Alif Manufacturing Company Ltd.
Particulars
1-Jul-17
1-Jul-16
1-Jul-15
1-Jan-16
1-Jan-15
to
To
30-Jun-18
30-Jun-17
30-Jun-16
31-Dec-15
Period
(12 Months)
(12Months)
(6 Months)
Authorized Capital
5,000,000,000
2,000,000,000
Paid-up Capital
2,187,937,900
1,093,968,950
968,114,120
No of Shares (Face value 10 Tk each)
218,793,790
109,396,895
96,811,412
Reserve & Surplus
1,122,594,567
987,214,696
903,826,851
843,077,768
Current Assets
1,567,443,758
704,814,474
474,568,005
389,125,803
Current Liabilities
140,788,842
121,269,055
106,905,802
100,789,849
Total Assets
3,521,729,898
2,269,519,516
2,009,887,119
1,944,823,923
Net Fixed Assets
1,949,490,335
1,560,075,241
1,530,846,812
1,551,225,818
Book Value of Equity
3,310,532,467
2,081,183,646
1,870,661,964
1,811,191,888
Turnover
720,369,383
687,563,854
473,341,841
206,956,026
461,350,017
Gross Profit
322,124,920
287,247,379
186,566,113
85,296,655
194,317,789
Operating Profit
285,167,818
259,299,485
162,355,774
74,026,571
172,641,268
Net Profit
266,862,111
210,521,682
132,220,414
60,011,427
140,525,353
Earnings per Share (EPS)
1.73*
1.92
1.21
0.62
1.45
Net Asset Value per Share (NAV/Share)
15.13
19.02
17.1
18.71
Gross Margin
44.72%
41.80%
39.40%
41.20%
42.12%
Operating Margin
39.59%
37.70%
34.30%
35.80%
37.42%
Net Profit Margin
37.05%
30.60%
27.90%
29.00%
30.46%
Current Ratio
11.13
5.81
4.44
3.86
Acid Test Ratio
9.85
0.77
1.43
2.06
Return on Assets
9.22%
9.30%
6.60%
3.00%
7.41%
Return on Equity
9.90%
10.10%
6.40%
8.07%
Dividend (%)
Stock 10%**
Cash 11%
Stock 13%