Monarch Networth Capital Limited
PKH Ventures Limited is a diversified Company undertaking business in three broad verticals, namely, Construction & Development, Hospitality and Management Services. They ventured into the business of Construction and Development through their subsidiary, In the year 2016, they undertook the construction of the Delhi Police Headquarters which was completed and handed over to the Delhi Police in April 2021, within the scheduled completion time considering the extended period of development, including additional works. Their Construction projects include residential, commercial buildings and miscellaneous construction projects. Their Development projects include Amritsar Project, Punjab, Halaipani Hydropower Plant, Arunachal Pradesh, Food Park at Jalore, Rajasthan, an entertainment centre at Nagpur, Maharashtra, Cold Storage Project near Indore, Madhya Pradesh and Wellness Centre and Resort, at Chiplun, Maharashtra. Their development projects are being executed by their respective Subsidiaries/SPVs and the civil & engineering works are undertaken by their construction arm viz. Garuda Construction. They also manage and operate a luxurious resort at Aamby Valley, Lonavala, near Mumbai (“Aamby Valley Resort”). As a natural extension to the hotel business over the years, their Company forayed into the owning and operating of restaurants under the name/brands Balaji, Golden Chariot, Zebra Crossing and Casablanca and QSRs under the brands Hardy’s Burger and Mumbai Salsa. Zebra Crossing, Mumbai Salsa and Hardy’s Burger outlets are managed and operated by their Company which form part of the centres of a child edutainment company in Mumbai and Delhi. These outlets are presently closed due to Covid-19 and will be operational once these centres are re-opened. All their external restaurants and QSRs are presently closed due to Covid 19. As a part of their Management Services, they provide services for stormwater pumping stations at certain locations in Mumbai and maintenance of their BOT/HAM projects.
For year/ period ended ( in Cr.)
31 Mar 2021 | 31 Mar 2020 | 31 Mar 2019 | |
---|---|---|---|
Total Revenue | 264.65 | 169 | 168.64 |
Profit After Tax | 30.56 | 14.09 | 2.43 |
EPS | 40.46 | 18.78 | 3.25 |
OPM(%) | |||
PATM(%) | 12% | 8% | 1% |