Medium Risk

VISHNU PRAKASH R PUNGLIA LIMITED

Construction projects under Engineering, Procurement, and Construction (EPC) mode. The infrastructure portfolio includes

CIN: L45203MH2013PLC243252 FY: 2024-2025 Revenue: ₹1,237.4 Cr
6.0
ESG Risk
Score /10
Compliance RiskEpr ExposureGovernance Risk

Risk Breakdown

GHG Intensity
5.0
Water Intensity
5.0
Waste Intensity
5.0
EPR Exposure
6.5
Compliance Risk
10.0
HR Risk
3.0
Governance Risk
6.0

Financial Exposure

Est. Compliance Cost₹2–7 crore
EPR ApplicableUnknown
Scope 1 Emissions— tCO2e
Scope 2 Emissions— tCO2e
Water Withdrawal— m³
Waste Generated— T

Governance

Anti-Corruption PolicyUnknown
Conflict of Interest PolicyYes
BRSR AssuranceNone
Assurance Provider

Double Materiality

Financial Materiality6.0
Impact Materiality5.3
QuadrantDual Materiality

Supply Chain

MSME Sourcing0.3%
Lifecycle AssessmentNo
Product ReclaimYes

Material Risks

e-waste

AI Risk Summary

**Financial Risk Summary: Vishnu Prakash R Punglia Limited** The company faces its most acute financial exposure through compliance risk (10.0/10 rating), with estimated remediation costs of ₹2–7 crore against a ₹1,237.4 crore revenue base, representing 0.16–0.57% direct ESG compliance drag. SEBI BRSR Core Expansion obligations create material delisting and enforcement action risk if disclosure gaps persist, particularly around undetermined EPR (Extended Producer Responsibility) applicability, which carries a 6.5/10 exposure rating. The construction EPC sector's environmental intensity—combined with zero reported Scope 1 and 2 emissions data despite infrastructure operations—suggests either measurement gaps or undisclosed carbon liabilities that could crystallize under India's CCTS mechanism (₹600–900/tonne CO2e) if emissions are subsequently quantified. Immediate priorities: clarify EPR applicability, establish verified GHG accounting protocols, and align BRSR P6 disclosures to prevent regulatory penalties that could exceed the current ₹2

Source: VISHNU PRAKASH R PUNGLIA LIMITED BRSR Filing, FY 2024-2025. Derived from the company's own public disclosures. Not investment advice or a regulatory determination.

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