, capital includes issued equity capital, convertible preference shares, share premium and all other equity reserves attributable to the equity holders of the parent. The primary objective of the Company's capital management is to maximise the shareholder value.

The Company manages its capital structure and makes adjustments in light of changes in economic conditions and the requirements of the financial covenants. To maintain or adjust the capital structure, the Company may adjust the dividend payment to shareholders, return capital to shareholders or issue new shares. The Company monitors capital using a gearing ratio, which is net debt divided by total capital plus net debt. The Company's policy is to keep optimum gearing ratio. The Company includes within net debt, interest bearing loans and borrowings, trade and other payables, less cash and cash equivalents, excluding

 
STOCKS A | B | C | D | E | F | G | H | I | J | K | L | M | N | O | P | Q | R | S | T | U | V | W | X | Y | Z|Others

Mutual Fund A | B | C | D | E | F | G | H | I | J | K | L | M | N | O | P | Q | R | S | T | U | V | W | X | Y | Z | Others

Registered Office : 402, Nirmal Towers, Dwarakapuri Colony, Punjagutta, Hyderabad - 500082.
SEBI Registration No's: NSE / BSE / MCX : INZ000166638. Depository Participant: IN- DP-224-2016.
AMFI Registered Number - 29900 (ARN valid upto 24th July 2028) - AMFI-Registered Mutual Fund Distributor since June 2008.
Compliance Officer :- Name: Ch.V.A. Varaprasad, Mobile No.: 9393136201, E-mail:
Grievance Cell: rlpsec_grievancecell@yahoo.com , rlpdp_grievancecell@yahoo.com
Procedure to file a complaint on SEBI SCORES: Register on SCORES portal. Mandatory details for filing complaints on SCORES: Name, PAN, Address, Mobile Number, E-mail ID. Benefits: Effective Communication, Speedy redressal of the grievances.
Copyrights @ 2014 © RLP Securities. All Right Reserved Designed, developed and content provided by