Faze Three Limited - consumer goods in Dapada, Dadra & Nagar Haveli, India. FY 2026 financials & compliance.
CIN L99999DN1985PLC000197 Incorporated 09 January 1985 ROC Ahmedabad HQ Dapada, Dadra & Nagar Haveli, India
Active Listed - BSE: 530079 Public Limited Company consumer goods
Data last updated
Market Cap
₹1,038 Cr
FAZE3Q · NSE
Share Price
₹434.05
+2.86% today
Revenue
₹923 Cr
FY 2025-26 · +38.3% YoY
EBITDA
₹93.46 Cr
Margin 10.1%
Net Profit
₹28.07 Cr
FY 2025-26 · -10.3% YoY
P/E (TTM)
35.4x
P/B 2.7x
ROE
7.3%
ROCE 10.9%
Debt / Equity
0.61
Interest cover 48.4x

About Faze Three Limited

Data last updated: 26 September 2026

Faze Three Limited is a public limited company based in Dapada, Dadra & Nagar Haveli, India. It specialises in home furnishings manufacturing, a part of the broader consumer goods sector. Incorporated on 09 January 1985, the company has been in operation for over 41 years.

Registered with ROC Ahmedabad under CIN L99999DN1985PLC000197. Listed on BSE: 530079.

Capital: an authorised share capital of ₹26 Cr and a paid-up capital of ₹24.32 Cr. It is led by directors including James Barry Leonard and Sanjay Anand.

Last AGM: 05 September 2025. Financial statements filed for year ended 31 March 2025. Office: Survey No. 380/1 Khanvel Silvassa Road Village Dapada, Dadra & Nagar Haveli, India – 396230.

As per the latest consolidated financials for FY 2025-26, the company reported a revenue of ₹923.07 Cr, a growth of 33.79% compared to the previous year. The net worth stands at ₹452.3 Cr (up 7.69% YoY). Total assets are valued at ₹730.66 Cr (up 18.92% YoY).

The company has a workforce of approximately 2,359 employees as per the latest available data. Its group structure includes 1 subsidiary.

The company is associated with 1 brand - Faze Three Limited. As per MCA filings, the company has open charges of ₹280 Cr and satisfied charges of ₹267.16 Cr on record.

The current compliance status is marked as compliant by the Registrar of Companies. For more details, the company can be reached via its website fazethree.com.

Company Details of Faze Three Limited
CIN L99999DN1985PLC000197
Registration Number 000197
Incorporation Date 09 January 1985
ROC Ahmedabad
Listing Status Listed (BSE: 530079)
Company Status Active
Date of Last AGM 05 September 2025
Date of Balance Sheet 31 March 2025
Compliance Status Active Compliant
Contact Details
  • Email
    Locked
  • Telephone
    Locked
  • Website
  • Social Media
  • Registered Address
    Survey No. 380/1 Khanvel Silvassa Road Village Dapada, Dadra & Nagar Haveli, India – 396230
  • Industry
    Consumer Goods, Home Furnishings Manufacturing
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Financials, compliance, directors, charges, ownership and filings for Faze Three Limited in one report.

10-year financials Directors & ownership Charges & compliance

CIN History of Faze Three Limited

Faze Three Limited has one previous CIN (Corporate Identification Number): L99999MH1985PLC035032. The current CIN is L99999DN1985PLC000197, which is the unique identifier assigned by the Registrar of Companies.

CIN Status
L99999DN1985PLC000197 Current
L99999MH1985PLC035032 Previous

Associated Brands with Faze Three Limited

Faze Three Limited operates one associated brand: FAZE THREE LIMITED. These brands represent Faze Three Limited's diversified market presence and brand portfolio.

Brand Description Website
Home furnishings and automobile textiles are contract-manufactured. fazethree.com

Competitors & Alternatives of Faze Three Limited

Brands and companies operating in the same space as Faze Three Limited include Cupid, Unison Metals, KH Group and 4 more.

Competitor Description Location Founded
Cupid Cupid Contract manufacturer of male & female condoms Nashik, India, India 1993
Unison Metals Unison Metals Hot and cold rolled stainless steel sheets are contract manufactured. Ahmedabad, India, India 1990
KH Group KH Group Specializes as a contract manufacturer of leather footwear, bags, and gloves. Chennai, India, India 2001
Flexipol Foams Flexipol Foams Contract manufacturer of industrial grade foam products Bhiwadi, India, India 1995
Promark Promark Contract manufacturing of IT products and furniture is conducted. Sahibzada Ajit Singh Nagar, India, India 2003
Kragbuzz Kragbuzz Contract manufacturing of sportswear, accessories, and bags is conducted. Delhi, India, India 1985
Bhaskar Industries Bhaskar Industries Produces high-quality denim fabrics for international apparel industry with innovative designs. Bhopal, India, India 1985

Business Activity of Faze Three Limited

Faze Three Limited is engaged in the principal business activity of manufacturing, with detailed activities including textile, leather and other apparel products.

Main Activity Group Code Description of Main Activity Business Activity Code Description of Business Activity Turnover Percentage
C Manufacturing C2 Textile, leather and other apparel products Locked
Premium access

Business activity turnover details for Faze Three Limited

Turnover contribution percentages and historical activity changes require an active report plan.

  • Turnover contribution
  • Historical classifications
  • Filing-level activity changes

Verified entity values are shown only after access is granted.

Auditor Details of Faze Three Limited

Faze Three Limited is audited by MSKA & Associates for the financial year 2024. The auditor plays a crucial role in ensuring financial transparency and compliance with accounting standards.

Name Status Appointment Date Cessation Date
MSKA & Associates Locked Locked Locked
Premium access

Complete auditor history for Faze Three Limited

Appointment status, appointment dates, cessation dates, and historical auditor changes require an active report plan.

  • Appointment status
  • Appointment dates
  • Cessation dates
  • Auditor changes

Verified entity values are shown only after access is granted.

Board of Directors of Faze Three Limited

Faze Three Limited is currently managed by 7 directors, with 16 former directors having served the organization. The current Directors play a crucial role in shaping the company's strategic direction and governance.

Current Directors
Name Designation Appointment Date Tenure Status
James Barry Leonard Director 05 Oct 2022 3 Years 11 Months Current
Sanjay Anand Whole-Time Director 01 Dec 2009 16 Years 9 Months Current
Ajay Brijlal Anand Managing Director 20 Jun 2013 13 Years 3 Months Current
Rashmi Anand Director 23 Aug 2019 7 Years 1 Months Current
Vinit Arvind Rathod Director 12 Aug 2016 10 Years 1 Months Current
Chuji Kondo Director 05 Oct 2022 3 Years 11 Months Current
Showing 6 of 7 current directors. View all directors

Financials of Faze Three Limited FY 2025-26 filings available

Faze Three Limited reported revenue of ₹923.07 Cr (up 33.79% YoY) for FY 2025-26.

Financial Highlights

FY 2025-26 · Consolidated
Revenue
₹923 Cr
+33.8% YoY
EBITDA
₹93.46 Cr
+3.9% YoY
Profit After Tax
₹28.07 Cr
-10.3% YoY
Net Worth
₹452 Cr
+7.7% YoY
Total Assets
₹731 Cr
+18.9% YoY
Total Debt
₹275 Cr
+43.1% YoY

Revenue vs Net Profit ₹ Cr

Margin trends

Financial summary ₹ Cr

MetricsFY 2025-26FY 2024-25FY 2023-24FY 2022-23FY 2021-22FY 2020-21FY 2019-20
Income statement
Revenue923690565558504324302
Revenue growth+38.3%+28.3%+2.4%+8.2%+52.5%+3.1%+11.6%
EBITDA93.4689.9596.9110282.3547.5033.63
EBITDA margin+10.1%+13.0%+17.2%+18.2%+16.3%+14.6%+11.1%
Profit before tax42.0452.6562.4577.6271.4035.3321.18
Net profit28.0731.2946.8958.3550.8924.8518.14
Net profit margin+3.0%+4.5%+8.3%+10.5%+10.1%+7.7%+6.0%
EPS (₹)13.8016.7219.1623.9721.0010.257.46
Balance sheet
Total assets731614553511447331269
Net worth452420381335278226201
Total debt27519217017416710366.49
Cash & bank13.189.0768.3510456.4442.4616.29
Net working capital299281273274260181121
Cash flow
Cash from operations58.2712.2737.01110(6.53)8.9431.10
Cash from investing(117)(42.65)(44.38)(44.33)(50.82)(52.63)(5.20)
Cash from financing62.813.55(18.76)(6.04)60.8430.86(21.80)
ParticularsJun 2026Mar 2026Dec 2025Sep 2025Jun 2025Mar 2025Dec 2024Sep 2024
Revenue229277227207212211178152
Revenue growth (YoY)+8.2%+31.7%+27.4%+36.1%+42.2%+28.1%+28.9%+14.8%
Other income5.713.172.400.243.887.690.051.61
EBITDA21.3833.9918.585.3324.6524.5421.8717.59
EBITDA margin+9.3%+12.3%+8.2%+2.6%+11.6%+11.7%+12.3%+11.6%
Depreciation8.077.967.907.667.226.866.226.12
Interest5.646.064.654.564.194.084.133.33
Profit before tax13.3823.148.43(6.65)17.1221.2911.579.75
Tax3.743.542.03(1.45)4.353.862.702.65
Net profit9.6419.606.40(5.20)12.7717.438.877.10
EPS (₹)3.968.062.64(2.14)5.257.173.652.92
MetricsFY 2025-26FY 2024-25FY 2023-24FY 2022-23FY 2021-22FY 2020-21FY 2019-20
Income statement
Revenue860659536548505324302
Revenue growth+36.0%+28.7%-0.5%+6.0%+52.9%+3.4%+13.3%
EBITDA79.8985.2190.0799.8882.3347.5834.77
EBITDA margin+9.3%+12.9%+16.8%+18.2%+16.3%+14.7%+11.5%
Profit before tax35.3651.4257.2476.7171.3935.4122.32
Net profit22.5230.4842.4057.4950.8824.9319.27
Net profit margin+2.6%+4.6%+7.9%+10.5%+10.1%+7.7%+6.4%
EPS (₹)11.5316.3817.3123.6221.0010.287.92
Balance sheet
Total assets703598549512449333272
Net worth443417378337281229204
Total debt25618016917316710366.49
Cash & bank10.629.0167.8310455.8041.9015.73
Net working capital255255266271260181121
Cash flow
Cash from operations57.8228.7534.65109(6.51)8.9430.81
Cash from investing(114)(47.96)(42.23)(47.21)(50.92)(52.63)(5.20)
Cash from financing57.92(7.40)(18.40)(6.04)60.8430.86(21.80)
ParticularsJun 2026Mar 2026Dec 2025Sep 2025Jun 2025Mar 2025Dec 2024Sep 2024
Revenue213238217201205199170149
Revenue growth (YoY)+4.0%+19.9%+27.4%+35.0%+44.7%+32.1%+31.7%+15.7%
Other income6.654.183.260.794.738.390.742.11
Total expenses196213201196182176149132
EBITDA17.2425.3515.714.9423.1022.5920.7516.86
EBITDA margin+8.1%+10.6%+7.3%+2.5%+11.3%+11.4%+12.2%+11.3%
Depreciation7.487.367.337.156.786.506.005.86
Interest4.775.214.454.394.033.874.063.35
Profit before tax11.6416.967.19(5.81)17.0220.6111.439.76
Tax2.872.601.90(1.45)4.263.622.642.64

Financial Statements

Figures in ₹ Cr; negatives in brackets. Updated 26 Sep 2026
ParticularsJun 2026Mar 2026Dec 2025Sep 2025Jun 2025Mar 2025Dec 2024Sep 2024
Revenue229277227207212211178152
Revenue growth (YoY)+8.2%+31.7%+27.4%+36.1%+42.2%+28.1%+28.9%+14.8%
Other income5.713.172.400.243.887.690.051.61
EBITDA21.3833.9918.585.3324.6524.5421.8717.59
EBITDA margin+9.3%+12.3%+8.2%+2.6%+11.6%+11.7%+12.3%+11.6%
Depreciation8.077.967.907.667.226.866.226.12
Interest5.646.064.654.564.194.084.133.33
Profit before tax13.3823.148.43(6.65)17.1221.2911.579.75
Tax3.743.542.03(1.45)4.353.862.702.65
Net profit9.6419.606.40(5.20)12.7717.438.877.10
EPS (₹)3.968.062.64(2.14)5.257.173.652.92
ParticularsFY 2025-26FY 2024-25FY 2023-24FY 2022-23FY 2021-22FY 2020-21FY 2019-20
Revenue923690565558504324302
Revenue growth+38.3%+28.3%+2.4%+8.2%+52.5%+3.1%+11.6%
Other income9.6911.807.805.586.982.354.12
Total expenses830600468457422277269
Employee cost12310481.8569.2365.1951.2952.26
EBITDA93.4689.9596.9110282.3547.5033.63
EBITDA margin+10.1%+13.0%+17.2%+18.2%+16.3%+14.6%+11.1%
Depreciation30.7425.0320.6014.4710.198.847.96
Interest30.3724.0721.6615.057.745.688.61
Profit before tax42.0452.6562.4577.6271.4035.3321.18
Tax8.4711.9915.8619.3220.3210.403.04
Net profit28.0731.2946.8958.3550.8924.8518.14
Net profit margin+3.0%+4.5%+8.3%+10.5%+10.1%+7.7%+6.0%
EPS (₹)13.8016.7219.1623.9721.0010.257.46
ParticularsFY 2025-26FY 2024-25FY 2023-24FY 2022-23FY 2021-22FY 2020-21FY 2019-20
Equity & liabilities
Share capital24.3224.3224.3224.3224.3224.3224.32
Reserves & surplus428396356310254202177
Shareholders' funds (net worth)452420381335278226201
Minority interest0.000.000.000.000.000.000.00
Secured loans24618015716115891.6354.59
Unsecured loans29.6112.1713.0913.279.0111.4111.90
Total debt27519217017416710366.49
Total liabilities731614553511447331269
Assets
Gross block546464388344275243234
Net block359306252216161141137
Capital work in progress12.438.686.604.043.951.040.76
Investments17.6710.6514.4612.3410.420.210.21
Inventories18819813380.4611569.8360.77
Sundry debtors11590.8375.2096.2781.8369.6644.00
Cash & bank balances13.189.0768.3510456.4442.4616.29
Loans & advances61.2947.7431.3924.2743.7525.3515.38
Total current assets377346308305297207136
Total current liabilities78.2964.1034.7731.1537.3325.9915.39
Net working capital299281273274260181121
Total assets731614553511447331269
ParticularsFY 2025-26FY 2024-25FY 2023-24FY 2022-23FY 2021-22FY 2020-21FY 2019-20
Opening cash8.8835.7161.842.202.4415.2711.17
Net cash from operating activities58.2712.2737.01110(6.53)8.9431.10
Net cash from investing activities(117)(42.65)(44.38)(44.33)(50.82)(52.63)(5.20)
Net cash from financing activities62.813.55(18.76)(6.04)60.8430.86(21.80)
Net change in cash4.24(26.83)(26.13)59.643.49(12.83)4.10
Closing cash13.189.0768.3510456.4442.4616.29
ParticularsFY 2025-26FY 2024-25FY 2023-24FY 2022-23FY 2021-22FY 2020-21FY 2019-20
Growth
Sales growth+33.8%+22.2%+1.1%+10.7%+55.5%+7.4%+12.5%
EBITDA growth+3.9%-7.2%-4.6%+23.3%+73.4%+41.2%+20.1%
PBT growth-20.2%-15.7%-19.5%+8.7%+102.1%+66.8%+18.9%
Net income growth-10.3%-33.3%-19.6%+14.7%+104.8%+37.0%+20.5%
Revenue CAGR (3Y)+18.3%+11.0%+20.3%+22.7%+23.4%+10.6%-
EBITDA CAGR (3Y)-2.7%+3.0%+26.8%+44.5%+43.3%+34.9%-
Profitability & leverage
Net income margin+3.6%+5.9%+8.3%+10.4%+10.1%+7.7%+6.0%
Return on capital employed+10.9%+13.1%+17.7%+21.9%+23.8%+16.7%+13.8%
Return on net worth+7.3%+9.0%+15.5%+23.3%+26.0%+15.6%+12.2%
Debt / equity0.610.520.570.680.690.530.48
Long-term debt / equity0.060.020.030.040.040.070.05
Interest cover48.4237.0828.3817.2810.7314.6933.54
Efficiency & per share
Fixed asset turnover2.041.851.822.202.491.771.82
Inventory turnover4.784.175.295.715.464.974.74
Debtors turnover8.998.316.586.276.665.716.80
EPS (₹)13.8016.7219.1623.9721.0010.257.46
Dividend per share (₹)0.000.000.000.500.000.000.50
Book value per share (₹)164.57151.44133.45114.4791.2570.3660.15
ParticularsJun 2026Mar 2026Dec 2025Sep 2025Jun 2025Mar 2025Dec 2024Sep 2024
Revenue213238217201205199170149
Revenue growth (YoY)+4.0%+19.9%+27.4%+35.0%+44.7%+32.1%+31.7%+15.7%
Other income6.654.183.260.794.738.390.742.11
Total expenses196213201196182176149132
EBITDA17.2425.3515.714.9423.1022.5920.7516.86
EBITDA margin+8.1%+10.6%+7.3%+2.5%+11.3%+11.4%+12.2%+11.3%
Depreciation7.487.367.337.156.786.506.005.86
Interest4.775.214.454.394.033.874.063.35
Profit before tax11.6416.967.19(5.81)17.0220.6111.439.76
Tax2.872.601.90(1.45)4.263.622.642.64
ParticularsFY 2025-26FY 2024-25FY 2023-24FY 2022-23FY 2021-22FY 2020-21FY 2019-20
Revenue860659536548505324302
Revenue growth+36.0%+28.7%-0.5%+6.0%+52.9%+3.4%+13.3%
Other income12.9614.028.705.576.982.354.12
Total expenses780574446448423276267
Employee cost12110281.1269.1965.1951.2952.26
EBITDA79.8985.2190.0799.8882.3347.5834.77
EBITDA margin+9.3%+12.9%+16.8%+18.2%+16.3%+14.7%+11.5%
Depreciation28.6224.0319.9814.0410.198.847.96
Interest28.8723.7821.5514.707.735.688.61
Profit before tax35.3651.4257.2476.7171.3935.4122.32
Tax7.3111.5915.1319.2720.3210.403.05
Net profit22.5230.4842.4057.4950.8824.9319.27
Net profit margin+2.6%+4.6%+7.9%+10.5%+10.1%+7.7%+6.4%
EPS (₹)11.5316.3817.3123.6221.0010.287.92
ParticularsFY 2025-26FY 2024-25FY 2023-24FY 2022-23FY 2021-22FY 2020-21FY 2019-20
Equity & liabilities
Share capital24.3224.3224.3224.3224.3224.3224.32
Reserves & surplus419392354312256204180
Shareholders' funds (net worth)443417378337281229204
Secured loans22716915716115892.541.28
Unsecured loans28.9711.0312.0111.929.0110.5065.21
Total debt25618016917316710366.49
Total liabilities703598549512449333272
Assets
Gross block509436378340275243234
Net block327279243212161141137
Capital work in progress12.437.484.854.043.951.040.76
Investments20.2013.1817.0014.8812.962.652.65
Inventories16718612777.3911067.2359.76
Sundry debtors98.4480.8375.1093.9087.3672.3845.55
Cash & bank balances10.629.0167.8310455.8041.9015.73
Loans & advances52.3840.8327.7923.1643.7525.3515.38
Total current assets328317298298296207136
Total current liabilities72.6861.9031.5026.9136.7725.5215.40
Net working capital255255266271260181121
Total assets703598549512449333272
ParticularsFY 2025-26FY 2024-25FY 2023-24FY 2022-23FY 2021-22FY 2020-21FY 2019-20
Opening cash8.8335.4461.425.291.8814.7110.90
Net cash from operating activities57.8228.7534.65109(6.51)8.9430.81
Net cash from investing activities(114)(47.96)(42.23)(47.21)(50.92)(52.63)(5.20)
Net cash from financing activities57.92(7.40)(18.40)(6.04)60.8430.86(21.80)
Net change in cash1.74(26.61)(25.98)56.133.41(12.83)3.81
Closing cash10.629.0167.8310455.8041.9015.73
ParticularsFY 2025-26FY 2024-25FY 2023-24FY 2022-23FY 2021-22FY 2020-21FY 2019-20
Growth
Sales growth+30.5%+23.0%-2.2%+8.5%+55.9%+7.2%+13.7%
EBITDA growth-6.2%-5.4%-9.8%+21.3%+73.0%+36.8%+17.1%
PBT growth-31.2%-10.2%-25.4%+7.5%+101.6%+58.7%+17.1%
Net income growth-26.1%-28.1%-26.3%+13.0%+104.1%+29.4%+18.3%
Revenue CAGR (3Y)+16.2%+9.3%+18.3%+21.9%+23.9%+10.6%+7.4%
EBITDA CAGR (3Y)-7.2%+1.2%+23.7%+42.2%+40.5%+34.9%+21.6%
Profitability & leverage
Net income margin+3.3%+6.0%+7.9%+10.5%+10.1%+7.7%+6.4%
Return on capital employed+10.0%+13.0%+16.6%+21.6%+23.6%+16.6%+14.3%
Return on net worth+6.0%+8.9%+14.0%+22.8%+25.7%+15.5%+12.9%
Debt / equity0.580.510.570.670.680.530.48
Long-term debt / equity0.050.020.030.030.040.070.05
Interest cover56.3138.8730.7517.1210.7214.6632.11
Efficiency & per share
Fixed asset turnover2.041.871.772.182.481.771.82
Inventory turnover4.884.215.255.865.715.104.82
Debtors turnover9.608.456.346.056.325.496.68
EPS (₹)11.5316.3817.3123.6221.0010.287.92
Dividend per share (₹)0.000.000.000.500.000.000.50
Book value per share (₹)160.92150.11132.45115.3192.2671.3761.15
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Shareholding Pattern of Faze Three Limited

As per the shareholding pattern for the quarter ended Jun 2026, promoters hold 58.00%, foreign institutional investors hold 0.00%, domestic institutional investors hold 0.80%, retail and other public shareholders hold 41.20% of Faze Three Limited.

Promoters: 58.00%DII (Domestic Institutional): 0.80%Retail & Others: 41.20%
Jun 2026
QUARTER
58.00% Promoters
0.80% DII (Domestic Institutional)
41.20% Retail & Others
Promoter holding - history
Now 58.00% · Jun 2026High 58.00% · Sep 2025Low 58.00% · Sep 2025
57%57.5%58%58.5%59%Sep 2025Dec 2025Mar 2026Jun 2026Sep 2025: 58.00%Dec 2025: 58.00%Mar 2026: 58.00%Jun 2026: 58.00%58.00%58.00%
Shareholding trend - last 6 quarters
Jun 2026Mar 2026Dec 2025Sep 2025
Promoters58.00%58.00%58.00%58.00%
Public42.00%42.00%42.00%42.00%

Group Structure of Faze Three Limited

Faze Three Limited has 1 subsidiary company. This group structure data is as of FY 2024. The corporate group structure reflects Faze Three Limited's business expansion strategy and organizational complexity.

1
Subsidiary companies
Key Subsidiaries
Company Name CIN Shares Held
Mats And More Private Limited U36997MH2022PTC378313 -

Showing major subsidiaries. Total: 1.

Charges & Borrowings of Faze Three Limited

Open charges
₹280 Cr
Satisfied charges
₹267.16 Cr
Breakdown by lending institutions
Hdfc Bank Limited₹130.00 Cr
Others₹100.00 Cr
Yes Bank Limited₹50.00 Cr
Latest charge details
DateLenderAmountStatus
20 Dec 2025 Hdfc Bank Limited ₹40 Cr Open
28 Oct 2024 Others ₹30 Cr Open
23 Jan 2023 Others ₹20 Cr Open
21 Jun 2021 Hdfc Bank Limited ₹90 Cr Open
05 Mar 2021 Others ₹50 Cr Open

Total charge records: 24 View all charges

Employees and EPFO Compliance at Faze Three Limited

Faze Three Limited has a workforce of 2,359 employees as of Mar 20, 2025.

Employee count
2,359
Active EPFO establishments
5
Employee growth
30.19%
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Employee and EPFO history for Faze Three Limited

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GST Compliance of Faze Three Limited

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GST registrations and filing compliance for Faze Three Limited

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Credit Ratings, Litigation & Regulatory Alerts for Faze Three Limited

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Credit ratings, litigation, and regulatory alerts for Faze Three Limited

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MSME Payment Delays by Faze Three Limited

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MSME payment history for Faze Three Limited

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Subsidiaries & Group Companies of Faze Three Limited

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Corporate group structure for Faze Three Limited

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MCA Filings & Documents of Faze Three Limited

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MCA filings and documents for Faze Three Limited

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Recent Activity on Faze Three Limited

Charges
22 May 2026
A charge with Hdfc Bank Limited of Rs. 40.00 Cr registered on 20 Dec 2025 with Charge ID 101209933 was modified on 22 May 2026.
Charges
22 May 2026
A charge with Hdfc Bank Limited of Rs. 90.00 Cr registered on 21 Jun 2021 with Charge ID 100454163 was modified on 22 May 2026.
Charges
21 May 2026
A charge registered on 17 Mar 2025 via Charge ID 101068815 with Standard Chartered Bank was fully satisfied on 21 May 2026.
Charges
20 Dec 2025
A charge with Hdfc Bank Limited amounted to Rs. 40.00 Cr with Charge ID 101209933 was registered on 20 Dec 2025.
Charges
15 Nov 2025
A charge registered on 25 Oct 2024 via Charge ID 101005684 with Others was fully satisfied on 15 Nov 2025.
Charges
17 Oct 2025
A charge with Others of Rs. 30.00 Cr registered on 28 Oct 2024 with Charge ID 101003458 was modified on 17 Oct 2025.

Frequently Asked Questions about Faze Three Limited

Faze Three Limited is an active public limited company in the consumer goods sector based in Dapada, Dadra & Nagar Haveli, India. It was incorporated on 09 January 1985 (41+ years old) and is registered under CIN L99999DN1985PLC000197. Listed on BSE: 530079. The company has 2,359 employees.

Faze Three Limited reported revenue of ₹923.07 Cr for FY 2025-26 (up 33.79% YoY) based on consolidated financials.

The current directors of Faze Three Limited are:

The primary industry of Faze Three Limited is consumer goods. The company specifically operates in home furnishings manufacturing. The company is currently active in this sector.

Yes. Faze Three Limited is listed on BSE with code 530079.

Faze Three Limited can be reached at the registered office: Survey No. 3801 Khanvel Silvassa Road Village Dapada, Dadra & Nagar Haveli, India – 396230, or through the website fazethree.com.

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