KMC INFRATECH ROAD HOLDINGS LIMITED

KMC INFRATECH ROAD HOLDINGS LIMITED is a Public limited company incorporated on 16/09/2014. It is categorised as Company Limited by Shares and classified as Indian Non-Government Company. It is registered at Registrar of Companies, RoC-Hyderabad office. Its authorized share capital is Rs. 22500000.0 /- and paid up capital is Rs. 22274170.0/-. It is engaged in Business Services


KMC INFRATECH ROAD HOLDINGS LIMITED's Corporate Identification Number (CIN) is U74900TG2014PLC095703 and its registration number is 095703. Its registered address is Door No. 1-80/40/SP/58-65, SHILPA HOMES LAYOUT GACHIBOWLI, HYDERABAD TG 500032 IN- Telangana - INDIA
KMC INFRATECH ROAD HOLDINGS LIMITED has not been Listed with stock exchanges

Current status of KMC INFRATECH ROAD HOLDINGS LIMITED is - Active

COMPANY FACTS

  • Company Name: KMC INFRATECH ROAD HOLDINGS LIMITED
  • Company CIN: U74900TG2014PLC095703
  • Incorporation Date: 16/09/2014
  • Registrar Office: RoC-Hyderabad
  • Registration Number: 095703
  • State: Telangana
  • Address: Door No. 1-80/40/SP/58-65, SHILPA HOMES LAYOUT GACHIBOWLI, HYDERABAD TG 500032 IN
  • Telephone Number:
  • Website :
  • Update Website, Products & Services

  • Company Category: Company Limited by Shares
  • Company Sub category: Indian Non-Government Company
  • Company Class: Public Limited Company
  • Authorised Capital (INR): 22500000.0 /-
  • Paid Up Capital (INR): 22274170.0 /-
  • Listing Status: Not Listed with stock exchanges
  • Company Status: Active
  • Company Business Activities:

    Business Services

DIRECTORS

  • DINDirector NameAppointment DateResignation Date
    01202947 MEKAPATI SRIKIRTI16/09/2014-
    01657590 VENKATA RACHITA GUNUPATI28/08/2017-
    03113088 SHASHANK SHEKHAR28/08/2017-

Charges / Borrowing Details

  • AssetsBorrowing AmountCreation DateModification DateCurrent Status
    445200000.031/12/2015-OPEN
    As per the Attached documents3000000000.021/09/201527/02/2016CLOSED
    Both Present and Future5009107468.006/09/2017-OPEN
    cash flow residuals1328700000.008/01/2018-OPEN
    Extn of Pledge of 51%of paid up equity of Borrower1439500000.030/12/2016-OPEN
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