Aman FM Tp2003 FM
Aman FM Tp2003 FM
Aman FM Tp2003 FM
Corporation
Announcement Date Effective Date Dividend Type Dividend (%) Remarks
01-12-10 20-12-10 Interim 320.00 Special Interim Dividend
31-05-10 09-09-10 Final 150.00 -
30-11-09 22-12-09 Interim 180.00 -
25-06-09 11-09-09 Final 140.00 -
05-12-08 23-12-08 Interim 180.00 -
25-06-08 08-09-08 Final 140.00 AGM
26-11-07 26-12-07 Interim 180.00 -
25-06-07 10-09-07 Final 130.00 -
12-12-06 27-12-06 Interim 180.00 AGM
26-06-06 06-09-06 Final 200.00 -
05-12-05 27-12-05 Interim 250.00 -
20-06-05 01-09-05 Final 200.00 AGM
Mar '06 Mar '07 Mar '08 Mar '09 Mar '10
Sources Of Funds
Total Share Capital 1,425.93 2,138.89 2,138.89 2,138.89 2,138.89
Equity Share Capital 1,425.93 2,138.89 2,138.89 2,138.89 2,138.89
Share Application Money 0.00 0.00 0.00 0.00 0.00
Preference Share Capital 0.00 0.00 0.00 0.00 0.00
Reserves 52,533.74 59,785.04 68,478.51 76,596.53 85,143.72
Revaluation Reserves 0.00 0.00 0.00 0.00 0.00
Networth 53,959.67 61,923.93 70,617.40 78,735.42 87,282.61
Secured Loans 0.00 0.00 0.00 0.00 0.00
Unsecured Loans 12,722.61 15,109.07 12,482.71 16,035.70 16,405.64
Total Debt 12,722.61 15,109.07 12,482.71 16,035.70 16,405.64
Total Liabilities 66,682.28 77,033.00 83,100.11 94,771.12 103,688.25
Mar '06 Mar '07 Mar '08 Mar '09 Mar '10
Application Of Funds
Gross Block 47,882.35 52,038.07 57,463.78 61,355.61 71,553.78
Less: Accum. Depreciation 40,040.15 43,198.95 46,945.77 50,941.23 55,905.28
Net Block 7,842.20 8,839.12 10,518.01 10,414.38 15,648.50
Capital Work in Progress 33,373.92 37,794.16 41,154.63 52,923.19 56,073.25
Investments 4,888.57 5,702.05 5,899.50 5,090.32 5,772.03
Inventories 3,038.49 3,033.76 3,480.64 4,060.67 4,678.57
Sundry Debtors 3,704.28 2,759.44 4,360.37 4,083.80 3,058.64
Cash and Bank Balance 699.80 27.42 269.22 161.48 282.85
Total Current Assets 7,442.57 5,820.62 8,110.23 8,305.95 8,020.06
Loans and Advances 52,293.83 58,710.79 38,906.53 55,964.02 63,721.90
Fixed Deposits 8,113.02 19,253.37 22,148.43 18,934.74 17,948.18
Total CA, Loans & Advances 67,849.42 83,784.78 69,165.19 83,204.71 89,690.14
Deffered Credit 0.00 0.00 0.00 0.00 0.00
Current Liabilities 16,515.78 19,835.99 22,482.94 26,854.11 27,244.53
Provisions 31,122.39 39,765.20 21,828.17 30,657.98 37,092.46
Total CL & Provisions 47,638.17 59,601.19 44,311.11 57,512.09 64,336.99
Net Current Assets 20,211.25 24,183.59 24,854.08 25,692.62 25,353.15
Miscellaneous Expenses 366.34 514.06 673.90 650.61 841.32
Total Assets 66,682.28 77,032.98 83,100.12 94,771.12 103,688.25
2009 Nov 15
2006 Dec 10
2006 Jan 10
1999 Feb -
1998 Feb 25
Mumbai, Jan 2 (PTI) Dhampur Sugar Mills Ltd on Monday declared a 10 per cent dividend for 2004-
05.
The company has approved the expansion plans with an investment of Rs 405 crore including a Green
Field Sugar project, expansion of power generation, refinery and alcohol manufacturing capacities at
its existing sugar plants, it informed the Bombay Stock Exchange.
Effective
Annoucement Date % Dividend Dividend Type
Date
Sources Of Funds
Total Share Capital 48.63 80.90 59.20 61.61
Equity Share Capital 34.49 46.16 47.63 52.78
Share Application Money 0.00 0.00 0.00 0.84
Preference Share Capital 14.14 34.74 11.57 8.83
Reserves 67.84 389.42 351.88 384.85 4
Revaluation Reserves 0.00 0.00 0.00 0.00
Networth 116.47 470.32 411.08 447.30 4
Secured Loans 346.50 300.73 657.63 892.91 7
Unsecured Loans 9.92 16.86 7.65 8.09
Total Debt 356.42 317.59 665.28 901.00 7
Total Liabilities 472.89 787.91 1,076.36 1,348.30 1,2
Sep '05 Sep '06 Sep '07 Sep '08 S
Application Of Funds
Gross Block 403.68 416.00 779.42 1,230.66 1,2
Less: Accum. Depreciation 178.97 166.63 197.47 251.08 3
Net Block 224.71 249.37 581.95 979.58 9
Capital Work in Progress 12.50 333.45 400.87 24.40
Investments 56.73 14.19 26.23 27.78
Inventories 169.86 83.50 180.04 280.93 4
Sundry Debtors 45.84 51.46 48.45 79.66
Cash and Bank Balance 8.87 15.07 4.54 12.88
Total Current Assets 224.57 150.03 233.03 373.47 5
Loans and Advances 144.25 211.35 118.82 112.01 1
Fixed Deposits 3.44 16.58 6.97 6.67
Total CA, Loans & Advances 372.26 377.96 358.82 492.15 6
Deffered Credit 0.00 0.00 0.00 0.00
Current Liabilities 183.67 167.82 279.83 156.12 4
Provisions 9.64 19.24 11.68 19.49
Total CL & Provisions 193.31 187.06 291.51 175.61 4
Net Current Assets 178.95 190.90 67.31 316.54 2
Miscellaneous Expenses 0.00 0.00 0.00 0.00