SHANKARA BUILDING PRODUCTS LIMITED
ActiveShankara Buildpro Limited is a leading organized retailer of home improvement and building products in India. They offer a wide selection of over 100,000 building materials, covering everything from home construction to renovation. The company caters to everyone, providing a vast range of SKUs for all building and home improvement needs. Shankara Buildpro Limited is an unlisted public limited company with advanced production units across major Indian cities.
Company Overview
| Category | Company limited by shares |
| Class | Public |
| Sub-Category | Non-government company |
| Listed | Listed |
| Age | 29 years, 5 months, 0 days |
| Auth. Capital | ₹30,00,00,000 |
| Paid-Up Capital | ₹24,24,93,260 |
| Last AGM | 24-06-2025 |
| Last Balance Sheet | 31-03-2025 |
Business Activity
| NIC Code | 2692 |
| Sector | Manufacture of refractory ceramic products |
| Division | MANUFACTURE OF OTHER NON-METALLIC MINERAL PRODUCTS |
| Group | Manufacture of non-metallic mineral products n.e.c. |
Profit & Loss (Cr.)
Year-wise financial performance. All values in Indian Rupees Crore (Cr.).
| Financial Year | Paid Up Capital | Net Worth | Total Income | Total Expense | Profit Before Tax | Income Tax | Profit After Tax |
|---|---|---|---|---|---|---|---|
| 2024 | 24.25 | 601.21 | 4869.41 | 4776.49 | 92.92 | 23.06 | 69.86 |
| 2023 | 22.85 | 458.04 | 4043.53 | 3967.28 | 76.25 | 19.23 | 57.02 |
| 2022 | 22.85 | 376.96 | 2331.15 | 2294.86 | 36.29 | 9.05 | 27.24 |
| 2021 | 22.85 | 349.66 | 1962.89 | 1949.42 | 13.98 | 3.99 | 9.98 |
| 2020 | 22.85 | 339.31 | 2498.08 | 2462.39 | 35.69 | 8.41 | 27.28 |
| 2019 | 22.85 | 323.75 | 2356.30 | 2331.74 | 24.56 | 8.13 | 16.43 |
| 2018 | 22.85 | 316.66 | 2248.62 | 2189.45 | 59.17 | 20.92 | 38.25 |
| 2017 | 22.85 | 289.60 | 1976.57 | 1943.94 | 32.63 | 11.94 | 20.69 |
| 2016 | 21.87 | 226.61 | 1775.07 | 1756.51 | 18.56 | 7.74 | 10.81 |
| 2015 | 21.87 | 219.74 | 1720.83 | 1714.64 | 6.19 | 2.27 | 3.92 |
Financial Performance Over the Years
Current Directors & Key Managerial Personnel
Directors currently active in SHANKARA BUILDING PRODUCTS LIMITED.
| DIN | Name | Designation | Appointed On | Wealth Segment | Current Directorships |
|---|---|---|---|---|---|
| *****0660M | ALEX VARGHESE | CFO | 2015-03-19 | – | – |
| 00022567 | BHADRANARASIMHAM JAYARAMAN | Director | 2019-06-25 | – | 6 |
| 00259276 | CHANDU NAIR | Director | 2015-07-29 | – | – |
| 00317201 | JAYASHRI MURALI | Director | 2015-03-19 | – | – |
| 00634180 | RAVICHANDAR VENKATARAMAN | Director | 2007-09-29 | – | – |
| *****5682P | EREENA VIKRAM | Company Secretary | 2016-09-08 | – | – |
| 01668064 | SUKUMAR SRINIVAS | Managing Director | 2013-04-01 | – | 7 |
| 01247339 | SUBRAMANYA VENKATA SIVAPRASAD RAMENANI | Director | 2021-01-01 | – | – |
| 01247347 | CHOWDAPPA RAVIKUMAR | Whole-time director | 2011-04-01 | – | 6 |
| 02375046 | MUTHURAMAN . | Director | 2024-06-20 | – | 11 |
Past Directors & Key Managerial Personnel
Former directors who have ceased their association with SHANKARA BUILDING PRODUCTS LIMITED.
| DIN | Name | Designation | Appointed On | Wealth Segment | Cessation Date |
|---|---|---|---|---|---|
| 00178214 | ZAFAR SAIFULLAH | Director | - | – | 2014-08-28 |
| 01763696 | KASARGOD GOPALAKRISHNA KASHINATH | Whole-time director | - | – | 2007-07-30 |
| 00022567 | BHADRANARASIMHAM JAYARAMAN | Additional Director | - | – | 2019-06-25 |
| 00128595 | SNEHAL BHUPENDRA SHAH | Additional Director | - | – | 2011-03-08 |
| 00128595 | SNEHAL BHUPENDRA SHAH | Director | - | – | 2014-07-09 |
| 00128595 | SNEHAL BHUPENDRA SHAH | Nominee Director | - | – | 2016-03-31 |
| 01173240 | SIDDHARTHA MUNDRA | Additional Director | - | – | 2011-03-08 |
| 01173240 | SIDDHARTHA MUNDRA | CEO(KMP) | - | – | 2020-11-30 |
| 01173240 | SIDDHARTHA MUNDRA | Director | - | – | 2014-07-09 |
| 01173240 | SIDDHARTHA MUNDRA | Nominee Director | - | – | 2017-04-07 |
| 01247339 | SUBRAMANYA VENKATA SIVAPRASAD RAMENANI | Whole-time director | - | – | 2021-01-01 |
| 02375046 | MUTHURAMAN . | Additional Director | - | – | 2024-06-20 |
Open Charges
| Charge ID | 10229575 |
| Holder | Standard Chartered Bank |
| Amount | ₹65,00,00,000 |
| Created | 17-07-2010 |
| Assets | null |
| Charge ID | 10067344 |
| Holder | KOTAK MAHINDRA BANK LIMITED |
| Amount | ₹60,00,00,000 |
| Created | 04-09-2007 |
| Assets | Book debts; Floating charge; All exsiting and future current assets |
| Charge ID | 80006290 |
| Holder | CITIBANK N. A. |
| Amount | ₹75,00,00,000 |
| Created | 25-06-2001 |
| Assets | null |
| Charge ID | 100139776 |
| Holder | IDFC FIRST BANK LIMITED |
| Amount | ₹60,00,00,000 |
| Created | 12-12-2017 |
| Assets | Book debts; Current assets both present and future |
| Charge ID | 100157932 |
| Holder | FEDERALBANK LIMITED |
| Amount | ₹40,00,00,000 |
| Created | 07-02-2018 |
| Assets | Book debts; Movable property (not being pledge); Current Assets and Stock in Trade |
| Charge ID | 100286766 |
| Holder | IDFC FIRST BANK LIMITED |
| Amount | ₹40,00,00,000 |
| Created | 04-09-2019 |
| Assets | Immovable property or any interest therein |
| Charge ID | 100424493 |
| Holder | KOTAK MAHINDRA BANK LTD |
| Amount | ₹17,41,00,000 |
| Created | 11-03-2021 |
| Assets | Book debts; Floating charge; All the existing and future current assets |
| Charge ID | 100421066 |
| Holder | FEDERAL BANK LIMITED |
| Amount | ₹19,74,00,000 |
| Created | 15-02-2021 |
| Assets | Book debts; Movable property (not being pledge); Current Assets |
| Charge ID | 100428859 |
| Holder | HDFC BANK LIMITED |
| Amount | ₹70,00,00,000 |
| Created | 02-03-2021 |
| Assets | Book debts; Present and future Stock and current assets |
| Charge ID | 100458406 |
| Holder | Standard Chartered Bank |
| Amount | ₹3,17,00,000 |
| Created | 01-07-2021 |
| Assets | Book debts; Movable property (not being pledge); Stocks |
| Charge ID | 100593522 |
| Holder | YES BANK LIMITED |
| Amount | ₹31,42,000 |
| Created | 29-06-2022 |
| Assets | Motor Vehicle (Hypothecation) |
| Charge ID | 100594690 |
| Holder | IndusInd Bank Limited |
| Amount | ₹50,00,00,000 |
| Created | 20-07-2022 |
| Assets | Movable property (not being pledge); Current Assets |
| Charge ID | 100624875 |
| Holder | ICICI BANK LIMITED |
| Amount | ₹1,20,00,00,000 |
| Created | 27-10-2022 |
| Assets | null |
| Charge ID | 100624120 |
| Holder | THE SOUTH INDIAN BANK LIMITED |
| Amount | ₹50,00,00,000 |
| Created | 15-10-2022 |
| Assets | null |
| Charge ID | 100621931 |
| Holder | YES BANK LIMITED |
| Amount | ₹80,00,00,000 |
| Created | 13-10-2022 |
| Assets | null |
| Charge ID | 100663094 |
| Holder | ICICI BANK LIMITED |
| Amount | ₹14,45,000 |
| Created | 16-12-2022 |
| Assets | null |
| Charge ID | 100653633 |
| Holder | ICICI BANK LIMITED |
| Amount | ₹8,11,000 |
| Created | 28-11-2022 |
| Assets | null |
| Charge ID | 100653742 |
| Holder | ICICI BANK LIMITED |
| Amount | ₹8,25,000 |
| Created | 28-11-2022 |
| Assets | null |
| Charge ID | 100667253 |
| Holder | ICICI BANK LIMITED |
| Amount | ₹14,99,900 |
| Created | 31-12-2022 |
| Assets | null |
| Charge ID | 100686065 |
| Holder | ICICI BANK LIMITED |
| Amount | ₹17,04,000 |
| Created | 27-01-2023 |
| Assets | null |
| Charge ID | 101113312 |
| Holder | CSB BANK LIMITED |
| Amount | ₹45,00,00,000 |
| Created | 02-06-2025 |
| Assets | null |
Satisfied Charges
| Charge ID | 10530165 |
| Holder | KOTAK MAHINDRA BANK LIMITED |
| Amount | ₹20,00,00,000 |
| Created | 11-11-2014 |
| Satisfied | 17-09-2019 |
| Assets | Immovable property or any interest therein |
| Charge ID | 10479535 |
| Holder | ING VYSYA BANK LIMITED |
| Amount | ₹10,00,00,000 |
| Created | 30-01-2014 |
| Satisfied | 04-12-2017 |
| Assets | null |
| Charge ID | 10383347 |
| Holder | ING VYSYA BANK LIMITED |
| Amount | ₹40,00,00,000 |
| Created | 04-10-2012 |
| Satisfied | 30-04-2016 |
| Assets | null |
| Charge ID | 10152220 |
| Holder | INDUSIND BANK LIMITED |
| Amount | ₹20,00,00,000 |
| Created | 25-02-2009 |
| Satisfied | 29-03-2019 |
| Assets | Book debts; Movable property (not being pledge); STOCK of Raw Materials, WIP & Finished Goods |
| Charge ID | 10105946 |
| Holder | IDBI Bank Limited |
| Amount | ₹1,00,00,00,000 |
| Created | 05-06-2008 |
| Satisfied | 08-10-2017 |
| Assets | null |
| Charge ID | 10014136 |
| Holder | KOTAK MAHINDRA BANK |
| Amount | ₹28,48,000 |
| Created | 23-08-2006 |
| Satisfied | 29-10-2020 |
| Assets | null |
| Charge ID | 10429572 |
| Holder | YES BANK LIMITED |
| Amount | ₹15,00,00,000 |
| Created | 08-04-2013 |
| Satisfied | 25-06-2015 |
| Assets | null |
| Charge ID | 10411391 |
| Holder | ICICI BANK LIMITED |
| Amount | ₹40,00,00,000 |
| Created | 16-02-2013 |
| Satisfied | 15-12-2014 |
| Assets | Book debts; Movable property (not being pledge) |
| Charge ID | 10442395 |
| Holder | THE RATNAKAR BANK LIMITED |
| Amount | ₹50,00,00,000 |
| Created | 24-07-2013 |
| Satisfied | 08-08-2014 |
| Assets | Book debts; Floating charge; Movable property (not being pledge) |
| Charge ID | 80049345 |
| Holder | kotak mahindra bank ltd |
| Amount | ₹1,50,00,000 |
| Created | 02-01-2006 |
| Satisfied | 05-12-2014 |
| Assets | Immovable property or any interest therein |
| Charge ID | 10410834 |
| Holder | YES BANK LIMITED |
| Amount | ₹50,00,00,000 |
| Created | 16-01-2013 |
| Satisfied | 28-11-2013 |
| Assets | Book debts |
| Charge ID | 10264442 |
| Holder | KOTAK MAHINDRA BANK LIMITED |
| Amount | ₹36,50,00,000 |
| Created | 18-01-2011 |
| Satisfied | 25-11-2013 |
| Assets | Immovable property or any interest therein |
| Charge ID | 10268787 |
| Holder | YES BANK LIMITED |
| Amount | ₹5,00,00,000 |
| Created | 03-03-2011 |
| Satisfied | 06-10-2013 |
| Assets | Immovable property or any interest therein |
| Charge ID | 10135108 |
| Holder | IDBI Bank Limited |
| Amount | ₹5,00,00,000 |
| Created | 10-12-2008 |
| Satisfied | 30-01-2012 |
| Assets | null |
| Charge ID | 10122889 |
| Holder | IDBI Bank Limited |
| Amount | ₹7,00,00,000 |
| Created | 12-08-2008 |
| Satisfied | 30-01-2012 |
| Assets | null |
| Charge ID | 80054321 |
| Holder | HDFC BANK LIMITED |
| Amount | ₹4,50,00,000 |
| Created | 30-10-2003 |
| Satisfied | 02-02-2011 |
| Assets | Movable property (not being pledge) |
| Charge ID | 80054322 |
| Holder | THE HONGKONG AND SHANGHAI BANKING CORPORATION LTD |
| Amount | ₹17,00,00,000 |
| Created | 28-07-2005 |
| Satisfied | 15-06-2009 |
| Assets | Movable property (not being pledge) |
| Charge ID | 10099665 |
| Holder | YES BANK LIMITED |
| Amount | ₹5,00,00,000 |
| Created | 26-03-2008 |
| Satisfied | 18-09-2008 |
| Assets | Book debts; Floating charge; Movable property (not being pledge) |
| Charge ID | 80037459 |
| Holder | ICICI BANK LIMITED |
| Amount | ₹10,00,00,000 |
| Created | 30-09-2005 |
| Satisfied | 17-10-2007 |
| Assets | Movable property (not being pledge) |
| Charge ID | 100103441 |
| Holder | Axis Bank Limited |
| Amount | ₹72,00,00,000 |
| Created | 06-05-2017 |
| Satisfied | 08-11-2020 |
| Assets | Book debts; Floating charge; Movable property (not being pledge) |
| Charge ID | 100088960 |
| Holder | KOTAK MAHINDRA BANK LIMITED |
| Amount | ₹10,00,00,000 |
| Created | 22-03-2017 |
| Satisfied | 05-08-2019 |
| Assets | Immovable property or any interest therein |
| Charge ID | 100264749 |
| Holder | YES BANK LIMITED |
| Amount | ₹1,65,70,689 |
| Created | 15-10-2018 |
| Satisfied | 25-03-2022 |
| Assets | Motor Vehicle (Hypothecation) |
| Charge ID | 100266834 |
| Holder | Axis Bank Limited |
| Amount | ₹19,25,000 |
| Created | 20-09-2018 |
| Satisfied | 28-03-2021 |
| Assets | Motor Vehicle (Hypothecation) |
| Charge ID | 100266838 |
| Holder | Axis Bank Limited |
| Amount | ₹19,58,000 |
| Created | 20-09-2018 |
| Satisfied | 31-03-2021 |
| Assets | Motor Vehicle (Hypothecation) |
| Charge ID | 100266839 |
| Holder | Axis Bank Limited |
| Amount | ₹28,22,000 |
| Created | 20-09-2018 |
| Satisfied | 08-02-2021 |
| Assets | Motor Vehicle (Hypothecation) |
| Charge ID | 100269374 |
| Holder | YES BANK LIMITED |
| Amount | ₹2,15,16,909 |
| Created | 31-08-2018 |
| Satisfied | 25-03-2022 |
| Assets | Motor Vehicle (Hypothecation) |
| Charge ID | 100300395 |
| Holder | Standard Chartered Bank |
| Amount | ₹30,00,00,000 |
| Created | 17-10-2019 |
| Satisfied | 23-09-2021 |
| Assets | Immovable property or any interest therein |
Employee Trend (PF)
Monthly EPF contribution data showing employee headcount and wages paid.
| Month | Employee Count | Amount Paid (EPF) |
|---|---|---|
| JAN-25 | 932 | ₹43,73,924 |
| FEB-25 | 927 | ₹43,71,904 |
| MAR-25 | 933 | ₹44,08,742 |
| APR-25 | 939 | ₹44,34,976 |
| MAY-25 | 941 | ₹44,28,897 |
| JUN-25 | 946 | ₹44,80,670 |
| JUL-25 | 961 | ₹47,42,641 |
| AUG-25 | 960 | ₹45,84,786 |
About Shankara Buildpro Limited
SHANKARA BUILDING PRODUCTS LIMITED (CIN: L26922KA1995PLC018990) is a active public company incorporated on 1995-10-13, registered under ROC Bangalore. The company operates in the manufacture of refractory ceramic products sector (NIC Code: 2692).
For financial year 2024, SHANKARA BUILDING PRODUCTS LIMITED reported a total income of ₹48,69,41,00,000, placing it in the 500+ Crore INR revenue bracket .
The company has 10 current directors : ALEX VARGHESE , BHADRANARASIMHAM JAYARAMAN , CHANDU NAIR , JAYASHRI MURALI , RAVICHANDAR VENKATARAMAN , EREENA VIKRAM , SUKUMAR SRINIVAS , SUBRAMANYA VENKATA SIVAPRASAD RAMENANI , CHOWDAPPA RAVIKUMAR , MUTHURAMAN . . 12 past directors are also on record.
Registered Address: G-2 FARAH WINSFORD, NO.133, INFANTRY ROAD,, NA, BANGALORE, Karnataka 560001, India