IFGL Refractories Ltd

IFGL Refractories Ltd

Next 500 2024
+ 8 More
+ 8 More
OVERVIEW
FINANCIALS

About

IFGL Refractories Limited specializes in the manufacture of specialized refractory products used in the steel industry. The company's product portfolio includes isostatically pressed continuous casting refractories, slide gate systems, and purging plugs, among others. With a focus on research and development, IFGL has established a global presence, catering to clients across various countries. Their commitment to quality and innovation has made them a trusted supplier in the refractory industry.

Incorporation Year: 2007
Headquarters: Kolkata, West Bengal
Top Management: Mr. Pradeep Bajoria (Managing Director)
Industry: Energy Ancillary
Website: ifglref.com

Featured In Fortune India Ranking

Next 500 India
#432(2024)#298(2023)#250(2022)#288(2021)#327(2020)#335(2019)#469(2017)#349(2016)#438(2015)
#432(2024)#298(2023)#250(2022)#288(2021)#327(2020)#335(2019)#469(2017)#349(2016)#438(2015)
Ranking Trend Fortune Next 500 India

Financial Data 2024

Revenue
1,664
(INR Cr)
Net Operating Income
1,639
(INR Cr)
Assets
1,246
(INR Cr)
Profit
82
(INR Cr)
Net Worth
1,072
(INR Cr)

Financial Data

RevenueNet Operating IncomeProfitAssetsNet Worth
PARAMETERS202420232022202120202019201820172016
Revenue
(INR Cr)
1664
18.0%
1409
8.1%
1304
24.5%
1047
14.2%
917
-7.2%
989
18.6%
834
6.3%
784
1596.5%
46
-
Net Operating Income
(INR Cr)
1639
18.25%
1387
10.08%
1260
23.24%
1022
11.40%
917
-3.48%
950
13.78%
835
9.11%
766
0.00%
47
0.00%
Profit
(INR Cr)
82
3.1%
79
2.2%
77
18.1%
66
237.1%
19
-61.4%
50
7.1%
47
-5.7%
50
662.9%
7
-
Assets
(INR Cr)
1246
7.0%
1165
12.8%
1033
8.3%
954
9.2%
874
-1.3%
885
2.3%
865
12.3%
770
1453.1%
50
-
Net Worth
(INR Cr)
1072
6.7%
1005
7.6%
934
4.9%
890
10.1%
809
1.8%
795
5.7%
752
15.2%
653
0.0%
26
0.0%
Employee Cost
(INR Cr)
250
28.5%
195
12.0%
174
14.6%
152
0.9%
150
2.9%
146
15.4%
127
4.8%
121
3487.8%
3
-
Interest Cost
(INR Cr)
1153344452
Cash & Bank Balance
(INR Cr)
72581281911118881560
Total Debt
(INR Cr)
174160996465891128423

Key Financial Ratios

Profit As % Of RevenuesRONW %Interest Cost to EBITDA %ROCE %Debt to Equity Ratio
PARAMETERS202420232022202120202019201820172016
Profit As % Of Revenues 4.9%5.6%5.9%6.3%2.1%5.1%5.7%6.4%14.2%
Profit As % Of Assets 6.6%6.8%7.5%6.9%2.2%5.7%5.5%6.5%13.2%
Profit As % Of Networth 7.6%7.9%8.3%7.4%2.4%6.4%6.3%7.7%25.1%
Interest Cost to EBITDA % 7.2%3.2%2.4%2.0%5.1%3.4%3.8%4.6%14.1%
Debt to Equity Ratio 0.160.160.110.070.080.110.150.130.90
RONW 7.9%8.2%8.5%7.7%3.8%6.5%6.7%7.7%25.1%
ROCE 9.0%10.1%10.8%13.9%5.8%7.7%8.1%7.7%16.5%