Tanfac Industries Ltd

The Emerging Companies 2025
OVERVIEW
FINANCIALS

About

Tanfac Industries Ltd is a joint sector company promoted by Anupam Rasayan India Limited and Tamil Nadu Industrial Development Corporation (TIDCO). It is a manufacturer of chemicals like Anhydrous Hydrofluoric acid, Sulphuric Acid, Oleum. Aluminium Fluoride, Potassium Fluoride, Potassium Bifluoride, Boron Trifluoride Complexes, Calcium Sulphate (Gypsum), IsoButyl Acetophenone, and so on. Mariam Pallavi Baldev is the Chairperson of Tanfac Industries. It is listed on the BSE.

Incorporation Year: 1972
Headquarters: Tamil Nadu
Top Management: K Sendhil Naathan - Managing Director
Industry: Chemicals

Featured In Fortune India Ranking

#97(2025)

Financial Data 2024

Revenue
385
(INR Cr)
Net Operating Income
378
(INR Cr)
Assets
232
(INR Cr)
Profit
52
(INR Cr)
Net Worth
230
(INR Cr)

Financial Data

RevenueNet Operating IncomeProfitAssetsNet Worth
PARAMETERS2024202320222021202020192018201720162015201420132012201120102009
Revenue
(INR Cr)
385
-0.02%
385
18.33%
325
119.45%
148
-9.77%
164
-26.69%
224
38.87%
161
28.57%
126
-9.26%
138
16.42%
119
-2.05%
121
-17.55%
147
-3.38%
152
2.27%
149
11.61%
133
-45.45%
245
-
Net Operating Income
(INR Cr)
378
0.85%
375
17.11%
320
116.48%
148
-10.25%
165
-25.67%
222
36.96%
162
28.08%
126
-5.20%
133
11.17%
120
2.32%
117
-19.57%
146
-1.37%
148
-3.96%
154
4.01%
148
-31.75%
217
-
Profit
(INR Cr)
52
-6.50%
56
5.35%
53
204.98%
17
2.95%
17
-52.82%
36
271.59%
10
194.22%
3
722.50%
0
-
-5
-
-3
-
-11
-
-24
-
3
-
-10
-
1
-
Assets
(INR Cr)
232
25.11%
185
38.02%
134
60.52%
84
26.47%
66
9.68%
60
6.42%
57
-1.94%
58
-6.15%
62
-11.36%
69
-7.97%
76
-13.99%
88
-22.59%
113
5.11%
108
-8.41%
118
-18.92%
145
-
Net Worth
(INR Cr)
230
25.05%
184
37.83%
134
60.62%
83
27.67%
65
35.75%
48
279.98%
13
287.73%
3
5,333.33%
0
-117.65%
0
-106.26%
5
-35.89%
8
-57.24%
20
-54.88%
44
5.81%
42
-19.07%
51
-0.72%
Employee Cost
(INR Cr)
20
24.72%
16
26.65%
13
12.21%
11
-4.97%
12
4.14%
12
1.93%
11
3.46%
11
-2.57%
11
22.61%
9
-5.45%
10
9.20%
9
11.79%
8
7.12%
7
-8.03%
8
5.34%
8
-
Interest Cost
(INR Cr)
1221136779101110888
Cash & Bank Balance
(INR Cr)
912136000000000000
Total Debt
(INR Cr)
00000636535664697893637694

Key Financial Ratios

Profit As % Of RevenuesRONW %Interest Cost to EBITDA %ROCE %Debt to Equity Ratio
PARAMETERS2024202320222021202020192018201720162015201420132012201120102009
Profit As % Of Revenues 13.64%14.58%16.38%11.79%10.33%16.05%6.00%2.62%0.29%-4.45%-2.50%-7.72%-15.83%2.01%-7.33%0.33%
Profit As % Of Assets 22.63%30.28%39.67%20.88%25.65%59.63%17.08%5.69%0.65%-7.61%-4.01%-12.93%-21.25%2.77%-8.30%0.55%
Profit As % Of Networth 22.77%30.46%39.85%20.99%26.03%74.89%76.58%100.92%666.67%1,55%5.88%-55.80%-134.00%-121.66%6.81%-23.57%1.56%
Interest Cost to EBITDA % 2.62%2.97%2.65%3.31%6.38%7.31%31.41%49.76%87.89%121.86%90.54%812.24%-204.27%59.45%2,313.16%86.00%
Debt to Equity Ratio 0.000.000.000.000.060.594.0213.2112.3713.2710.686.092.461.641.841.07
RONW 25.31%35.30%49.12%23.54%29.83%74.07%19.93%6.78%-13.89%0.00%0.00%0.00%0.00%6.61%0.00%1.26%
ROCE 34.48%48.62%67.86%34.91%36.74%59.28%16.76%9.84%4.80%0.00%0.00%0.00%0.00%9.93%0.00%9.20%