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ARKADE DEVELOPERS LIMITED Earnings Release 2026

May 28, 2026

59919_rns_2026-05-28_5514b703-e367-4875-b338-cae8613ea570.pdf

Earnings Release

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CIN: L45200MH1986PLC039813

ARKADE DEVELOPERS LTD.

Ref No.: ADL/SE/26-27/14

Date: May 28, 2026

To,

The Manager

Corporate Relationship Department

BSE Limited

Floor 25, Phiroze Jeejeebhoy Towers,

Dalal Street,

Mumbai - 400 001

BSE Scrip Code -544261

To,

The Manager

Listing Department

National Stock Exchange of India Limited

Exchange Plaza, Bandra Kurla Complex

Bandra (East),

Mumbai - 400 051

NSE Symbol :ARKADE

Dear Sir/Madam,

Sub-:Newspaper Publication of audited Financial Results for the Quarter and year ended March 31, 2026

Pursuant to Regulation 47 of the Securities and Exchange Board of India (Listing Obligations and Disclosure Requirements) Regulations, 2015, please find enclosed copy of Newspaper Publication of the extract of audited Standalone & Consolidated Financial Results for the quarter and year ended March 31, 2026 published in an English Newspaper – Free Press Journal and Regional Marathi Newspaper – Navshakti on Thursday May 28, 2026.

You are requested to take the above information on your records.

Thanking You,

For Arkade Developers Limited

SHEETAL

HARESH

SOLANI

Rajshila Vyasahtiy 54001146,
SANBAR KOLANI
Tel: +1185 61114316 and +866 429116
E-mail: [email protected]
Email: [email protected]
Email: [email protected]
Email: [email protected]
Email: [email protected]
Email: [email protected]
Email: [email protected]
Email: [email protected]

img-0.jpeg

Sheetal Solani

Company Secretary and Compliance Officer

Membership No: A45964

a Arkade House, Next to Children's Academy,

A.S.Marg, Ashok Nagar, Kandivali (E),

Mumbai 400 101, Maharashtra, India

t 022 40033785 | 022 28874742

f 022 28874742

e [email protected]

w www.arkade.in


www.freepressjournal.in

Mumbai, Thursday, May 28, 2020. THE FREE PRESSJOURNAL

19

NOTICE

The paper is organized as follows: Building houses as "Thaiya Manipur No.2, 3 & 4" (2, 3). We believe, including at Monday Chisai Sheep Affairment, was accorded the Environmental Clearance from the State Level Environment and the Environment Authority (SEAA). Environment 3 is part of the 4 of the National Malharasthma on 2nd March, 2020.

The copies of clearance letter are available with the Ministry of Environment and Forest (MODF) and they also be used at website at http://parinwah.co.in.

MAHARASHTRA MEDICAL GOODS PROCUREMENT AUTHORITY

(MMGPh)

Government of Maharashtra

EXPRESSION OF INTEREST (EOI)

FOR EMPANIELMENT OF LAW FIRMS

EOI Reference No. Date of Issue :

MMGPh127(24),0030009,0001 (00000000)

Last Date for Submission : 0800 of Submission : 12/06/2020

Online www.rmgpo.maharashtra.gov.in

Issued by : The Chief Executive Officer, MMGPh, Arogya

Bhavan, St. George's Hospital Compound.

Mumbai-400001

Website : www.rmgpo.maharashtra.gov.in

Email : [email protected]

DIGPP 2020-277854

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ION EXCHANGE

Refreshing the Planet

Regd. Office: Ion Exchange Online, Lichak, Ice House, St. E. Baban Road, Mahakam, Mumbai - 400 011 | www.ionexchangeplus.com | CEE L70000001@aIPL2014356

EXTRACT OF FINANCIALIZED FINANCIAL RESULTS FOR THE CHINESE AND YEAR ENDED 31ST MARCH, 2020

No. Particulars Cumulative
Quarter ended Year Ended
31.03.2020(Automated) 31.12.2021(Included) 31.03.2022(Included) 31.03.2023(Included) 31.03.2024(Included) 31.03.2025(Included)
1 Revenue from operations 81,351 18,092 19,511 2,07,951 2,04,906
2 Total income 4,678 1,125 1,212 9,499 3,113
3 Net Profit for the period/year after Tax 1,821 807 1,433 6,892 3,085
4 Total Comprehensive Income for the period/year 1,539 928 1,391 6,771 6,628
5 Equity Share Capital 449 449 449 449 449
6 Reserves (excluding Revaluation Reserve as per Balance Sheet) 29,208 29,003
7 Earnings Per Share of P10- each basis and diluted (First annualised) (in P) 36.07* 21.29* 31.88* 153.35 126.38

Note:

The above is an extract of the detailed format of Financial Results for the quarter and year ended on March 31, 2020 filed with the Stock Exchange under Regulation 33 of the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015. The full format of the Financial Results is available on the Stock Exchange website www.thaindia.com and on the Company's website www.bayar.in under investor relation section. The same can be accessed by scanning the QR code.

Please let me know that the above information is correct.

By Order of the Board

Chief, Jindal

Executive Director and Chief Financial Officer

DIN: 10666465

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TAXIER OR CONSOLIDATED FINANCIAL RESULTS FOR THE

QUARTER AND YEAR ENDED 31ST MARCH 2020

No. Particulars Cumulative B A Y E R
Quarter Ended Year Ended
31.03.2020(Included) 31.12.2021(Included) 31.03.2022(Included) 31.03.2023(Included)
1 Revenue from operations 85,87 13,441 104,442 122,144 2,12,171
2 Total income 4,681 1,048 1,213 9,541 3,091
3 Net Profit for the period/year after Tax 1,821 807 1,433 6,892 3,085
4 Total Comprehensive Income for the period/year 1,539 928 1,391 6,771 6,628
5 Equity Share Capital 449 449 449 449 449
6 Reserves (excluding Revaluation Reserve as per Balance Sheet) 29,208 29,003
7 Earnings Per Share of P10- each basis and diluted (First annualised) (in P) 36.07* 21.29* 31.88* 153.35 126.38

Note:

The above is an extract of the detailed format of Financial Results for the quarter and year ended on March 31, 2020 filed with the Stock Exchange under Regulation 33 of the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015. The full format of the Financial Results is available on the Stock Exchange website www.thaindia.com and on the Company's website www.bayar.in under investor relation section. The same can be accessed by scanning the QR code.

Please let me know that the above information is correct.

By Order of the Board

Chief, Jindal

Executive Director and Chief Financial Officer

DIN: 10666465

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TAXIER

THE 10.175.

THACKER AND ODOMPANY LIMITED

100% 27500010781220001

Regd. Office: Bhopal Hargundas Building, Madarsha Pass 1633, K. Dusak Hing, Mumbai - 400 001

Tel. No.: 01-22-4355333 E-Mail: [email protected] Website: www.thainam.in

STATEMENT OF CONSOLIDATED AUDITED FINANCIAL RESULTS

FOR THE QUARTER AND YEAR ENDED 31ST MARCH, 2020

(T in tables, unless otherwise stated)

No. Particulars Quarter ended Year Ended
31.03.2020 31.12.2021 31.03.2025 31.03.2026 31.03.2025
(AUDITED) (AUDITED) (AUDITED) AUDITED AUDITED
1 Total Income from operations 11,008 11,062 10,464 56,750 54,734
2 Net Profit for the period/year before Tax 2,094 1,130 1,679 8,549 7,074
3 Net Profit for the period/year after Tax 1,821 807 1,433 6,892 3,085
4 Net Profit for the period/year after Tax 1,539 928 1,391 6,771 6,628
5 Share of profit / (loss) of associates 374.69 324.49 449.64 341.48 736.55
6 Other comprehensive income for the period (137.46) (563.39) (1,943.05) (764.09) 805.66
7 Total Comprehensive Income for the period (Comprising Profit for the period/after tax), Share of profit / (loss) of associates and Other Comprehensive Income (after tax)) (299.46) (175.85) (1,366.49) 1,148.14 (2,895.55)
8 Equity Share Capital 10.88 10.88 10.88 10.88 10.88
9 Reserves (excluding Revaluation Reserve as shown in the Audited Balance Sheet of previous year) 16,415.75 15,266.61
10 Earnings per Equity share: (Basis and Diluted (P), 40.28 35.63 52.99 578.78 162.38

Notes:

  1. The above financial results were reviewed and recommended by the Audit Committee and taken on record by the Board of Directors held on 27th May 2020.
  2. The Limited Review under Regulation 33 of the SEBI (Listing Obligations and Disclosure Requirements) Regulation, 2015 has been carried out by the Statutory Auditors.
  3. The Company's Subsidiaries Change Tax Management Approved by the Fee-Sail National Company, Law Tribunal (NCT) under Statute 230-332 of the Companies Act, 2013 and while Paying Technologies Limited, wholly owned subsidiary of the Company, was merged with the Company with effect from the Appendix Date on 23rd April, 2022. The Scheme became effective upon 8th of the certified order of the NCT, with the Registrar of Companies on 22nd May, 2020.
  4. The consolidated financials results include results of:
  5. Marine
  6. Residuesship
  7. ANU Land Holdings Limited
  8. Associates Company
  9. Australian New Products Limited
  10. Associates Corporation

  11. The above financial results were reviewed and recommended by the Audit Committee and taken on record by the Board of Directors held on 27th May 2020.
    6a. The Company's Subsidiaries Change Tax Management Approved by the Fee-Sail National Company, Law Tribunal (NCT) under Statute 230-332 of the Companies Act, 2013 and while Paying Technologies Limited, wholly owned subsidiary of the Company, was merged with the Company with effect from the Appendix Date on 23rd April, 2022. The Scheme became effective upon 8th of the certified order of the NCT, with the Registrar of Companies on 22nd May, 2020.

  12. The above financial results were reviewed and recommended by the Audit Committee and taken on record by the Board of Directors held on 27th May 2020.
No. Particulars Quarter ended Year Ended
31.03.2020 31.12.2021 31.03.2025 31.03.2026 31.03.2025
(AUDITED) (AUDITED) (AUDITED) (AUDITED) (AUDITED)
1 Total Income from operations 100.44 125.47 106.58 975.95 832.35
2 Net Profit/(Loss) for the period before tax 79.99 76.21 100.24 388.81 431.73
3 Net Profit/(Loss) for the period after tax 60.81 62.88 127.37 367.27 353.32
4 Other comprehensive income (298.33) (226.31) (446.61) (241.46) 346.82
5 Total other comprehensive income (comprising other comprehensive income and net profit after tax) (541.42) (163.42) (308.64) (16.96) 702.14

Firm: Mumbai
Date: 27th May 2020

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AARADE

Aarade Development Limited

Corporate Intensity Number: 1.4320000100001(203001)

Aarade House, Cap. Bhavani Aakade, Near Chishan 10 Academy, A-5 Malay, Mahat Nagar, Kambodil (C), Mumbai, Maharashtra, India, 400101.

(Regulation 47 (1) (2) of the SEBI (LOSIS) Regulation, 2020)

Extract of Audited Financial Results for the Quarter and year ended March, 31, 2020

(Rs in Listns except 070)

No. Particulars Cumulative Year Ended
Quarter Ended Quarter Ended Year Ended
March 31, 2020 31.03.2020 31.03.2025 31.03.2026 31.03.2025
1 Total Income from operations 100.44 125.47 106.58 975.95 832.34
2 Net Profit/(Loss) for the period before tax 79.99 76.21 100.24 388.81 431.73
3 Net Profit/(Loss) for the period after tax 60.81 62.88 127.37 367.27 353.32
4 Other comprehensive income (298.33) (226.31) (446.61) (241.46) 346.82
5 Total other comprehensive income (comprising other comprehensive income and net profit after tax) (541.42) (163.42) (308.64) (16.96) 702.14

Firm: Mumbai
Date: 27th May 2020

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AARADE

Aarade Development Limited

Corporate Intensity Number: 1.4320000100001(203001)

Aarade House, Cap. Bhavani Aakade, Near Chishan 10 Academy, A-5 Malay, Mahat Nagar, Kambodil (C), Mumbai, Maharashtra, India, 400101.

(Regulation 47 (1) (2) of the SEBI (LOSIS) Regulation, 2020)

Extract of Audited Financial Results for the Quarter and year ended March, 31, 2020

(Rs in Listns except 070)

No. Particulars Cumulative Year Ended Cumulative Year Ended
Quarter Ended Quarter Ended Quarter Ended Quarter Ended Quarter Ended
March 31, 2020 31.03.2020 31.03.2025 31.03.2026 31.03.2025 31.03.2026 31.03.2026 31.03.2026 31.03.2025
1 Real Estate 20,008.8 18,889.61 13,424.75 83,954.73 36,552.63 19,806.43 18,954.03 13,434.02 82,916.27
2 Public Service Tax 3,643.20 5,336.96 4,948.58 16,968.50 21,141.22 3,706.78 5,322.09 4,958.16 16,076.33
3 Exceptional Items 18,317.54 - - 16,217.05 - 16,217.85 - 16,217.85 -
4 Fixed After Tax 125,834.81 2,008.86 3,308.25 533.96 15,683.24 219,890.61 4,509.28 3,326.26 526.27
5 Total Comprehensive Income for the period before (comprising profit for the period/year after tax and other comprehensive income after tax) (8.82) 6.08 (3.72) 9.08 9.53 (6.62) 8.90 (3.72) 8.99
6 Fixed up Capital (per value of Rs. 10/- each fully paid) 15,368.30 10,568.30 16,568.30 16,568.30 16,568.30 16,568.30 16,568.30 16,568.30 16,568.30
10 Other Equity - - - 83,643.85 30,003.94 - - 83,643.85 30,003.94
18 Earning per share (per value of Rs. 10/- each) (2.84) 2.17 1.46 5.24 5.25 (2.90) 2.17 1.06 5.25
1 2. Diluted (2.84) 2.17 1.46 5.24 5.25 (2.90) 2.17 1.06 5.25

NOTES

  1. The total income of the company's Subsidiaries, Company, and the total income of the company's Subsidiaries, is a 27500010781220001 (203001) of the 100% 27500010781220001 (203001) of the 100% 27500010781220001 (203001) is a 27500010781220001 (203001) of the 100% 27500010781220001 (203001) is a 27500010781220001 (203001)

B

1

1

1

योग्य अधिस्थान इन्व्हेस्टमेंटम् लिमिटेड

सीआरएस (00111-0000151/सितारी-151/1)

11.06.2004.06.2011.06.2011.06.2011.06.2011.06.2011.06.2011.06.2011.06.2011.06.2011.06.2011.06.2011.06.2011

(2) मार्च, २०१६ रोजी संचलेल्या तिमाही आणि वर्षावरील लेखापर्यंतित वित्तीय निष्कर्षांचा उरला

स्थापित संचयनी तिमाही संचयित वर्ष
25.05.2015 (लेखापर्यंतित) 25.05.2016 (लेखापर्यंतित) 27.05.2015 (लेखापर्यंतित) 25.05.2016 (लेखापर्यंतित)
अधीनमुना राहून उत्पन्न (मिलात) (3,011.05) (1,011.50) (155.45) 1,011.01
अधिकांश निव्वळ जमा (राशि) (का, आयटएमएफ आणि/वितर आयताकारक कर्जीपुर्ती) (3,301.10) (1,301.55) (300.00) 1,300.53
आपूर्व वर्षावरील निव्वळ जमा (राशि) (आयटएमएफ आणि/वितर आयताकारक कर्जीपुर्ती) (3,501.10) (1,501.55) (300.00) 1,500.53
जनसभाजवर्षावरील निव्वळ जमा (राशि) (आयटएमएफ आणि/वितर आयताकारक कर्जीपुर्ती) (3,530.40) (1,330.50) (330.05) 1,330.05
अधीनमुना वर्षावरील निव्वळ जमा (राशि) (आयटएमएफ आणि/वितर आयताकारक कर्जीपुर्ती) (3,800.40) (1,800.45) (151.50) 1,000.35
अधिकांश निव्वळ 510.00 510.00 510.00 510.00
सर्वाधिक 1. (1.1) - वे खर्च करू शकते (डेटेल) (-) (-) (-) (-)
नुकसान अधिक (3,053.23) (230.05) (315.00) 1,554.05

दिशा:
1) करीम मुलांकी यांची (विविधित अधिस्थितीची और वितरणाधिकारी यांच्यावरील) नेमुलेसना, 1.0% च्या नेमुलेसना 13 अंतर्गत स्टॉक एक्सपॉजमध्ये सादर केलेल्या तिमाहीची वितरणाधिकारी यांच्यावरील निव्वळच्या एका आत आठ ऑटोमोबाईल तिमाहीत वितरणाधिकारी यांच्यावरील निव्वळच्या एका आणि कायमेचे संकेतस्थान www.baronsy.com चा वापरला जातो.
2) मार्च, 2015 रोजी संचलेल्या तिमाही आणि वर्षावरील करीम लेखापर्यंतित वित्तीय निष्कर्ष 10.8, 2015 रोजी झालेल्या चाल्या मार्फत लेखापर्यंतित वित्तीय निष्कर्षांचा उरला आणि संचालक मंडळापूर्वी संपूर्ण कागदपत्र आहात.
3) मुलांपेक्षा जुलै 2015 रोजी संचलेल्या तिमाही आणि वर्षावरील लेखापर्यंतित (निम्नलिखित) नेमुलेसना, 1.0% च्या नेमुलेसना 19 अंतर्गत आवश्यक असामान्य तिमाहीत लेखापर्यंतित वित्तीय निष्कर्षांचा उरला.
4) तिमाहीत तिमाही कोरडे अधिकाधिक (1.0% च्या काळात 133 असले दिवस मुलांपेक्षा (डेटेल) वितरणाधिकारी यांच्यावरील निव्वळच्या एका आणि कायमेचे संकेतस्थान www.baronsy.com चा वापरला जातो.
5) मुलांपेक्षा जुलै 2015 रोजी संचलेल्या तिमाही आणि वर्षावरील लेखापर्यंतित (निम्नलिखित) नेमुलेसना, 1.0% च्या नेमुलेसना 19 अंतर्गत आवश्यक असामान्य तिमाहीत लेखापर्यंतित वित्तीय निष्कर्षांचा उरला.

वैकल्पिक मंडळाच्या अधिस्थितीचा (का निवडताना)
पूर्व वेळ संपादक
सीआरएस: 025/2015

वायर क्रियसाधने लिमिटेड

(विरणीवृत्त कार्यालय: 930 3000, वीडन ओकेन्यू, बैंगलोरांगी डेल्टा, यार्ड 900509, पीआरएम: 001011-0000151/विरणी-1512)

34 मार्च, 2025 रोजी संचलेल्या तिमाही आणि वार्षिक वित्तीय निष्कर्षांचा वितरणाचा उरला

प्रमाणित संचयनी तिमाही संचयित वर्ष
25.05.2015 (लेखापर्यंतित) 25.05.2016 (लेखापर्यंतित) 27.05.2015 (लेखापर्यंतित) 25.05.2016 (लेखापर्यंतित) 25.05.2016 (लेखापर्यंतित) 27.05.2015 (लेखापर्यंतित)
प्रवर्तनातून राहून उत्पन्न 55,002 55,013 50,818 55,850 58,828
वास्तवादी/ वर्षावरील कर्जपूर्ण निव्वळ जमा 2,019 5,530 5,185 2,585 9,088
वास्तवादी/ वर्षावरील कर्जदार निव्वळ जमा 5,135 5,59 5,833 5,253 9,520
वास्तवादी/ वर्षावरील नमुना कर्तव्यवैश्विक उत्पन्न 5,915 5,50 5,353 4,885 9,533
समयाम यांबाबत 885 885 885 885 885
राखीव (तसोबारानुसार पुनर्मूल्यांकित राखीव मण्डप) - - - 25,302 32,044
प्रति समस्या प्रगती (प्रतीकात 850/- शे) मूलभूत आणि सीमितवृत्त (महापौरवृत्त) 35,08* 25,25* 35,22* 543.30 531.32

टीप:
गरील माहिती भाग्याने येथे (विविधित अधिस्थितीची और वितरणाधिकारी यांच्यावरील) नेमुलेसना, 2014 च्या नेमुलेसना 13 अंतर्गत स्टॉक एक्सपॉजमध्ये सादर केलेल्या 25 मार्च, 2025 रोजी संचलेल्या तिमाही आणि वार्षिक वित्तीय निष्कर्षांचा उरलेल्यावर वितरणाचा उरला आहे. वित्तीय निष्कर्षांचे संपूर्ण वितरण स्टॉक एक्सपॉजमी वेबसाईट www.bootsite.com चा आणि कंपनीची वेबसाईट www.bayes.in चा क्रमांकित वित्तीय निष्कर्षांचा उरला.

विविधित अधिस्थितीचा (का निवडताना)
संचयित वर्ष

प्रमाणित संचयनी तिमाही संचयित वर्ष
25.05.2015 (लेखापर्यंतित) 25.05.2016 (लेखापर्यंतित) 27.05.2015 (लेखापर्यंतित) 25.05.2016 (लेखापर्यंतित) 25.05.2016 (लेखापर्यंतित) 27.05.2015 (लेखापर्यंतित)
1 राहून उत्पन्न 11,002.55 11,002.55 13,014.00 13,014.00 13,014.00
2 महापौरवृत्त 1,015.50 1,015.50 1,100.00 1,100.00 1,100.00
3 प्रमाणित 1,015.50 1,015.50 1,100.00 1,100.00 1,100.00
4 सर्वाधिक 1. (1.1) - वे खर्च करू शकते (डेटेल) 1,111.11 1,111.11 1,111.11 1,111.11 1,111.11
5 सर्वाधिक 1. (1.1) - वे खर्च करू शकते (डेटेल) 1,111.11 1,111.11 1,111.11 1,111.11 1,111.11
6 सर्वाधिक 1. (1.1) - वे खर्च करू शकते (डेटेल) 1,111.11 1,111.11 1,111.11 1,111.11 1,111.11

वैकल्पिक मंडळाच्या अधिस्थितीचा (का निवडताना)
संचयित वर्ष

प्रमाणित संचयनी तिमाही संचयित वर्ष
25.05.2015 (लेखापर्यंतित) 25.05.2016 (लेखापर्यंतित) 27.05.2015 (लेखापर्यंतित) 25.05.2016 (लेखापर्यंतित) 25.05.2016 (लेखापर्यंतित) 27.05.2015 (लेखापर्यंतित)
1 राहून उत्पन्न 11,002.55 11,002.55 13,014.00 13,014.00 13,014.00
2 महापौरवृत्त 1,015.50 1,015.50 1,100.00 1,100.00 1,100.00
3 प्रमाणित 1,015.50 1,015.50 1,100.00 1,100.00 1,100.00

वैकल्पिक मंडळाचा (का निवडताना)
संचयित वर्ष

प्रमाणित संचयनी तिमाही संचयित वर्ष
25.05.2015 (लेखापर्यंतित) 25.05.2016 (लेखापर्यंतित) 27.05.2015 (लेखापर्यंतित) 25.05.2016 (लेखापर्यंतित) 25.05.2016 (लेखापर्यंतित) 27.05.2015 (लेखापर्यंतित)
1 राहून उत्पन्न 11,002.55 11,002.55 13,014.00 13,014.00 13,014.00
2 महापौरवृत्त 1,015.50 1,015.50 1,100.00 1,100.00 1,100.00
3 प्रमाणित 1,015.50 1,015.50 1,100.00 1,100.00 1,100.00

वैकल्पिक मंडळाचा (का निवडताना)
संचयित वर्ष

प्रमाणित संचयनी तिमाही संचयित वर्ष
25.05.2015 (लेखापर्यंतित) 25.05.2016 (लेखापर्यंतित) 27.05.2015 (लेखापर्यंतित) 25.05.2016 (लेखापर्यंतित) 25.05.2016 (लेखापर्यंतित) 27.05.2015 (लेखापर्यंतित)
1 राहून उत्पन्न 11,002.55 11,002.55 13,014.00 13,014.00 13,014.00
2 महापौरवृत्त 1,015.50 1,015.50 1,100.00 1,100.00 1,100.00
3 प्रमाणित 1,015.50 1,015.50 1,100.00 1,100.00 1,100.00

वैकल्पिक मंडळाचा (का निवडताना)
संचयित वर्ष

प्रमाणित संचयनी तिमाही संचयित वर्ष
25.05.2015 (लेखापर्यंतित) 25.05.2016 (लेखापर्यंतित) 27.05.2015 (लेखापर्यंतित) 25.05.2016 (लेखापर्यंतित) 25.05.2016 (लेखापर्यंतित) 27.05.2015 (लेखापर्यंतित)

TRIBHOVANDAS BHIMJI ZAVERI LIMITED

CIN: L27205MH2007PLC172598

Registered office : 241/43, Zaveri Bazar, Mumbai - 400 002.

Tel. No.: +91 22 4046 5001

Website: www.tbztheoriginal.com Email: [email protected]

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TRIBHOVANDAS BHIMJI ZAVERI

MIRRA 017 210 281 080 07

Tf In Lakhs otherwise stated)

EXTRACT OF AUDITED FINANCIAL RESULTS (STANDALONE & CONSOLIDATED) FOR THE QUARTER AND YEAR ENDED 31ST MARCH, 2026

Sr. No. Particulars Standalone Consolidated
Quarter ended Year ended Quarter ended Year ended
31-Mar-26 (Audited) 31-Dec-25 (Unaudited) 31-Mar-26 (Audited) 31-Mar-26 (Audited) 31-Mar-26 (Audited) 31-Mar-26 (Unaudited) 31-Dec-25 (Unaudited) 31-Mar-26 (Audited) 31-Mar-26 (Audited) 31-Mar-26 (Audited)
1 Total Income from Operations 82,969.54 106,142.28 52,954.35 320,295.29 262,048.42 82,969.54 106,142.28 52,954.35 320,295.29 262,048.42
2 Net Profit / (Loss) for the period (before tax, Excapitonal and/or Extraordinary items) 8,952.91 10,963.12 1,425.83 26,844.70 9,971.10 9,002.14 10,849.76 1,356.95 27,029.57 9,576.18
3 Net Profit / (Loss) for the period (before tax (after Excapitonal and/or Extraordinary items) 8,952.91 10,963.12 1,425.83 26,844.70 9,971.10 9,002.14 10,849.76 1,356.95 27,029.57 9,576.18
4 Net Profit / (Loss) for the period (after tax (after Excapitonal and/or Extraordinary items) 6,708.03 8,176.68 1,018.14 20,049.15 7,235.00 6,764.41 8,063.32 949.26 20,230.57 6,838.82
5 Total Compensational Income for the period (Comprising Profit / (Loss) for the period (after tax) and Other Compensational Income (after tax)) 6,786.44 7,481.42 973.67 19,404.85 7,154.46 6,847.44 7,369.37 906.89 19,595.55 6,735.36
6 Equity Share Capital 6,673.06 6,673.06 6,673.06 6,673.06 6,673.06 6,673.06 6,673.06 6,673.06 6,673.06 6,673.06
7 Revenue (excluding Resolution Reward as shown in the Audited Balance Sheet of the previous year 7,991.82 7,991.82 7,991.82 7,991.82 7,991.82 7,991.82 7,991.82 7,991.82 7,991.82 7,991.82

By order of the Board

For Tdkhranaba Bhimji Zaveri Limited

Sd/

Bodovt Zaveri

Chairman & Managing Director

DIN-00265725