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Aditya Ispat Ltd. — Earnings Release 2023
May 31, 2023
61697_rns_2023-05-31_8c3bf59c-1f41-4493-b524-7f9edf3929c5.pdf
Earnings Release
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Phone : 040-23773675
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ADITYA ISPAT LIMITED
Regd. Office & Works : Plot No. 20, Phase V, IDA, Jeedimetla, Hyderabad - 500 055. Website : www.adityaispat.com e-mail : [email protected] Udyam: TS-20-0001177 CIN: L27109TG1990PLC012099
31.05.2023
To The Secretary Dept. of Corporate Services The Bombay Stock Exchange Ltd
P.J.Towers, Dalal Street MUMBAI -400 001
Ref: Scrip Code 513513
Sub : Newspaper Publication of Audited Financial Results (standalone) for the Quarter and Year Ended on 31[51 ] March, 2023.
Dear Sir/ Madam,
With reference to the above subject, Pursuant to Regulation 30 and 47 of SEBI (Listing Obligation and Di�closure Requirements) Regulations, 2018, we would like to inform you that the extract of Audited Financial Results for the Quarter and Year Ended
31[st ] March, 2023. has been published in both English and Telugu newspaper viz. Business Standard dt. 31.05.2023 and Nava Telangana dt. 31.05.2023. A copy of the said Publication is attached herewith for your reference and records.
Kindly take on your records and acknowledge the same.
Thanking you
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Yours faithfully For ADITYA ISPAT LIMITED
RAJAT Digitally signed by RAJAT AGRAWAL AGRAWAL Date: 2023.05.31 15:20:49 +05'30'
(RAJAT AGRAWAL) Company Secretary Cum Compliance Officer M.NO.: 58105
Encl: as above
Unit - II : Survey No. 119 (P), Kamaram Village, Shankarampet (R) Manda!, Medak Dist. 502 248. Telangana
11 ~~<~~
HYDERABAD | WEDNESDAY, 31 MAY 2023
~~. l~~
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SBFC Finance Limited
| Sl. No. 1 2 3 4 5 6 7 |
AUDITED STANDALONE STATEMENT OF PROFIT AND LOSS FOR THE QUARTER AND YEAR ENDED 31ST MARCH, 2023. ADITYAISPAT LIMITED Plot No: 20 Phse V, IDA, Jeedimetla, Hyderabad - 500055 Phone:+914023773675,Fax:+914023746169 (Rs.In Lakhs ) www.adityaispat.com,email:[email protected] CIN:L27109TG1990PLC012099 Total Income From Operations 1572.06 1374.52 1936.73 5344.76 4220.34 Net Profit/Lossfor thePeriod(beforetaxandExceptional items) 0.22 0.97 32.35 40.05 51.83 Net Profit /Loss for the Period after tax(after Exceptional items) 0.16 0.73 17.08 29.59 37.55 Total Comprehensive Income for the period (Comprising Profit/(loss) for the period (after tax) and other comprehensive income(after tax) 1.29 0.73 19.39 30.72 39.86 Paid-upequityshare capital(face value of Rs. 10/- Each/-) 535 535 535 535 535 Reserves (excluding Revaluation Reserves as shown in the Audited Balance Sheet of the Previous Year) - - - 541.77 511.05 Earnings Per Share (EPS) (FV of Rs. 10/- each) (not annulised) (for continuing and discontinued operations) Basic in Rs. Per Share. 0.00 0.01 0.32 0.55 0.70 Diluted in Rs. Per Share. 0.00 0.01 0.32 0.55 0.70 PARTICULARS Quarter Ended 31-12-2022 Unaudited Year Ended 31-03-2022 Audited Quarter Ended 31-03-2023 Audited Quarter Ended 31-03-2022 Audited Year Ended 31-03-2023 Audited |
PEGASUS ASSETS RECONSTRUCTION PRIVATE LIMITED PUBLIC NOTICE FOR E-AUCTION SALE Sale of Immovable Properties under the Securitization and Reconstruction of Financial Assets and Enforcement of Security Interest Act, 2002 read with proviso to Rule 8 (6) of the Security Interest (Enforcement) Rules, 2002. Notice is hereby given to the public in general and in particular to the Borrower and Guarantors that the below described secured assets mortgaged/charged to the Secured Creditor, being Pegasus Assets Reconstruction Private Limited acting in its capacity as Trustee of Pegasus Group Thirty Nine Trust-I (Pegasus),having being assigned the dues of the below mentioned borrower along with underlying securities, interest by RBL Bank Limited vide Assignment Agreement dated31/03/2021under the provisions of SARFAESI Act,2002. The Authorized officer of Pegasus has taken possession of the below mentioned mortgaged prop- erty on 28/01/2022 under the provisions of the SARFAESI Act and SARFAESI Rules. In view of the aforesaid the below mentioned mortgaged propertywill be sold on “As is where is”, “As is what is”, and “Whatever there is” basis on 16/06/2023 for recovery of Rs.6,91,83,911.61/- (Rupees Six Crores Ninety One Lakhs Eighty Three Thousand Nine Hundred And Eleven And Sixty One Paise Only) as on 25/05/2023together with further interest, costs, charges and expenses thereon w.e.f. 26/05/2023 due to the Pegasus Assets Reconstruction Private Limited, from Raghuveer Sandhya Reddy (Borrower, Guarantor & Mortgagor) and Mrs. Archana Potha (Co-Borrower& Guarantor).The reserve price is as mentioned below. Description of Immovable Property which is being sold: Name of the Borrower: Raghuveer Sandhya Reddy 55-56, 5th Floor, Free Press House, Nariman Point, Mumbai - 400 021. Phone No : 022 - 6188 4700 Email : [email protected] URL : www.pegasus-arc.com M Ah Pth |
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PEGASUS ASSETS RECONSTRUCTION PRIVATE LIMITED 55-56, 5th Floor, Free Press House, Nariman Point, Mumbai - 400 021. Phone No : 022 - 6188 4700 Email : [email protected] URL : www.pegasus-arc.com
Registered Office:- Unit No. 103, First Floor, C&B Square, Sangam Complex, Village Chakala, Andheri- Kurla Road, Andheri (East), Mumbai-400059.
POSSESSION NOTICE
(As per Rule 8(2) of Security Interest (Enforcement) Rules, 2002)
Whereas the undersigned being the Authorized Officer of SBFC Finance Limited under the Securitization, Reconstruction of Financial Assets and Enforcement of Security Interest Act, 2002 and in exercise of the powers conferred under section 13 (12) read with Rule 8 of the Security Interest (Enforcement) rules 2002, issued Demand Notices upon the Borrowers/Co-borrowers mentioned below, to repay the amount mentioned in the notice within 60 days from the date of receipt of the said notice. The borrower/Co-borrowers having failed to repay the amount, notice is hereby given to the Borrower/Co-borrowers and the public in general that the undersigned has taken possession of the property described herein below in exercise of powers conferred on him/ her under Section 13(4) of the said Act read with Rule 8 of the said rules on the below-mentioned dates. The Borrower/Co-borrowers in particular and the public in general is hereby cautioned not to deal with the property and any dealings with the property will be subject to the charge of SBFC Finance Limited. Name and Address of Borrowers Amount demanded in
Name and Address of Borrowers Description of Property(ies) & Amount demanded in
& Date of Demand Notice Date of Possession Possession Notice (Rs.)
1. GORRELA APPALA NAIDU, All the piece and parcel of property bearing A.R.C.C. building Rs.2257563/-
2. GORRELA VARA LAKSHMA, constructed in an extent of 72 sq yards or 60.19 square meters
D. No. 77-93-18, Radha in R.S. No.6P,8P,10P,11P,12P,45P46P,80P,81P, Plot no 2401, (Rupees Twenty Two
Nagar, Payakapuram, Block no 93 in Door No 77-93-18 Mpl Ward no 20, Old Asst No Lakh(s) Fifty Seven
Vijayawada, Krishna, Andhra 44243/2, New Asst No 167835 situated in Radha Nagar, Thousand Five Hundred
Pradesh - 520015. Payakapuram within the limts of Vijayawada Municipal Sixty Three Only) as on
Demand Notice Date: Corporation and within the limits of S.R.O.,Vijayawada of 14th Feb 2023
14th October 2021 Krishna District being bounded by: East - Plot no 2400, South Loan No. 02400006152DH - Municipal Road, West - Plot No 2402, North - Plot No 2396.
(PR00680829) Date of Possession: 29-May-2023 1. NAGESWARARAO PANTALA, All the piece and parcel of property bearing An Extent of 13 sq Rs. 2178470/2. GOPALA RAO PANTALA, yards or 10.86 sq meters of undivided and unspecified site, Dr No 32-40, 73/1a, Yaram Out of 170 sq yards Flat No F.F. 2 in the first floor of "Sri Sai (Rupees Twenty One Vari Street, Near Anjaneya Ganesh Nilayam", With a plinth area of 400 sq feet., common Lakh(s) Seventy Eight Temple, Machavaram, area if 50 sq ft., and parking area of 20 Sq ft., covered in R.S. Thousand Four Hundred VIJAYAWADA, ANDHRA No 79/7 situated at PRasadampadu, Vijayawada Rural, Krishna PRADESH - 520004. District, within the jurisdiction of Gundala bounded by 1. Land Seventy Only) as on Demand Notice Date: Boundries - East - Property of Raja Rao and Others, South - 14th Feb 2023 8th June 2021 PRoperty of St. Ann's Circar, West - Property of Vaddeswarapu Loan No. 02400006757DH Deva Sahayam, North - 18 Ft Width Bazar. 2. Flat Boundries,
(PR00680887) East - Common Corridor, South - Flat No 1, West - Open to Sky, North - Stair Case. Date of Possession: 29-May-2023 1. LACHCHAMMA TULUGU, All The Piece And Parcel Of Property Bearing Flat No Tf-10 As 2. BHASKARA RAO TULUGU, Per Bps Plan Tf-2 In Third Floor Of "Ganesh Nilayam", Rs. 2761589/- D no 21, 8-49, Rajaram Street, Admeasuring A Plinth Area Of 720 Sq Feet. Along With 28 Sq (Rupees Twenty Seven
Mutyalampadu near Govt Yards Or 23.41 Sq Meters, Of Undivided Share Out Of 262.5 Sq Lakh(s) Sixty One
press, Vijayawada Krishna, Yards Or 219.48 Sq Meters Of Property Bearing Door No 42-2Thousand Five
Andhra Pradesh - 520007. 4, Assessment No. Old 30173h/2/1, New 150168, In R.S. No. Hundred Eighty Nine
Demand Notice Date: 37/11, L.P. No. 169/78 Of Mutyalampadu Area, Vijayawada Only) as on 14th Feb 14th July 2021 Loan No. 02400006846DH Municipal Corporation, Krishna Dist. 2023 Date Of Possession: 29-May-2023 (PR00680898)
Description of Immovable Property which is being sold: Name of the Borrower: Raghuveer Sandhya Reddy Names of Guarantors: Mrs. Archana Potha Outstanding Dues Rs.6,91,83,911.61/- (Rupees Six Crores Ninety One Lakhs Eighty Three Thousand Nine Hundred And Eleven And Sixty One Paise Only) as on 25/05/2023 together with further interest, costs, charges and expenses thereon w.e.f. 26/05/2023 Description of Immovable All that Unit No.2 South-West Portion, in Ground Floor, in My Property: Home Sarovar Complex, Premises No.5-9-22, Ward No.5, Block No.9, Situated Near Secretariat Road, Adarsh Nagar, Khairathabad, Shapurwadi, Hyderabad, Telangana-500022(Area: 4748 Square Feet), Bounded By : North : Staircase, Lift & Corridor, South : Open To Sky, East : Neigh Office, West : Open To Sky,Owned by Dr. Madireddy Raghuveer Reddy. Reserve Price Rs. 4,32,66,150/Earnest Money Deposit Rs. 43,26,615/Reserve Price and Earnest Details are mentioned in the table above Money Deposit Claims, if any, which have NA been put forward against the property and any other dues known to Secured creditor and value Inspection of Properties 12/06/2023. Contact Person and Phone Mr. Vishal Kumar Shukla (Authorized Officer) No 9591103226 Last date for submission of 15/06/2023 till 4:00 pm Bid: Time and Venue of Bid E-Auction/Bidding through website (https://sarfaesi.aucOpening tiontiger.net) on 16/06/2023 from 11.00 am to 1:00 pm. This publication is also a 15 days’ notice to the aforementioned borrower/guarantors under Rule 8 and 9 of the Security Interest (Enforcement) Rule 2002.
NOTE:
1.The above audited results were reviewed by the audit committee and approved by the Board of Directors in their meeting held on 29th May, 2023 .The StatutoryAuditors of the Company have carried out audit of the above results and have expresses an unmodified opinion audit report.
-
The figures of the quarter ended 31 March, 2023 and 31 March, 2022 as reported in the financial results are the balancing figures between the audited figures in respect of the full financial year and published figures of nine months ended 31 December, 2022 and 31 December, 2021. The figures for the quarter ended 31 December, 2022 and 31 December, 2021 have been subjected to limited review by the statutory auditors.
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The Company deals with one segment i.e Bright Steel Bars and Wires. As the Company has a single reportable segment, the segment wise disclosure requirement of Ind As 108 on Operating Segment is not applicable to it
-
The Company has adopted Indian Accounting Standards (Ind AS) prescribed under the Companies Act 2013 read with relevant rules there under with effect from 1st April, 2017. Accordingly these financial have been prepared in accordance with the Indian Accounting Standards (Ind AS) notified under the Companies (Indian Accounting Standards) Rules, 2015 as amended by the Companies (Indian Accounting Standards) (Amendments) Rules,2016.
-
Accordingly Previous period/year figures have been re-grouped/rearranged to confirm to the classification of current period, whereever necessary.
-
The above is an extract of the detailed format of quarterly and year ended 31.03.23. Financial Results filed with the Stock Exchanges under Regulation 33 of the SEBI (Listing and Other Disclosure Requirements) Regulations. 2015.The full format of the Financial Results for the said quarter and year end are available on the Stock Exchanges website.www.bseindia.com. The same is also available on the Company website: www.adityaispat.com For ADITYAISPAT LIMITED Sd/-
(S.B.CHACHAN) -
Place : Hyderabad MANAGING DIRECTOR Date :29-05-2023 DIN:00080463
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For detailed terms & conditions of the sale, please refer to the link provided in Secured Creditors website i.e. http://www.pegasus-arc.com/assets-to-auction.html for detailed terms & conditions of e-auction/sale of respective property and other details before submitting their bids for taking part in the e-auction. Bidders may also visit the website https://sarfaesi.auctiontiger.netor contact service provider M/s. E Procurement Technologies Ltd. Auction Tiger, Bidder Support: 079-68136805/68136837 Mo.: +91 9265562821 & 9374519754, Email: [email protected], [email protected] @ [email protected].
The Borrower’s attention is invited to provisions of sub-section (8) of section 13 of the Act, in respect of time available, to redeem the secured assets. Place: Andhra Pradesh Sd/- (Authorized Officer) Dated: 31/05/2023 SBFC Finance Limited
AUTHORISED OFFICER Place: Hyderabad Pegasus Assets Reconstruction Private Limited Date: 31/05/2023 (Trustee of Pegasus Group Thirty Nine Trust I)
SURANA TELECOM AND POWER LIMITED
(CIN: L23209TG1989PLC010336) SURANA GROUP Regd Office: Plot No. 214, 215/A, Phase II, IDA, Cherlapally, Hyderabad - 500 051, Ph:+9140 27845119, e-mail: [email protected], Website: www.suranatele.com
| EXTRACT OF STATEMENT OF AUDITED STANDALONE AND CONSOLIDATED FINANCIAL RESULTS FOR THE QUARTER AND YEAR ENDED 31ST MARCH, 2023 (Rs. in Lakhs) |
EXTRACT OF STATEMENT OF AUDITED STANDALONE AND CONSOLIDATED FINANCIAL RESULTS FOR THE QUARTER AND YEAR ENDED 31ST MARCH, 2023 (Rs. in Lakhs) |
EXTRACT OF STATEMENT OF AUDITED STANDALONE AND CONSOLIDATED FINANCIAL RESULTS FOR THE QUARTER AND YEAR ENDED 31ST MARCH, 2023 (Rs. in Lakhs) |
EXTRACT OF STATEMENT OF AUDITED STANDALONE AND CONSOLIDATED FINANCIAL RESULTS FOR THE QUARTER AND YEAR ENDED 31ST MARCH, 2023 (Rs. in Lakhs) |
EXTRACT OF STATEMENT OF AUDITED STANDALONE AND CONSOLIDATED FINANCIAL RESULTS FOR THE QUARTER AND YEAR ENDED 31ST MARCH, 2023 (Rs. in Lakhs) |
EXTRACT OF STATEMENT OF AUDITED STANDALONE AND CONSOLIDATED FINANCIAL RESULTS FOR THE QUARTER AND YEAR ENDED 31ST MARCH, 2023 (Rs. in Lakhs) |
EXTRACT OF STATEMENT OF AUDITED STANDALONE AND CONSOLIDATED FINANCIAL RESULTS FOR THE QUARTER AND YEAR ENDED 31ST MARCH, 2023 (Rs. in Lakhs) |
EXTRACT OF STATEMENT OF AUDITED STANDALONE AND CONSOLIDATED FINANCIAL RESULTS FOR THE QUARTER AND YEAR ENDED 31ST MARCH, 2023 (Rs. in Lakhs) |
|
|---|---|---|---|---|---|---|---|---|
| Sl. No. |
PARTICULARS | Quarter ended STANDALONE Year ended 31.12.2022 Un-Audited 31.03.2023 Audited 31.03.2023 Audited 31.03.2022 Audited 31.03.2022 Audited |
Quarter ended CONSOLIDATED Year ended 31.12.2022 Un-Audited 31.03.2023 Audited 31.03.2023 Audited 31.03.2022 Audited 31.03.2022 Audited |
|||||
| 1. | Total Income from operations(net) | 461.22 437.68 |
584.98 | 1,710.93 | 1,770.04 | 733.05 691.67 |
849.42 | 2,791.33 2,944.58 |
| 2. | Net Profit /(Loss)for theperiod(before Tax and Exceptional items) | (158.45) 103.81 |
261.61 | 885.17 | 591.21 | (644.14) 159.38 |
257.93 | 588.01 920.69 |
| 3. | Net Profit /(Loss)for theperiod before tax(after Exceptional items) | (158.45) 103.81 |
261.61 | 885.17 | 591.21 | (644.14) 159.38 |
257.93 | 588.01 920.69 |
| 4. | Net Profit /(Loss)for theperiod after tax(after Exceptional items) | (124.33) 78.31 |
212.83 | 736.79 | 487.41 | (583.35) 120.87 |
238.13 | 432.41 791.60 |
| 5. | Total Comprehensive Income for the period [Comprising Profit / (Loss) for the period (after tax) and Other Comprehensive Income (after tax)] |
(106.24) 96.05 |
90.92 | 877.27 | 547.48 | (565.26) 138.61 |
116.23 | 572.89 851.66 |
| 6. | Equityshare capital(Face value of Re.1/- each) | 1357.59 1357.59 |
1357.59 | 1357.59 | 1357.59 | 1357.59 1357.59 |
1357.59 | 1357.59 1357.59 |
| 7. | Reserves (excluding revaluation reserves) as shown in the audited balance sheet |
10708.98 | 9831.70 | 10964.27 10403.00 |
||||
| 8. | Earnings Per Share (of Re.1/- each) (for continuing and discontinued operations) |
|||||||
| Basic: | (0.09) 0.06 |
0.16 | 0.54 | 0.36 | (0.43) 0.09 |
0.18 | 0.32 0.58 |
|
| |Diluted: | (0.09) 0.06 |
0.16 | 0.54 | 0.36 | (0.43) 0.09 |
0.18 | 0.32 0.58 |
|
| NOTES: 1. The above is an extract of the detailed format of quarterly/annual financial results filed with the Stock Exchanges under Regulation 33 of the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015.The full format of the Quarterly andYearly Financial Results and segment results together withAuditors' Report are available on the Stock Exchange websites i.e., www.bseindia.com & www.nseindia.com and on Company's website www.suranatele.com. |
- TheaboveresultswerereviewedbytheAuditCommitteeandapprovedbytheBoardofDirectorsoftheCompanyintheirmeetingheldon30thMay,2023
By Order of the Board
==> picture [341 x 572] intentionally omitted <==
For SURANA TELECOM AND POWER LIMITED Sd/NARENDER SURANA Date : 30.05.2023 Place : Secunderabad CHAIRMAN
|Intense Technologies Limited
CIN: L30007TG1990PLC011510
Registered Office : A1, Vikrampuri, Secunderabad -500009, TS, India.
Ph : 91-40-44558585, Fax : 91-40- 27819040, email : [email protected], Website: www.in10stech.com
Extract of Standalone and Consolidated Audited Financial Results for the
Quarter and Year ended 31st March , 2023
(in Lakhs)|**Intense Technologies Limited**<br>CIN: L30007TG1990PLC011510<br>Registered Office : A1, Vikrampuri, Secunderabad -500009, TS, India.<br>Ph : 91-40-44558585, Fax : 91-40- 27819040, email : [email protected], Website: www.in10stech.com<br>**Extract of Standalone and Consolidated Audited Financial Results for the**<br>**Quarter and Year ended 31st March , 2023**<br>(in Lakhs)|Intense Technologies Limited
CIN: L30007TG1990PLC011510
Registered Office : A1, Vikrampuri, Secunderabad -500009, TS, India.
Ph : 91-40-44558585, Fax : 91-40- 27819040, email : [email protected], Website: www.in10stech.com
Extract of Standalone and Consolidated Audited Financial Results for the
Quarter and Year ended 31st March , 2023
(in Lakhs)|**Intense Technologies Limited**<br>CIN: L30007TG1990PLC011510<br>Registered Office : A1, Vikrampuri, Secunderabad -500009, TS, India.<br>Ph : 91-40-44558585, Fax : 91-40- 27819040, email : [email protected], Website: www.in10stech.com<br>**Extract of Standalone and Consolidated Audited Financial Results for the**<br>**Quarter and Year ended 31st March , 2023**<br>(in Lakhs)|Intense Technologies Limited
CIN: L30007TG1990PLC011510
Registered Office : A1, Vikrampuri, Secunderabad -500009, TS, India.
Ph : 91-40-44558585, Fax : 91-40- 27819040, email : [email protected], Website: www.in10stech.com
Extract of Standalone and Consolidated Audited Financial Results for the
Quarter and Year ended 31st March , 2023
(in Lakhs)|**Intense Technologies Limited**<br>CIN: L30007TG1990PLC011510<br>Registered Office : A1, Vikrampuri, Secunderabad -500009, TS, India.<br>Ph : 91-40-44558585, Fax : 91-40- 27819040, email : [email protected], Website: www.in10stech.com<br>**Extract of Standalone and Consolidated Audited Financial Results for the**<br>**Quarter and Year ended 31st March , 2023**<br>(in Lakhs)|Intense Technologies Limited
CIN: L30007TG1990PLC011510
Registered Office : A1, Vikrampuri, Secunderabad -500009, TS, India.
Ph : 91-40-44558585, Fax : 91-40- 27819040, email : [email protected], Website: www.in10stech.com
Extract of Standalone and Consolidated Audited Financial Results for the
Quarter and Year ended 31st March , 2023
(in Lakhs)|**Intense Technologies Limited**<br>CIN: L30007TG1990PLC011510<br>Registered Office : A1, Vikrampuri, Secunderabad -500009, TS, India.<br>Ph : 91-40-44558585, Fax : 91-40- 27819040, email : [email protected], Website: www.in10stech.com<br>**Extract of Standalone and Consolidated Audited Financial Results for the**<br>**Quarter and Year ended 31st March , 2023**<br>(in Lakhs)|Intense Technologies Limited
CIN: L30007TG1990PLC011510
Registered Office : A1, Vikrampuri, Secunderabad -500009, TS, India.
Ph : 91-40-44558585, Fax : 91-40- 27819040, email : [email protected], Website: www.in10stech.com
Extract of Standalone and Consolidated Audited Financial Results for the
Quarter and Year ended 31st March , 2023
(in Lakhs)|**Intense Technologies Limited**<br>CIN: L30007TG1990PLC011510<br>Registered Office : A1, Vikrampuri, Secunderabad -500009, TS, India.<br>Ph : 91-40-44558585, Fax : 91-40- 27819040, email : [email protected], Website: www.in10stech.com<br>**Extract of Standalone and Consolidated Audited Financial Results for the**<br>**Quarter and Year ended 31st March , 2023**<br>(in Lakhs)|Intense Technologies Limited
CIN: L30007TG1990PLC011510
Registered Office : A1, Vikrampuri, Secunderabad -500009, TS, India.
Ph : 91-40-44558585, Fax : 91-40- 27819040, email : [email protected], Website: www.in10stech.com
Extract of Standalone and Consolidated Audited Financial Results for the
Quarter and Year ended 31st March , 2023
(in Lakhs)|**Intense Technologies Limited**<br>CIN: L30007TG1990PLC011510<br>Registered Office : A1, Vikrampuri, Secunderabad -500009, TS, India.<br>Ph : 91-40-44558585, Fax : 91-40- 27819040, email : [email protected], Website: www.in10stech.com<br>**Extract of Standalone and Consolidated Audited Financial Results for the**<br>**Quarter and Year ended 31st March , 2023**<br>(in Lakhs)|
|---|---|---|---|---|---|---|---|---|---|---|---|
|Sl.
No.|PARTICULARS|STANDALONE|||||CONSOLIDATED|||||
|||Quarter ended|||Year ended||Quarter ended|||Year ended||
|||31.03.2023
Audited|31.12.2022
Unaudited|31.03.2022
Audited|31.03.2023
Audited|31.03.2022
Audited|31.03.2023
Audited
|31.12.2022
Unaudited|31.03.2022
Audited|31.03.2023
Audited|31.03.2022
Audited|
|1|Total income from operations|3,122.30|1,945.13|3,292.07|8,731.39|8,091.48|3,386.19|2,115.02|3,404.90|9,183.62|8,395.70
2,425.89|
|2|Net Profit / (Loss) for the period (before tax,
Exceptional and / or Extraordinary items)|226.78|269.99|1,073.80|1,228.64|2,075.00|497.70|412.47|1,198.67|1,684.91||
|3|Net Profit / (Loss) for the period before tax
(after Exceptional and / or Extraordinary items)|226.78|269.99|1,073.80|1,228.64|2,075.00|497.70|412.47|1,198.67|1,684.91|2,425.89|
|4|Net Profit/(Loss) for the period after tax
(after Exceptional and / or Extraordinary items)|218.60|202.77|846.46|952.95|1,564.02|455.19|345.25|964.22|1,374.89|1,907.16|
|5|Other Comprehensive Income (net of tax)|(148.03)|36.78|(6.82)|(95.89)|(7.05)|(37.18)|36.78|18.12|14.96|17.89|
|6|Total Comprehensive Income for the period
[Comprising Profit/(Loss) for the period (after
tax) and other comprehensive income after tax)]|70.57|239.55|839.64|857.06|1,556.97|418.01|382.03|982.34|1,389.85|1,925.05|
|7|Equity Share Capital (face value of2/-per share)|469.35|449.13|449.13|469.35|449.13|469.35|449.13|449.13|469.35|449.13|
|8|Other Equity|-|-|-|10,623.18|9,505.80|-|-|-|10,784.62|9,183.35|
|9|Earnings Per Share (of2/- each)
(for continuing and discontinued operations) -|||||||||||
||1. Basic : (in )<br>2. Diluted : (in)|0.93
0.93|0.90
0.90|3.77
3.77|4.06
4.06|6.96
6.96|1.94
1.94|1.54
1.54|4.29
4.29|5.86
5.86|8.49
8.49|
|Place : Secunderabad
Date
: 30-05-2023
NOTES:
1
The above is an extract of the detailed format of Audited Standalone and Consolidated Financial Results for the Quarter and Year ended 31st March 2023 filed with the
Stock Exchanges under Regulation 33 of the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015. The full format of Financial Results for the
Quarter and Year ended 31st
March 2023 are available on the website of BSE (www.bseindia.com), NSE (www.nseindia.com)
and the Company's website
(www.in10stech.com)
2
The above Audited Standalone and Consolidated Financial Results are prepared in accordance with the Indian Accounting Standards (Ind-AS) as prescribed under
Section 133 of the Companies Act, 2013 read with Rule 3 of the Companies (Indian Accounting Standards) Rules, 2015, as amended and relevant amendment rules
thereafter.
3
The above Audited results were reviewed
by the Audit Committee and approved by the Board of Directors of the Company at their meeting held on 30th May 2023.
4. During the Financial Year 2022-23, the company had allotted 10,10,500 fully paid up equity shares of Rs.2/- each on conversion of 10,00,000 equity warrants and 10,500
stock options. Appropriate applications have been made to the Stock Exchanges and the company is yet to receive the listing approval.
5
Previous period figures have been regrouped / rearranged wherever considered material and necessary to confirm to the current period presentation.
6
Figures for the quarter ended 31st March 2023 are the balancing figures between audited figures in respect of full financial year and published year to date figures upto the
end of the third quarter of the relevant financial year, which were subject to a limited review.
By Order of the Board
For Intense Technologies Limited
Sd/-
C.K. SHASTRI
Managing Director||||||||||||
ôV’≤<äsêu≤<é 8 [ãT<Ûäyês¡+ 31 y˚T 2023]
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