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Dabur India Ltd. AGM Information 2021

Jul 22, 2021

59077_rns_2021-07-22_a5e08e18-6961-49a8-b1d0-ebeae7604b0e.pdf

AGM Information

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Ref: SEC/SE/2021-22 Date: 22" July, 2021

Scrip Symbol: NSE— DABUR, BSE Scrip Code: 500096

To, Corporate Relation Department National Stock Exchange of India Ltd BSE Ltd. Exchange Plaza, 5th Floor Dalal Street, Mumbai- 400001 Bandra (E), Mumbai — 400051

Phiroze Jeejeebhoy Towers Plot No. C/1, G Block Bandra — Kurla Complex

Sub: Publication of Notice pertaining to transfer of shares to IEPF

Dear Sirs,

In compliance of provisions of Regulation 47 of the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015, we are pleased to enclose copies each of Financial Express (English Daily) and Jansatta (Hindi Daily) both dated 22"? July, 2021 in which Notice intimating the shareholders about the transfer of shares to IEPF, have been published.

Submitted for your information and records pl.

Thanking you, Yours faithfully,

for DABUR INDIA LIMITED

) ( nan) a ee E.V.P (FINANCE) & COMPANY SECRETARY

DABUR INDIA LIMITED, Punjabi Bhawan, 10, Rouse Avenue, New Delhi-110 002, Tel.: +91 11 71206000 Fax: +91 11 23222051 Regd. Office: 8/3, Asaf Ali Road, New Delhi - 110 002 (India) PAN: AAACD0474C, CIN: L24230DL1975PLC007908, Email: [email protected], Website: www.dabur.com

FINANCIAL EXPRESS

AMJ LAND HOLDINGS LIMITED CIN: LeT012MHiS64PLO0 13058 Ragistered Office : Thargaon, Puna — 411033. Tel. O20-30613333 Fax: 020-407 73356 Website: waw.amiand.cam, E-mail; adminwtamiend.com

(aval a Tl

NOTICE OF THE 56" ANNUAL GENERAL MEETING TO BE HELD THROUGH VIDEO CONFERENCING ("ve") / OTHER AUDIO VISUAL MEANS ("OAVM")

NOTICE is hereby given thal the 56° Annual General Meeting ("AGM") of the Company will be held on Saturday, 21" August, 20241 at 11:30 a.m. (IST) through Video Conferencing ("VC") / Other Audio Visual Means (OAVM") without physical presence of he Members ala Common Venue to transact the business a5 \$e out in the Notice of the AGM which is baing circulated for convening the AGM.

In view of the continuing Covid-19 pandemic, the Ministry of Corporate Affairs (MCA) has vide its Circular dated 13° January, 2021 read with Circulars dated 05° May, 2020, 13 Apel, 2020 and 08" Apri, 2020 (Collectively referred to as "MCA Circulars') permitted the halkding of AGM through VC or OAVM, without the physical presence of the Members al tee conmn venue. In compliance with these MCA Circulars and the relevant provisions of the Companies Act, 2073 and the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015, the AGM of the members of the Company will be held through VCOAVM.

The Notice of the AGM alongwith the Annual Report 2020-21 will be sant only by electronic mode to those Members whose e-mail addresses are registered with the Company/Depositories in accordance with the aforesaid MCA Circulars and SEB! Circular dated 15° January, 2021 read with Circulardated 12° May, 2020.

Members holdings shares in damaterialized form, are requesied to register their &maill addresses and mobile numbers with ther relevant depositories through depository participants and the Members holding shares in Physical form, are requested to furnish their e-mail addresses and mobile numbers to the KFin Technologies Private Limited (Kfintech), Registrar and Share Transfer Agent of the Company ateinward, [email protected]

The Members may note that the Notice of the AGM and Annual Report 2020-21 will also available on the Company's website waw.amiland.cam, websites of the Stock Exchanges i.e. BSE Limited and National Stock Exchange of India Limited at National Securities Depository Limited atwww.evoling nsdl,. com

Members can attend and participate in the AGM through the VC/OAVM facility only The instructions for joining the AGM are provided in tha Notice of the AGM. Members attending the meeting through VC/OAVM shall be counted for the purpose of reckoning the quorum under Section 103 of the Companies Act, 2013

The Company is providing remote e-voting facility (Remote e-voting') to all its Menbers fo cast iheir votes on all resolutions set out in the Notice of he AGM. Alsa additionally, the Company is providing the facility of voting through e-voting system during the AGM ('e-voting'), Detailed procedure for remote e-voting and e-voting during the AGM is provided in the Notice of the AGM.

The Regisier of Members and Share Transfer Books of the Company will remain closed from 14° August, 2021 to 21° August, 2021 for determining the entitlement ta Dnvidend that may be declared at the 56° Annual General Meeting.

The dividend, df approved, by the Members at the AGM, will be paid electronically to Members who have updated Ineir bank account details for receiving dividend through electronic means. For Members who have not updated their bank account details, demand drafts will be sent to them in due course of time, To avoid delay in receving dividend, Members are raquested to update their bank details with their Depository Participants (where shares are held in dematerialised mode} and with KFintech (where the shares are registered in physical mode}.

For AMJ LAND HOLDINGS LIMITED Sd/-

SYNGENE INTERNATIONAL LIMITED ee ee eS at ees

Registered office: Biocon SEZ, Biocon Park, Plot No. 2 & 3, Bommasandra Industrial Area IV Phase, Jigani Link Road, Bommasandra, Bangalore - 560099.

EXTRACT OF UNAUDITED CONSOLIDATED FINANCIAL RESULTS FOR THE QUARTER ENDED 30 JUNE 2021

Particulars pais ay
i
Previous year
ended
41 March 2021
pi
2020
ee
(Unaudited) (Audited) (Unaudited)
Revenue from operations 5,og7 21,794 4,202
Profit before tax S47 4324 660
Profit
afer
tax
reo 4,037 578

As per the Income Tax, Act 1961, as amended by the Finance Act, 2000. the dividend paid or distributed by a Company after 1° Apel, 2020 shall be taxable, in the hands of the Shareholders. The Company shall deduct Tax at Source ('TDS') at the time of making payment of tre said Dividend at prescribed rates. For the prescribed rates for various categories, the Shareholders are requested to refer to the Finance Act, 2020 and amendments thereto, The Shareholders are requested to update their PAN with the Company! KFintech (in case of shares held in physical mode) and Depositones (in case of shares held in Demat Mode). The Shareholders are requested to submitupload the documents in accordance with the applicable provisions of the Income Tax Act, 1967 with KFintech at hittps:/iris.kfintech.com/form15 or by sending hard copy of the said documents at the registered office of the Company through registered posticourler before 12° August, 2021, The detailed documents required for availing ta applicable tax rates are provided in the notice of the AGM and on the Company's website at www.amiland.com. No communication on the tax detarmination/deduetion shall be entertained afler 12° August, 2021

VO OO SHAREHOLDER Transfer of Equity shares of the Company to Investor Education and Protection Fund Authority (IEPF Authority)

Notice is hereby given pursuant to the provisions of Section 124(6) and other relevant provisions, if any of the Companies Act, 2013 read with the Investor Education and Protection Fund Authority (Accountin Audit, Transfer and Refund) Rules, 2016 ("The Rules") as notified from time to time by the Ministry o Corporate Affairs (MCA). The Rules, contains provisions for transfer of all equity shares in the Company to the Investor Education and Protection Fund (IEPF Authority) in respect of which the dividend has not been paid or claimed for seven consecutive years or more in the prescribed manner.

ee
ee
Registered office: Biocon SEZ, Biocon Park, Plot No. 2 & 3,
Bommasandra Industrial Area IV Phase, Jigani Link Road,
Bommasandra, Bangalore - 560099.
eS
SYNGENE INTERNATIONAL LIMITED
ees
at
Syngene
EXTRACT OF UNAUDITED CONSOLIDATED FINANCIAL RESULTS FOR THE QUARTER ENDED 30 JUNE 2021
(Rs. in million, except per share data]
Pariiculara 30 June 2074 Jmonths ended Previous year 3 months ended
34 March 2024
30 June 2020
(Unaudited) (Audited) (Unaudited)
Revenue from operations 5,545 21,843 4.216
Met profit before exceptional item and tax 347 4.342 663
Net profil before tax aay 4.652 663
Met protd fram ordinary activities aller tax rr 4,049 5aO
Total comprehensive incor f (lees) for the period
attributable to shareholders [comprising profit for the
pened (after tax) and other comprehensive income
(afer lax}] 619 5,955 B53
Paid-up equity share capelal (Face value of Rs.10 each)
Earnings per share (af Rs.10 each)
4.008
(real annivalised
4 00
(annualised)
4.000
(real arriwellsied
(a) Basie 14 10,78 1.4f
ES Ln LM, we
1) Key standalone financial information
Previous year
Particulars pais ay
i
ended
41 March 2021
pi
2020
ee
(Unaudited) (Audited) (Unaudited)
Revenue from operations 5,og7 21,794 4,202
Profit before tax S47 4324 660
Profit
afer
tax
reo 4,037 578

Hence, all underlying equity shares in respect of which dividend has not been paid or claimed for seven consecutive years or more from financial year 2014-15 Interim Dividend are required to be transferred to IEPF Authority as per the Rules.

For claiming unpaid/unclaimed dividend, shareholders are requested to contact the Company's Registra and Share Transfer Agents, Mr Raj Kumar Kale, Senior Manager at Ms/ KFin Technologies Private Limited (Formerly Karvy Fintech Private Limited and Karvy Computershare Private Limited) Unit:Dabur India Limited, Selenium Tower B, Plot No 31-32, Financial District, Nanakramguda, Serilingampally Mandal, Hyderabad- 500032, Tel: 040 6716 2222 email id: [email protected].

Physical notice are being dispatched to shareholders who do not have their email ids registered and shareholders whose email are registered with the Company/RTA records, are being sent individual notice over mail in respect of above. Further we would request the shareholders, who have not registered thei email ID, may kindly register the same with the Company/RTA by mailing their folio details along with ID address proof to [email protected].

Shareholders holding shares in physical form and whose shares are liable to be transferred to IEPF, may please note that the Company would be issuing new share certificates in lieu of the original share certific -ates held by them for the purpose of conversion into demat form and subsequent transfer to demat accounts opened by IEPF Authority. Upon such issue, the original share certificates which are registered in their name shall stand automatically cancelled and be deemed non-negotiable. In case of shareholders holding shares in demat form, the transfer of shares to the demat accounts of IEPF Authority shall be effected by the Company through the respective Depositories by way of Corporate Action.

The concerned shareholders are requested to claim the unpaid/ unclaimed dividend amount(s) on or before 10th October, 2021. In case the Company does not receive any communication form the concerned shareholders by 10th October, 2021 the Company shall, with a view to complying with the requirements set out in the Rules, dematerialize and transfer the shares to IEPF Authority. Shareholders are requested to note that the updated list of shareholders uploaded on the Company's website should be regarded as and shall be deemed to be adequate notice in respect of issue of new share certificates for the purpose of transfer of shares to Demat accounts of the IEPF Authority pursuant to the amended rules.

215t July, 2021 For Dabur India Limited
New Delhi Ashok Kumar Jain
EVP (Finance) & Company Secretary
paid or distributed by a Company after 1° Apel, 2020 shall be taxable, in the hands of
the Shareholders. The Company shall deduct Tax at Source ('TDS') at the time of 1 Total income fram Operations 23,000,953 22,005.36 12,103.56) 76,790.06
making payment of tre said Dividend at prescribed rates. For the prescribed rates for
various categories, the Shareholders are requested to refer to the Finance Act, 2020
2 Wet Profit! (Loss) for the period (Before Tax,
Exceptional and / or Extraordinary Items)
3,516.60 4,486.07 718.78 9,349.83
and amendments thereto, The Shareholders are requested to update their PAN with 3 Net Profit! (Loss) for the period Before Tax 3.51660) 3.38607) 718.78 9,349.83
the Company! KFintech (in case of shares held in physical mode) and Depositones
(in case of shares held in Demat Mode). The Shareholders are requested to
(After Excaptional and / or Extraordinary ltams)
submitupload the documents in accordance with the applicable provisions of the 4 [ Met Profit! (Loss) for the period After Tax
[After Exceptional and / or Extraordinary ltems}
2619.03 2715439 51817 6,245.55
Income Tax Act, 1967 with KFintech at hittps:/iris.kfintech.com/form15 or by sending
hard copy of the said documents at the registered office of the Company through
5 Tolal Comprehensive Income for the pariod 2.619.034 2,216.51 SVE? 6,307 OF
registered posticourler before 12° August, 2021, The detailed documents required for [Comprising Profit} (Loss) for the period (After Tax)
availing ta applicable tax rates are provided in the notice of the AGM and on the
Company's website at www.amiland.com. No communication on the tax
and other Comprehensive Income (After Tax]
Paid-up equity share capital (Face Value of Re 1/- each)
463.17
469.17
469.17 469.17
detarmination/deduetion shall be entertained afler 12° August, 2021 Reserves Excluding Revaluation Reserve
Eamings Per Share for Continuing and Discontinued
For AMJ LAND HOLDINGS LIMITED Operations (Before & After Extraordinary lerrrs)
[Face Value of Re 1/-each)
Sd/-
Shrihari Waychal
Place: Pune
Basic 4.59 13.31
Company Secretary
Date: 21° July, 2021
sete
Diluted
Notes:
5.58 5.58 1.10 1.40
8.09
13.41
Leeper Ebay
ele
Registered Office:"Priyadarshini", Eastern Express Highway, Sion, Mumbai - 400 022.
Phone: 022-24045024/ Fax: 022-24045022
es
Email Id: investorcommunicationsércfitd.com Website: www.refltd.com
am Lee TI
Chm TTS Cobre]
LE
TRANSFER OF EQUITY SHARES TO INVESTOR EDUCATION
AND PROTECTION FUND (IEPF) AUTHORITY
Notice is hereby given that the Company would be transferring all those equity
shares on which dividends have remained unpaid or unclaimed for seven
consecutive years to IEPF Account established by the Central Government
pursuant to Section 124/6) of the Companies Act, 2013 read with investor
Education and Protection Fund Authority (Accounting, Audit, Transfer and Refund)
Rules, 2016, a3 amended from time to time.
The Company, vide email/letier dated July 17,2021, communicated to concerned
shareholders, who have not encashed the dividend for the Financial Year
2013-14
and all subsequent dividends declared and paid by the Company. which are liable
to be transferred to IEPF Authority Account as per the said Rules.
A list of such shareholders who have not encashed their dividends for seven
consecutive years and whose shares are liable to transter to the IEPF Authority
Account is available on Company's website at the web link
http://www. refit. com/public/storage/investers/ 1626757485, pdf
the aforesaid Results.
2 Theabove is anestract of ihe detailed format of Financial Results fied with the Stack Exchanges under Regulation 33
of the SEBI (Listing and Other Disclosure Requirements) Regulations, 2075. The full format of the above Financial
Results are available on Gompany's website wrew.guishanindia.com and on the Stock Exchanges website:
WH nselndia.com and wan bseindia.cam.
3 Figures for the previous period have been regrouped! rearranged wherever necessary io make them comparable
wilh current figure.
Dated: July 27, 2027
Flace: Delhi
Corporate Identification Number: L24239TG1978PLC002276
Registered Office: Sy. No. 143 - 148, 150 and 151, Near Gandi Maisamma
X' Roads, D.P. Pally, Dundigal - Gandi Maisamma (M), Medchal-Malkajairi
District, Hyderabad 500 043, Telangana, India Tel: +91 84556 99999:
Website: www.glandpharma.com; E-mail: [email protected]
EXTRACT OF UNAUDITED CONSOLIDATED FINANCIAL
On behalf of Board of Directors
For Gulshan Polyols Limited
Sdi-
(Dr. Chandra Kumar Jain}
Chairman and Managing Director
shareholders are requested to forward the required documents as mentioned in
the said Letter to the Company or the Company's Registrar and Share Transfer
RESULTS FOR THE QUARTER ENDED JUNE 30, 2021
Agent M/s Link Intime India Private Limited to claim unclaimed dividend (= in million)
amounts), 30-Jun-21 34-Mar-21 30-Jun-20 31-Mar-21 Quarter ended Year ended
In the event the Company does not receive valid claim from the concerned
Shareholder(s) by October 25, 2021 of such other date as may be specified, the
Particulars Unaudited Audited
Company shall with a view to comply with the requirement set out in the Act and Audited Audited
Rules, transfer the shares to the JEFF Authonty by the due date a8 per procedure Revenue from operations
Profit before tax
11,539.00
4718.40
8,877 48
3,489.43
6,842.09]
4200.00)
\$4628.76
13,348.10
Stipulated in the Rules which is as under:- Profit for the period/year 3,506.52 2,604.09 3,135.90 9,969.63
i) In case of shares held in demat form-by transfer of shares directly to demat
account of IEPF Authority with the help of Depository Participants:
Total comprehensive income (after taxes) 3,503.76 2,007 55 3,125.60 9,960.91
ii) In case of shares held in physical form-by issuances of new share certificate in Paid up equity share capital 163.90 163.59 154.95 163.59
lieu of the original share certificate(s) held by them for the purpose of (Face value of €1/- each)
dematerialization and thereafter transferring the same to IEPF Authority,
Please note that no claim shall lie against the Company in respect of the unclaimed
Other equity 59,068.83
dividend amountand shares transferred to EPF pursuant to the said Rules. Earnings per equity share (Face value of t1/-
each): (Not annualised for the quarter)
Kindly note that all future benefits accruing on such shares would also be credited Basic (%) 21.41 15.93 20.24 63.07
to IEPF Authority Account. Shareholders may note that, both the unclaimed Diluted () 21d 15.88 20.24 62.99
dividend and the shares, transferred to IEPF Authority can be claimed back from
IEPF Authority, by filing Web Form lEPF-5 available at the access link on website
Additional information on Standalone Financial Results is as follows:
www.iepf.gov.in The procedure for claiming the unpaid anvount and shares Quarter ended Year ended
transferred to the IEPF Authority by submitting the documents as available in
Company's website at www.refitd.com under heading Investor Relation- Investor
Particulars 30-Jun-21 31-Mar-21 30-Jun-20 31-Mar-21
Education and Protection Fund. Unaudited Audited Audited Audited
As per SEBI Circular dated April 20, 2018, Shareholders whose Folio Number are Revenue fram operations 11,539.00 8,877.48 6,842.09] 34,628.76
not mapped with PAN Card and Bank Account Details are requested to
compulsorily furnish the details to the RTA for registering the same with respective
Profit before tax 4718.63 3,489.85 4200.00} 13,348.52
Folio Number. Manner of registering! updating email address is as below:- Profit for the period/year
Notes:
3,506.75 2,604.51 3,135,90 9,970.05
their email addresses with the Company, are requested to register! update the same
by writing to the Company with details of folio number and attaching a selfattested
copy of PAN card al [email protected] or to Link Intime at
[email protected]
1. The Unaudited Consolidated Financial Results for the quartar ended June 30, 2021 ("Unaudited
Consolidated Financial Results") of the Company has been reviewed by the Audit Committee and
approved by the Board of Directors at their meeting held on July 21, 2027.
2. The figures for the quarter ended March 31, 2021 are the balancing figures between audited figures of
® Members holding shares in demateriaised mode, who have not registered'
updated their email addresses with ther Depository Participants, are requested to
register / update their email addresses with the Depository Participants with
whom they maintain their demataccounts,
For any information(clarificatons on this matter, concerned Shareholders are
requested to write or contact to Company Secretary, Rashtriya Chemicals and
Fertilizers Limited, "Priyadarshani", Eastern Express Highway, Sion, Mumbai -
400 022. Tel No.: 022 24045024, Email:investorcommunicationsércfitd com or
Company's Registrar and Share Transfer Agent, M/s. Link Iintime India Private
Limited, C 101, 247 Park, LBS Marg, Vikhroli West, Mumbai 400 083 Tel No:
02249186270, Email: iept.sharesailinkintime.co.in
For Rashtriya Chemicals and Fertilizers Limited
Place: Mumbal
(J. B. Sharma)
Executive Director (Legal & Company Secretary)
Let 4 = ill aa ee tie
Date: July 20, 2021
the consolidated financial results in respect of the full financial year and the published unaudited year-to
date figures of the standalone financial results up to the end of the third quarter of the relevant financial
year, which were subjected to a limited review.
3. The public issue net proceeds of the Initial Public Offer are being utilised as per the objects stated in the
Prospectus of the Company. Accordingly we don't have any deviations or variations to be reported in the
utilisation of the public issue proceeds for the quarter ended June 30, 2021,
4, The aboveis an extract of the detailed format of quarter ended Unaudited 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 Unaudited Financial Results are available on the Company's
website (www.glandpharma.com) and on the website of the National Stock Exchange of India Limited
(www.onseindia.com) and BSE Limited (www.bseindia.com).
For and on behalf of the Board Gland Pharma Limited
Sdi
Srinivas Sadu
financiel pp epg in Hyderabad
ay 21, 2021
Managing Director and CEO DIN No. 06900659
_/

Notes:

(Rs. in Lakhs)
Quarter ended RRP ER ER ne ete ess Year ended
Particulars eee PEST Cg haere teere ery PNT Celi te pel
1 Total income fram Operations 23,000,953 22,005.36 12,103.56) 76,790.06
2 Wet Profit! (Loss) for the period (Before Tax,
Exceptional and / or Extraordinary Items)
3,516.60 4,486.07 718.78 9,349.83
3 Net Profit! (Loss) for the period Before Tax
(After Excaptional and / or Extraordinary ltams)
3.51660) 3.38607) 718.78 9,349.83
4 [ Met Profit! (Loss) for the period After Tax
[After Exceptional and / or Extraordinary ltems}
2619.03 2715439 51817 6,245.55
SVE?
5 Tolal Comprehensive Income for the pariod
2,216.51
2.619.034
[Comprising Profit} (Loss) for the period (After Tax)
and other Comprehensive Income (After Tax]
6,307 OF
Paid-up equity share capital (Face Value of Re 1/- each) 463.17 469.17 469.17 469.17
Reserves Excluding Revaluation Reserve
Eamings Per Share for Continuing and Discontinued
Operations (Before & After Extraordinary lerrrs)
[Face Value of Re 1/-each)
Basic
Diluted
5.58 5.58 4.59
8.09
1.10 1.40 13.31
13.41
Obligations and Disclosure Requirements) Regulation, 20175 and thay have expressed an unmodified opinion on
the aforesaid Results.
2 Theabove is anestract of ihe detailed format of Financial Results fied with the Stack Exchanges under Regulation 33
of the SEBI (Listing and Other Disclosure Requirements) Regulations, 2075. The full format of the above Financial
Results are available on Gompany's website wrew.guishanindia.com and on the Stock Exchanges website:
WH nselndia.com and wan bseindia.cam.
3 Figures for the previous period have been regrouped! rearranged wherever necessary io make them comparable
wilh current figure.
On behalf of Board of Directors
For Gulshan Polyols Limited Sdi-
Dated: July 27, 2027 (Dr. Chandra Kumar Jain}

EXTRACT OF UNAUDITED CONSOLIDATED FINANCIAL RESULTS FOR THE QUARTER ENDED JUNE 30, 2021

    1. The Unaudited Consolidated Financial Results for the quartar ended June 30, 2021 ("Unaudited Consolidated Financial Results") of the Company has been reviewed by the Audit Committee and approved by the Board of Directors at their meeting held on July 21, 2027.
    1. The figures for the quarter ended March 31, 2021 are the balancing figures between audited figures of the consolidated financial results in respect of the full financial year and the published unaudited year-todate figures of the standalone financial results up to the end of the third quarter of the relevant financial year, which were subjected to a limited review.
    1. The public issue net proceeds of the Initial Public Offer are being utilised as per the objects stated in the Prospectus of the Company. Accordingly we don't have any deviations or variations to be reported in the utilisation of the public issue proceeds for the quarter ended June 30, 2021,
  • 4, The aboveis an extract of the detailed format of quarter ended Unaudited 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 Unaudited Financial Results are available on the Company's website (www.glandpharma.com) and on the website of the National Stock Exchange of India Limited (www.onseindia.com) and BSE Limited (www.bseindia.com).

A, MOSCHiP MOSCHIP TECHNOLOGIES LIMITED

Regd Office : 7th Floor, "My Home Twitza", Hyderabad Knowledge City. Hyderabad - 500081 Ph: 040-66229292 Fax: 040-66229393 CIN: L31909TG1999PLC032184

UNAUDITED CONSOLIDATED FINANCIAL RESULTS FOR THE QUARTER ENDED 30 JUNE 2021

All amounts in lakhs, except for EPS

Regd, OFF: Oh KM, Jansaih Road, Muratarnager, Utlar Pradesh Three Months ended _Year ended
Corporate Off. : G-31, Preeti Vihar, Delhi - 110002, Ph: 011419999200. Fax: 011-d9o99o02
WHSILE: Ww. Quishanindia com, csiaguishanindia.com
Particulars 30-Jun-21
_ Unaudited
Audited 34-Mar-21 30-Jun-20
(Unaudited
31-Mar-21
Audited
Extract of Statement of Unaudited Financial Results Total Income
Net profit! (loss) for the period / year (before tax and
3,591.84 3,032.54 2,401.05 10,735.15
for the Quarter ended June 30, 2021 (Rs. in Lakhs) exceptional items)
Net profit / (loss) for the period / year (before tax and after
172.34 (108.38) (314.51) (908.86)
Quarter ended Year ended Exceptional items) 172.4 (108.38) (314.51) (908.86)
Particulars eee PEST Cg haere RRP ER ER ne ete ess Net profit (loss) for the period / year (after tax and
exceptional items)
172.34 (113.79) (314.51) (915.09)
teere ery PNT Celi te pel Total comprehensive income : (loss) for the penod / year
23,000,953 22,005.36 12,103.56) 76,790.06 [comprising profit! (loss) for the period / year (after tax)
and other comprehensive income / (loss)(after tax}]
Vit (99.83) (337.16) (987.13)
3,516.60 4,486.07 718.78 9,349.83 Equity Share Capital
Other equity (excluding revaluation reserve as shown in
3,157 42 3,155.88 3,155.88 3,155.88
3.51660) 3.38607) 718.78 9,349.83 The Balance sheet of previous year) 2c4300 210821 275870 2,198.21
2619.03 2715439 51817 6,245.55 Earnings Per Share (EPS)

Basic earnings per share of Rs. 2/- each
Not annualised
(0.07)
(0.20) Annualised
(0.58)
Diluted earnings per share of Rs. 2/- each 0.11
0.10
(0.07) (0.20) (0.56)
6,307 OF Key numbers of Standalone Financial Results
Three Months ended _Year ended
Particulars Unaudited 30-Jun-21 31-Mar-21 30-Jun-20 Audited (Unaudited 31-Mar-21
Audited
Paid-up equity share capital (Face Value of Re 1/- each) 463.17 469.17 469.17 469.17 Total Income 2,765.56 2,010.57 1,684.96 6,764.58
Net profit / (loss) for the period / year (before tax and after
exceptional items)
Net profit / (loss) for the period / year (after tax and
60.80 24.99 (40.94) (181.42)
Exceptional items) 60.80 21.86 (40.94) (184.55)
approved by the Board of Directors in their respective meetings held on July 21, 2021. These Resulis have
been subjected ta Limited Review by the Statutory Auditors as required under Regulation 33 of the SEBI (Listing
Obligations and Disclosure Requirements) Regulation, 20175 and thay have expressed an unmodified opinion on
of the SEBI (Listing and Other Disclosure Requirements) Regulations, 2075. The full format of the above Financial
Results are available on Gompany's website wrew.guishanindia.com and on the Stock Exchanges website:
On behalf of Board of Directors
For Gulshan Polyols Limited
Sdi-
(Dr. Chandra Kumar Jain}
Chairman and Managing Director
website www.moschip.comand BSE websites. (scrip code 532407}.
2). The Unaudited Consolidated and Standalone Financial Results are prepared in accordance with the Indian
Accounting Standards (Ind AS) as prescribed under Section 133 of the Companies Act, 2013 (the Act") read with
relevant rules thereunder, other accounting principles generally accepted in India and regulations issued by the
securities and Exchange Board of India ("SEBI").
3). The Unaudited Consolidated and Standalone Financial Results for the Quarter ended 30 June 2021 have been
reviewed and recommended by the Audit Committee and approved by the Board of Directors at their meetings held
on 20 July 2021. The statutory auditors have carried out review of these Consolidated and Standalone Financial
Results and have issued an unmodified reporton these results.
4). The Group has considered all possible effects that may result fram COVID-19 in the preparation af these
Unaudited Consolidated and Standalone Financial Results including the recoverability of carrying amounts of
financial and non-financial assets. In developing these assumptions relating to all possible future uncertaintes in
the global economic conditions because of COVID-19, the Group has, at the date of approval of these Unaudited
Consolidated and Standalone Financial Results, used internal and extemal sources of information and expects that
the carrying amount of these assets will be recovered -Sd-
GLAND PHARMA LIMITED
Corporate Identification Number: L24239TG1978PLC002276
Registered Office: Sy. No. 143 - 148, 150 and 151, Near Gandi Maisamma
X' Roads, D.P. Pally, Dundigal - Gandi Maisamma (M), Medchal-Malkajairi
Date: 20 July 2021
Aster DM Healthcare Limited
CIN: L85110KA2008PLC147259
MD & CEO
District, Hyderabad 500 043, Telangana, India Tel: +91 84556 99999:
Website: www.glandpharma.com; E-mail: [email protected]
Registered office: No.1785, Sarjapur Road, Sector -1, HSR Layout, Ward No.174, Agara Extension, Bangalore-560 102,
Karnataka, India. Tel: +91 484 6699999, Website: www.asterdmhealthcare.com, Email: [email protected]
NOTICE OF THE 13™ ANNUAL GENERAL MEETING AND E-VOTING INFORMATION

Aster DM Healthcare Limited CIN: L85110KA2008PLC147259

The 13" Annual General Meeting (AGM') of the members of Aster DM Healthcare Limited (the "Company") will be held on Friday, August 13, 2021 at 11:30 AM (IST) through Video Conferencing ('VC') / Other Audio Visual Means ('OAV'). In Compliance with General Circular numbers 14/2020, 17/2020, 20/2020, 02/2021 issued by the Ministry of Corporate Affairs (MCA) and Circular number SEBI/HO/CFD/CMD1/CIR/P/2020/79 and SEBI/HO/CFD/CMD2/CIR/P/2021/11 issued by the Securities and Exchange Board of India (SEBI) and (hereinafter collectively referred to as the 'Circulars'), companies are allowed to hold AGM's through VC, without the physical presence of members at a common venue. Hence, the AGM of the Company is being held through VC to transact the business as set forth in the Notice of the AGM dated June 22, 2021.

In compliance with the Circulars, electronic copies of the Notice of the AGM and Annual Report FY 2020-21 have been sent to all the members whose email IDs are registered with the Company/Depository Participants as on July 16, 2021. These documents are also made available on the website of the Company at www.asterdmhealthcare.com/investors, websites of the stock exchanges i.e. www.bseindia.com and www.nseindia.com and website of National Securities Depositories Limited ('NSDL) at www.evoting.nsdl.com. The dispatch of Notice of the AGM along with Annual Report through emails has been completed on Wednesday, July 21, 2021.

Members holding shares either in physical form or dematerialised form, as on the cut-off date (August 6, 2021)

may cast their vote electronically on the business as set forth in the Notice of the AGM through electronic voting system of NSDL ('remote e-voting'). All the members are informed that:

  • The business as set forth in the Notice of the AGM may be transacted through remote e-voting or e-voting system at the AGM;
  • The cut-off date for determining the eligibility to vote by electronic means is August 6, 2021;
  • iii. The remote e-voting shall commence on Tuesday, August 10, 2021 (09.00 A.M (IST));
  • iv. The remote e-voting shall end on Thursday, August 12, 2021 (05.00 PM (IST));
  • Remote e-voting module will be disabled after 05.00 PM (IST) on August 12, 2021;
  • vi. Any person who acquires shares of the Company and becomes a member of the Company after the Notice is sent and holding shares as of the cut-off date, i.e August 06, 2021, may obtain the login ID and password by sending a request at [email protected]. However, if the person is already registered with NSDL for remote e-voting then the existing user ID and password can be used for casting vote.
  • vii. Members may note that: a) Once the vote on a resolution is cast by the member, the member shall not be allowed to change it subsequently; b) The facility for e-voting will also be made available during the AGM, and those members present in the AGM through VC facility, who have not cast their vote on the resolutions through remote e-voting and are otherwise not barred from doing so, shall be eligible to vote through the e-voting system during the AGM; c) The members who have cast their votes by remote e-voting prior to the AGM may also attend the AGM but shall not be entitled to cast their votes again; d) Only persons whose name is recorded in the register of members or in the register of beneficial owners maintained by the depositories as on the cut-off date shall be entitled to avail the facility of remote e-voting or e-voting at the AGM .
  • viii. The manner of voting remotely for members holding shares in dematerialized mode, physical mode and for shareholders who have not registered their email addresses is provided in the Notice of the AGM. The details will also be made available on the website of the Company at www.asterdmhealthcare.com/investors.
  • ix. For details relating to remote e-voting, please refer to the Notice of the AGM. In case of any queries relating to voting by electronic means or need assistance before or during the AGM can contact NSDL on [email protected] / 1800-1020-990 or contact Mr. Amit Vishal, Asst Vice President, NSDL at [email protected].

Place : Bangalore

Date

By Order of the Board of Directors For Aster DM Healthcare Limited Sd/- Puja Aggarwal : July 21, 2021 Company Secretary and Compliance Officer

जनसत्ता, 22 जलाई, 2021 11

सरफैसी अधिनियम, 2002 की धारा 13(2) के तहत माँग सूचना

आप अधोलिखित कर्जदारों, सह–कर्जदारों तथा जमानतियों ने अपनी अचल सम्मतियों (प्रतिभतियों) को गिरवी रखकर एचडीबी फाइनेंशियल सर्विसेज से ऋण/वित्तीय सविधाएँ ग्रहण की और उनके पनर्भगतान में चक की। आपकी चक के परिणामस्वरूप ऋण को नॉन–प ने प्रतिभति हित अधिनियम, 2002 को वित्तीय आस्तियो तथा प्रवर्तन के प्रतिभतिकरण एवं पनर्निर्माण (अधिनियम) की धारा 13(2) के तहत, जिसकी विषय–सामग्री प्रतिभति हित (प्रवर्तन) नियम, 2002 के नियम 3(1) के साथ पठित अधिनियम की धारा 13 वैकल्पिक सेवा के रूप में माँग सचना निर्गत की है।

। पंजीकत कार्यालय: "राधिका", द्वितीय तल, लॉ गाडन रोड, नवरंगपुरा, अहमदाबाद-380009

शाखा कार्यालय : केएम प्लेस, प्रथम तल, निकट होण्डा शोरूम, झोटवाड़ा, जयपुर, राजस्थान-302012

कर्जदारों, सह-कर्जदारों, ऋण खाता सं., ऋण की राशि, धारा 13(2) के तहत माँग सचना. तिथि, सचना में दावाकत राशि, एनपीए तिथि तथा प्रतिभतियों का विवरण नीचे दिया गया है :

एचडीबी फार्डनैशियल सर्विसेज

|कर्जदार तथा सह–कर्जदारों के नाम : प्रेम नारायण मालव तथा स्वाति मालव, सभी निवासी : न्यू बाधना रंगपुर रोड, सामने मालव आटा चक्की, कोटा–324001, साथ ही : न्यू भदाना रंगपुर रोड, सामने मालव आटा चक्की कोटा–324001 पर प्लॉट: ऋण खात 15.06.2021; दावाकत राशि : रु. 1,826,482.41 (रुपये अठारह लाख छब्बीस हजार चार सौ बयासी एवं इकतालीस पैसे मात्र) 15–जून–2021 तक तथा आकस्मिक व्ययों, लागत एवं प्रभारों आदि सहित वास्तविक वसूली तक भावी अनुबन्ध ब्याज; एनपीए तिथि : राजस्थान 324001 का सम्पूर्ण भाग। माप क्षेत्रफल 1700 वर्ग फीट, सम्पत्ति की सीमाएँ : पूर्व : रोड, पश्चिम : अन्य सम्पत्ति; उत्तर : रोड, दक्षिण : रोड,

2 किर्जदार तथा सह–कर्जदारों के नाम : मैसर्स शिव ज्योति भोजनालय, बस स्टैण्ड, नयापूरा कोटा–324001 राजस्थान, साथ ही : संजय कॉलोनी, नयापूरा, तहसील लाडपूरा, कोटा–324001 पर मकान, विमल चन्द एवं लाल चन्द, सभी निवासी : 379, बस स्टै क्या खाता सं. : 7367381; ऋण राशि : स. 2600000/– (रुपये छब्बीस लाख मात्र); माँग सूचना की तिथि : 15.06.2021; दावाकृत राशि : स. 2,774,798.44 (रुपये सत्ताईस लाख चौहत्तर हजार सात सौ अट्ठानबे एवं चौवालीस पैसे मात्र) 15–जून–2021 का विवरण : संजय कॉलोनी, बस स्टैण्ड रोड, नयापुरा, कोटा राजस्थान 324001 पर प्लॉट का सम्पूर्ण भाग, सम्पति क्षेत्रफल 500 वर्ग फीट, सम्पति की सीमाएँ : पूर्व : घनश्याम जी का मकान, पश्चिम : बद्री लाल जी का मकान; उत्तर : मोहन पट . 3 कर्जदार तथा सह–कर्जदारों के नाम : जेबीके आर्टस, ए27, फ्लैट 103 श्याम मार्ग, सभाष नगर, राजावीर अपार्टमेंट, जयपर जयपर–302016, साथ ही : फ्लैट नं. 103 प्रथम तल, राजावीर अपार्टमेंट, छत के अधिकार रहित, प्लॉट नं. ए–27 मेजर श |302016: ऋण खाता सं. : .6811715; ऋण राशि : स. 3000000/– (रुपये तीस लाख मात्र); माँग सूचना की तिथि : 15.06.2021; दावाकृत राशि : स. 3,578,557.32 (रुपये पैंतीस लाख अठहत्तर हजार पाँच सौ सत्तावन एवं बत्तीस पैसे मात्र) 15–जून का विवरण : सम्पत्ति फ्लैट नं. 103. प्रथम तल. माप 834.38 वर्ग फीट. राजावीर अपार्टमेंट. छत के अधिकार रहित का सम्पर्ण भाग. प्लॉट नं. ए–27. मेजर शैतान सिंह कॉलोनी. बेनीपार्क विस्तार स्कीम. जयपर-302016. राजस्थान 4 कर्जदार तथा सह−कर्जदारों के नाम : जे.के. स्वीट होम, प्रताप नगर बस स्टैण्ड जोधपूर-342001, साथ ही : पी. नं. 14 भील कॉलोनी प्रताप नगर जोधपुर-342001, मंजू भाटी तथा अशोक भाटी, सभी निवासी : ई-189 हुडको क्वार्टर, कमला नेहरू नग |दावाकृत राशि : रु. 3,348,497.11 (रुपये तैंतीस लाख अड़तालीस हजार चार सौ सत्तानबे एवं ग्यारह पैसे मात्र) 15–जून–2021 तक तथा आकस्मिक व्ययों, लागत एवं प्रभारों आदि सहित वास्तविक वसूली तक भावी अनुबन्ध ब्याज.; एनपीए तिथि : 04. |फीट,. सम्पत्ति की सीमाएँ : उत्तर : रोड, पश्चिम : रोड, पूर्व : प्लॉट नं. 13 तथा दक्षिण : प्लॉट नं. 101 5 किर्जदार तथा सह–कर्जदारों के नाम : मैसर्स मुंशी मोटर ट्रांसपोर्ट कॉर्पोरेशन, प्लॉट नं. 7 ट्रांसपोर्ट नगर जोधपुर जोधपुर जोधपुर जोधपुर-342001, साथ ही : प्लॉट नं. 28 ट्रक टर्मिनल बासनी स्कीम, जोधपुर–342001, अब्बास अली, आयेश : रु. 2000000/– (रुपये बीस लाख मात्र); माँग सूचना की तिथि : 15.06.2021; दावाकृत राशि : रु. 2,135,589.34 (रुपये इक्कीस लाख पैंतीस हजार पाँच सौ नवासी एवं चाँतीस पैसे मात्र) 15–जून–2021 तक तथा आकस्मिक व्ययों, लागत एवं प्रभार टर्मिनल, बासनी स्कीम, जोधपर राजस्थान -342001 का सम्पर्ण भाग, माप क्षेत्रफल 1065.24 वर्ग फीट या 118.36 वर्ग गज सम्पत्ति की सीमाएँ : उत्तर : अन्य प्लॉट, पश्चिम : प्लॉट नं. 29, पर्व : प्लॉट नं. 27 तथा दक्षिण : रोड 6 कर्जदार तथा सह–कर्जदारों के नाम : राज श्री बिल्डिंग मैटीरियल एण्ड कंस्ट्रक्शन, राधेश्वर कॉलोनी ऋदिसिद्धि के पीछे, किशनगढ़-305801, साथ ही : प्लॉट नं. 244, खसरा नं. 949 का भाग, पंडित फतह लाल नगर, मदनगंज–किशन तहसील– किशनग |खाता सं. : 4688366; ऋण राशि : रु. 3550000/–(रुपये पैंतीस लाख पचपन हजार मात्र); माँग सूचना की तिथि : 15/06/2021; दावाकृत राशि : रु. 4,012,591.11 (रुपये चालीस लाख बारह हजार पाँच सौ इक्यानबे एवं ग्यारह पैसे मात्र) 15–जून–202 का विवरण : सम्पत्ति प्लॉट नं. 224 का दक्षिण पश्चिम भाग, खसरा नं. 949 का भाग, मदनगंज, किशनगढ़, तहसील, किशनगढ़, जिला अजमेर, राजस्थान 305801 का सम्पूर्ण भाग, माप 11.33 वर्ग गज,. सम्पत्ति की सीमाएँ : उत्तर : प्लॉट नं. 231, किजेंदार तथा सह–कर्जदारों के नाम : श्री सेफराज जी किसान सेवा केन्द्र, ग्राम व पोस्ट कक्कूनोख, बीकानेर–334801, साथ ही : खसरा नं. 435 पुराना एवं खसरा नं. 1273,1275,1276 तथा 1277 नया का भाग, न्यू रोडा नोखा, बीकानेर–334801, पा 4889885 ; ऋण राशि : रु. 3500000/– (रुपये पैंतीस लाख मात्र); माँग सूचना की तिथि : 15.06.2021; दावाकृत राशि : 4,100,891.63 (रुपये इकतालीस लाख आठ सौ इक्यानबे एवं तिरेसठ पैसे मात्र) 15–जून–2021 तक तथा आकस्मिक व्ययों, लागत एवं नि. 435, पुराना खसरा नं. 1273,1275,1276 तथा न्यू रोड, नोखा बीकानेर राजस्थान 334801 का सम्पूर्ण भाग, माप 3403 वर्ग फीट, सम्मति की सीमाएँ : उत्तर : आईदन राम का प्लॉट, पश्चिम : माला राम तथा गैदिश दारजी का प्लॉट, पूर्व : स 8 किजेंदार तथा सह−कर्जदारों के नाम : तोलियासर बर्तन भण्डार, निकट दम्मानी मेडिकल स्टोर, नया बाजार, नोखा बीकानेर नोखा–334803, साथ ही : वार्ड नं. 6, कानपुर बस्ती, नोखा नोखा–334803 पर प्लॉट, प्रमोद कुमार जैन/ओमंगी लाल वार्ड न |334803: ऋण खाता सं. : 9656006 ; ऋण राशि : रु. 2822834/–(रुपये अट्ठाईस लाख बाईस हजार आठ सौ चौंतीस मात्र); माँग सूचना की तिथि : 15.06.2021; दावाकृत राशि : रु. 3,296,230.23 (रुपये बतीस लाख छियानबे हजार दो सौ तीस एवं तेईस तिथि : 03.11.2020; प्रतिभूति का विवरण : सम्पत्ति प्लॉट वार्ड नं. 6, कानपुर बस्ती, नोखा, बीकानेर राजस्थान 334803 का सम्पूर्ण भाग, माप 1293.32 वर्ग फीट, सम्पत्ति की सीमाएँ : उत्तर : ओम प्रकाश का प्लॉट, पश्चिम : सार्वजनिक रो 9 कर्जदार तथा सह−कर्जदारों के नाम : श्री गिरिराज धरन इन्फ्राटेक प्राइवेट लिमिटेड, श्री गिरिराज धरन इन्फ्राटेक प्राइवेट लिमिटेड, 25 निकट मॉडर्न पेट्रोल पम्प, झालावाड़ रोड कोटा कोटा−324007, साथ ही : पीरस्टैण्ड, दूसरी मंजिल |324007, साथ ही : प्लॉट नं. 33, पार्श्वनाथ पुरम कुन्हारी, कोटा कोटा–324001, साथ ही : दुकान नं. नं. जी–1, प्लॉट नं. 7–डी न्यू कॉलोनी गुमानपुरा मेन रोड कोटा कोटा कोटा कोटा कोटा कोटा कोटा कोटा किटा कोटा-324007, चेतन कुमार मेवाड़ा, म.नं. 33 पार्श्वनाथपुरम कोटा, कुन्हारी, कोटा कोटा-324005, साथ ही : 80 गोमती सदन लक्ष्मण विहार द्वितीय, पार्क कुन्हादी के सामने, कोटा कोटा-324001, जितेन्द्र मेवाड़ा, बी-80 लक्ष्मणविहार, |324008, रचना, बी 80 लक्ष्मण विहार, नैब–V कोटा कोटा–324001, कृष्ण कुमार परेटा, 80 गोमती सदन, लक्ष्मण विहार, सेकण्ड, पार्क कुन्हादी के सामने, कोटा लाडपुरा कोटा–324001, अर्चना, एस–80, लक्ष्मण विहार, सेकण्ड कुन्हादी, कोटा शम् 111750 किंग्ड), कुन्हारी कोटा–324008, चेतन कुमार मेवाड़ा, 81–बी, लक्ष्मण विहार पार्ट–2, (सेकण्ड), कुन्हारी कोटा–324008: ऋण खाता सं. : 3800592/3558556/6775792/2537530/1697536/5392662; ऋण राशि : रु. 5400000 (रुपये चौवन लाख (रुपये इकतालीस लाख ग्यारह हजार सात सौ पचास मात्र) ऋण खाता सं. 6775792 द्वारा तथा रु. 3585000 (रुपये पैंतीस लाख पिचासी हजार मात्र) ऋण खाता सं. 2000000 (रुपये बीस लाख मात्र) ऋण खाता सं. 1697536 द्वारा, तथा रु. 2520000 (रुपये |राशिः रु. 2,27,40,273.87 (रुपये दो करोड़ सत्ताईस लाख चालीस हजार दो सौ तिहतर एवं सत्तासी पैसे मात्र) 18– जून–2021 तक तथा आकस्मिक व्ययों, लागत एवं प्रभारों आदि सहित वास्तविक वसूली तक भावी अनुबन्ध ब्याज; एनपीए तिथिः 03.02.20 |2417.27 वर्ग फीट .सम्पत्ति की सीमाएँ : उत्तर : प्लॉट नं. 26, पश्चिम : विक्रेता तथा अभियान सप्लायर पार्ट, पूर्व : रोड तथा दक्षिण : प्लॉट नं. 25. सम्पत्ति पतं. 25. सम्पत्ति पतं. 25 का सम्पूर्ण भाग, भूतल छत के अधिकार रहित, न |सं. 3: सम्पति प्लॉट नं. 33 का सम्पूर्ण भाग, क्षेत्रफल माप 138.88 वर्ग गज, खसरा नं. 96, पार्श्वनाथ पुरम, कुन्हारी, कोटा–324001, राजस्थान सीमाएँ : उत्तर : प्लॉट नं. 32; दक्षिण : रोड, पूर्व : रोड, परिचम : प्लॉट नं. 34., सम्प अन्य भूमि; दक्षिणः दुकान नं. जी-11, पूर्व : कॉमन पैसे, पश्चिम : प्लॉट नं. 6-डी। 10 किजेंदार तथा सह–कर्जदारों के नाम : आशियाना पैलेस, 35/17 नाला बाजार, अजमेर, अजमेर, अजमेर-305001, साथ ही : प्लॉट कस्टोडियन नं. 7/868 का भाग, एएमसी नं. 22/346 नैब 332/33 नवाब का बेड़ा, अजमेर अजमेर-305001, साथ ही : नाला बाज |346/22 नवाब काबे दमाली, मोहल्ला अजमेर-305001ः ऋण खाता सं. : 13114845/4621436/1235479; ऋण राशि : रु. 900000 (रुपये नौ लाख मात्र) ऋण खाता संख्या 13114845 द्वारा तथा रु. 2793333 (रुपये सत्ताईस लाख तिरानबे हजार तीन सौ तैंतीस की तिथि : 21.06.2021; दावाकृत राशि : रु. 59,96,476.84 (रुपये उनसठ लाख छियानबे हजार चार सौ छिहत्तर एवं चौरासी पैसे मात्र) 21-जून-2021 तक तथा आकस्मिक व्ययों, लागत एवं प्रभारों आदि सहित वास्तविक वसूली तक भावी अनुबन्ध ब्याज; ए अजमेर-305001, राजस्थान का सम्पूर्ण भाग, सीमाएँ : उत्तर :कथित एएमसी का शेष भाग, दक्षिण : रोड; पूर्व : रोड तथा निजी मकान, पश्चिम : रास्ता आम नवाब काबेरा 11 | कर्जदार तथा सह–कर्जदारों के नाम : सुवा लाल बैरवा, पी. नं. 04 बालाजी विहार, सांगनेर गोविन्दपुरा जयपुर–302033, साथ हो : प्लॉट नं. 05 स्कीम बालाजी विहार गोविन्दपुरम सांगनेर जयपुर–302033, राजेन्द्र कुमार बैरवा, पी. नं. 04 |संस्था, गोविन्दपुरा जयपुर जयपुर जयपुर-302033, मैसर्स शिक्षा सागर पब्लिक स्कूल संस्था, जेडीए कॉलोनी गोविन्दपुरम सांगनेर जयपुर जयपुर-302029, गोपाल आईजी–पी. नं. 04 बालगी विहार सांगनेर गोविन्दपुरा जयपुर-302033, मैसर्स शिक्षा 3880000 (रुपये अड़तीस लाख अस्सी हजार मात्र) ऋण खाता संख्या 6646711 द्वारा तथा रु. 292800 (रुपये दो लाख बानबे हजार आठ सौ मात्र) ऋण खाता संख्या 13376130 द्वारा; माँग सूचना की तिथि : 21.06.2021; दावाकृत राशि : रु. 4221595.26 आदि सहित वास्तविक वसूली तक भावी अनुबन्ध ब्याज; एनपीए तिथि: 05.04.2021; प्रतिभूति का विवरण: सम्पति प्लॉट नं. 05, स्कीम बालाजी विहार, गोविन्दपुरा, सांगनेर, राजस्थान का सम्पूर्ण भाग, माप-311.11 वर्ग गज 12 किजेंदार तथा सह–कर्जदारों के नाम : जयराज हॉस्टल, 493 महावीर नगर द्वितीय, कोटा कोटा–324005, मैसर्स जयराज हॉस्टल, 493 महावीर नगर, द्वितीय, कोटा कोटा–324005. पूनम जमुनेश आग्राल, 493 जयराज हॉस्टल महावीर नगर द्वितीय कोटा आन -493 जयराज हॉस्टल महावीर नगर द्वितीय कोटा आनन्दपुरा, फूटा तालाब कोटा कोटा-324005 राजस्थानः ऋण खाता सं. : 14679251/10710070/8394889; ऋण राशि : रु. 274140 (रुपये दो लाख चौहत्तर हजार एक सौ चालीस मात्र) ऋण खाता संख्या 14679251 पन्द्रह लाख मात्र) ऋण खाता सं. 8394889 द्वारा; माँग सूचना की तिथि : 21.06.2021; दावाकृत राशि : रु. 85,90,063.61 (रुपये पिचासी लाख नब्बे हजार तिरेसठ एवं इकसठ पैसे मात्र) 21–जून–2021 तक तथा आकस्मिक व्ययों, लागत एवं प्रभारों महावीर नगर II, कोटा, राजस्थान का सम्पूर्ण भाग, भूमि का माप 251 वर्ग फीट, छत के अधिकार रहित,.सम्पत्ति की सीमाएँ : उतर : प्लॉट नं. 492 का शेष भाग, पूर्व : रोड तथा दक्षिण : प्लॉट नं. 7, सम्पत्ति सं. 2: सम्पत्ति मंतार महावीर |प्लॉट नं. 492 का शेष भाग, दक्षिण : प्लॉट नं. 493 का शेष भाग, पूर्व : रोड, पश्चिम : प्लॉट नं. 494 13 किर्जवार तथा सह–कर्जदारों के नाम : मैसर्स आर.पी. एण्ड सन्स इलेक्ट्रोप्लेटिंग, प्लॉट नं. 45–46 गौतम नगर–1, निकट इंडस्ट्रियल एइरया, सरना, डूंगर, जयपुर जयपुर–302012, साथ ही : प्लॉट नं. 28 स्कोम बिलोची नगर 2 बेनार रोड जयपु |बेनाद रोड बोयतवाला जयपुर जयपुर-302012, सुरेश सैनी, 28 बिलोची बागर दितीय, खेतली बेनाद रोड बोयतवाला जयपुर-302012, राहुल सैनी, 28 बिलोची बागर दितीय, खेतली बेनाद रोड बोयतवाला जयपुर जयपुर-302012: ऋण खाता सं. : 9017893; ऋण |राशिः रु. 4,088,448.99 (रुपये चालीस लाख अट्ठासी हजार चार सौ अड़तालीस एवं निन्यानबै पैसे मात्र) 22–जून–2021 तक तथा आकस्मिक व्ययों, लागत एवं प्रभारों आदि सहित वास्तविक वसूली तक भावी अनुबन्ध ब्याज; एनपीए तिथिः 03.11.2020; |द्वारा जारी किया गया, श्री रामपाल सैनी के पक्ष में दिनांक 25.05.2000 को, बिक्री कंसीडरेशन रसीद द्वारा माप क्षेत्रफल 152.00 वर्ग गज 14 किर्जवार तथा सह–कर्जवारों के नाम : सुनील पंचोली, 1–बीएच–18 ज्योति मन्दिर मार्ग, दरबारी कोटा कोटा–324005, सुनीता पंचोली, 1–बीएच–18 ज्योति मन्दिर मार्ग, दरबारी कोटा कोटा–324009, उर्मिला पंचोली, 1–बीएच–18 ज्योति मन्दिर मार |राशिः रु. 2936044/– (रुपये उनतीस लाख छत्तीस हजार चौवालीस मात्र); माँग सूचना की तिथिः 22.06.2021; दावाकृत राशिः रु. 3,408,372.00 (रुपये चौंतीस लाख आठ हजार बहत्तर मात्र) 22–जून–2021 तक तथा आकस्मिक व्ययों, लागत एवं प्रभारों |ज्योति मन्दिर मार्ग, दरबारी, तहसील लाडपुरा, जिला कोटा, कोटा–324009, राजस्थान – माप 65.905 वर्ग मीटर, बंधक सम्पति की सीमाएँ : पूर्व : सड़क, पश्चिम : मकान नं. 1–बीएचए–23, उत्तर : मकान नं. 1–बीएचए–17, दक्षिण : मकान नं. 1–बी 15 किजेंदार तथा सह−कर्जदारों के नाम ः जयभवानी टूर एण्ड ट्रैवल्स– 75 गणेश नगर 11 बेनार रोड झोटवाड़ा जयपुर–302012, कालू राम शर्मा, प्लॉट नं. 75 गणेश नगर ककजयपुर–302001, मयंक, प्लॉट नं. 75 महेश नगर II जयपुर–302012ः ऋण खाता स रु. 2,292,121.89 (रुपये बाईस लाख बानबे हजार एक सौ इक्कीस एवं नवासी पैसे मात्र) 22–जून-2021 तथा आकस्मिक व्ययों, लागत एवं प्रभारों आदि सहित वास्तविक वसूली तक भावी अनुबन्ध ब्याज.; एनपीए तिथि : 05.04.2021; प्रतिभूति का विवरण सड़क, पश्चिम : अन्य का प्लॉट, उत्तर : पी.नं. 74, दक्षिण : पी. नं. 76 16 किजंदार तथा सह–कर्जदारों के नाम : मैसर्स भाटी बैंगल्स, इन्द्रप्रस्थ नगर मारू बंजारों की धानी, नया गाँव, पाली, एचओ–306401, साथ ही : प्लॉट नं. 438 खसरा नं. 621, सूर्य कॉलोनी, पाली एचओ–306401, सुरेन्द्र सिंह, इन्द्रप्रस्थ 3547000; ऋण राशिः रु. 2500000/– (रुपये पच्चीस लाख मात्र); माँग सूचना की तिथिः 22.06.2021; दावाकृत राशिः रु. 3,057,674.21 (रुपये तीस लाख सत्तावन हजार छः सौ चौहत्तर एवं इक्कीस पैसे मात्र) 22–जून– 2021 तक तथा आकस्मिक व्ययों, नं. 438, खसरा नं. 621, सूर्या कॉलोनी, पाली-306401, राजस्थान का सम्पूर्ण भाग, माप 236.88 वर्ग गज, पूर्व : रोड 32' फीट चौड़ी, पश्चिम : पी.नं. 437 उत्तर : पी.नं. 439 दक्षिण : 20 फीट रोड ा7 किर्जवार तथा सह−कर्जवारों के नाम : राजपुताना गारमेंट्स, दुकान नं. 11 12 संजय सर्किल कॉर्नर संसार चन्द रोड जयपुर जयपुर जयपुर 302001, साथ ही : प्लॉट नं. 11 खसरा नं. 805 तथा 806 ग्राम झोटवाड़ा तहसील एवं जिला जयपुर जयपुर-3 |बीना देवी, पी. नं. 11 राणा प्रताप नगर खाटीपुरा जयपुर जयपुर उथपुर 302001, नीना देवी मेहरा, पी. नं. 11 राणा प्रताप नगर खाटीपुरा जयपुर जयपुर जयपुर जयपुर जयपुर जयपुर जयपुर जयपुर जयपुर जयपुर जयपुर अथा राशि : 2729464; ऋण राशि :

आकस्मिक व्ययों, लागत एवं प्रभारों आदि सहित वास्तविक वसली तक भावी अनुबन्ध ब्याज; एनपीए तिथि : 03.09.2020; प्रतिभूति का विवरण : सम्पति प्लॉट नं. 11, खसरा नं. 805 तथा 806, ग्राम झोटवाडा, जयपूर-30200, राजस्थान माप 252.77 वर्ग

  • 18 कर्जदार तथा सह–कर्जदारों के नाम : बरकत अली एण्ड कं., दकान नं. 10, मेमन मार्केट, कोटे गेट के भीतर, बीकानेर–334004, साथ ही : पटटा नं. 166–167, हमल्लों का मोहल्ला, बीकानेर–334004, सैयदा बानो, हमल्लों का मोहल्ला, बीकानेर–33 |228 वार्ड नं. 17 निकट हमल्लों की मस्जिद, बीकानेर–334004: ऋण खाता सं. : 3742598; ऋण राशि : रु. 3100000/– (रुपये इकतीस लाख मात्र); माँग सूचना की तिथि : 22.06.2021; दावाकृत राशि : रु. 3,214,991.38 (रुपये बत्तीस लाख चौदह हजार अनुबन्ध ब्याज; एनपीए तिथि : 04.12.2020; प्रतिभूति का विवरण : सम्पति पट्टा नं. 166-167, हमल्लों का मोहल्ला, बीकानेर-334004, राजस्थान का सम्पूर्ण भाग, माप 335 दरगज, प्लॉट नं. 166 माप 113 दरगज एवं प्लॉट नं. 167 माप 222 दरगज,
  • 19 कर्जदार तथा सह–कर्जदारों के नाम : ताराचन्द, एम–5 कोंजाल की धानी, सांगनेर कलवारा महिन्द्रा वर्ल्ड सिटी, जयपुर–302002, Also is at प्लॉट नं. 108 ब्लॉक नं. जी स्कीम एम कलवाड़ा, जयपुर–302028, राजपूत, एम–5 कोंजाल की धानी, सा . समरि का विवरण : समरि : स्था साथ भार समय बीस लाख मात्र) : माँग सचना की तिथि : 22.06.2021: दावाकत राशि : रु. 1.996.498.79 (रुपये उन्नीस लाख छियानबे हजार सौ अटठानबे एवं उन्यासी पैसे मात्र) 22– जन-2021 तक तथा आकस्मिक व्ययों. प्लॉट नं. 108, ब्लॉक नं. जी, स्कीम कलवाड़ा, जयपूर, राजस्थान का सम्पूर्ण भाग, माप 1250 वर्ग मीटर, सम्पति सीमाएँ : पूर्व : प्लॉट नं. 82, दक्षिण : रोड 18 मीटर चौड़ी, सम्पति की सीमाएँ : उतर : प्लॉट नं. 82, पश्चिम : प्लॉट नं. 1
  • 20 | कर्जदार तथा सह–कर्जदारों के नाम : शृंगार पैलेस, ई 4, कैलाश पुरी, आमेर रोड निकट होटल जयपुर दरबार रामगढ़ मोड़, जयपुर त्रिपोलिया बाजार, राजस्थान जयपुर–302002, साथ ही : प्लॉट नं. 57 अस्कीम गोविन्दपुरी वेस्ट, अम्बर रोड जयप जयपुर-302002, सलाहददीन शेख, ई-4 कैलाश परी, आमेर रोड निकट होटल जयपर दरबार रामगढ मोड, जयपर त्रिपोलिया बाजार, राजस्थान जयपर तरबार रामगढ मोड, जयपर जयपर तरबार राजस्थान जयपर-302002, इकरामददीन एस., ई-4 कैलाश परी, आमेर रोड निकट हो किया का साथा सम्यान अपूर-302002: ऋण खाता सं. : 5910528; ऋण राशि : रु. 3500000/- (रुपये पैंतीस लाख मात्र); माँग सूचना की तिथि : 22.06.2021; दावाकृत राशि : रु. 3,497,705.40 (रुपये चौंतीस लाख सत्तानबे हजार सात सौ पाँच एवं चाल 03.11.2020; प्रतिभूति का विवरण : सम्पत्ति प्लॉट नं. 57-A, स्कीम गोविन्दपुरी वेस्ट, अम्बर रोड जयपुर, राजस्थान 302002 का सम्पूर्ण भाग, माप 150 वर्ग गज श्री गोविन्द गृह निर्माण सहकारी समिति, जयपुर द्वारा जारी किया गया, श्री स
  • 21 कर्जदार तथा सह–कर्जदारों के नाम : मैसर्स श्याम सुन्दर सुथार, पुराना शिव मन्दिर के पीछे, बंगला नगर बीकानेर–334001, साथ ही : मोहल्ला सर्वोदर बस्ती, बीकानेर–334001, मैसर्स श्यार, पुराना शिव मन्दर सुथार, पुराना शिव मन्दर सु कार बीकानेर-334001, पनम चांद, मोहल्ला सर्वोदय बस्ती, बीकानेर बीकानेर-334001, पनम चाँद, पराना शिव मन्दिर के पीछे, बंगला नगर बीकानेर-334001: ऋण खाता सं. : 1038416/2253190; ऋण राशि : र. 2950000 (रुपये उनतीस लाख पचास हजार मा |2253190 द्वारा; माँग सूचना की तिथि : 23.06.2021; दावाकृत राशि : रु. 4833769.78 (रुपये अड़तालीस लाख तैंतीस हजार सात सौ उनहत्तर पैसे मात्र) 23-जून-2021 तक तथा आकस्मिक व्ययों, लागत एवं प्रभारों आदि सहित वास्तविक वसूली तक भा |15.06.2009 को, तथा इसे उप रजिस्ट्रार बीकानेर के समक्ष पुस्तक सं. 1, जिल्द सं. 1177, पृष्ठसं. 101, क.सं. 2009008501 पर दिनांक 07.07.2009 को पंजीकृत, माप 344.09 वर्ग गज बंधक सम्पति की सीमाएँ : पूर्व : शौकत अली, पश्चिम : र
  • 22 कर्जदार तथा सह–कर्जदारों के नाम : ओमी ट्रेडिंग एजेंसीज, प्लॉट नं. 4 विजय नगर झोटवाड़ा जयपूर–302012, साथ ही : प्लॉट नं. 4 स्कीम नं. 1 विजय नगर झोटवाड़ा जयपूर–302012 पर, तिलकराज ब्रह्मभट्ट, 4 विजय नगर निकट केवी नं. 2 स्कू राम सहाय, 4 विजय नगर निकट केवी नं. 2 स्कूल के पास जयपुर झोटवाड़ा जयपुर-302012, लेखराज शर्मा, 4 विजय नगर निकट केवी नं. 2 स्कूल के पास जयपुर-302012, राम सहाय ब्रहमभट्ट, 4 विजय नगर निकट केवी नं. 2 स्कूल के पास जयपुर झोटवाड़ा |संख्या 3956958 द्वारा तथा रु. 1022737 (रुपये दस लाख बाईस हजार सात सौ सैंतीस मात्र) ऋण खाता संख्या 7803767 द्वारा; माँग सूचना की तिथि : 22.06.2021; दावाकृत राशि : रु. 3229996.17 (रुपये बत्तीस हजार नौ सौ छियानबे एवं सत्रह प तिथि : 05.03.2021; प्रतिभृति का विवरण : सम्पत्ति प्लॉट नं. 04, स्कीम नं. 01, विजय नगर, झोटवाड़ा, जयपुर राजस्थान – 302012 का सम्पूर्ण भाग, सम्पत्ति की सीमाएँ : उत्तर : रोड 30, पश्चिम : अन्य भूमि, पूर्व : प्लॉट नं. 3 तथा दक्
  • 23 कर्जदार तथा सह–कर्जदारों के नाम : निधिकमल ऑटोमोबाइल्स प्राइवेट लिमिटेड, निकट म्यनिसिपल टैचिंग ग्राउण्ड, नग्रम संदरिया, अजमेर–305001, साथ ही : प्लॉट नं. 23,34,35,36,37,38 खसरा नं. 287 ग्राम घृघरा, अजमेरअजमेर, राजस्थान अज मंगल विहार, दुर्गापुरा, जयपुर-302018, अशित जैन, 36 शुभम कॉलोनी पुष्कर रोड कायद ग्रामअजमेर-305001, विनीता अशित जैन, 172-173 मंगल विहार, विष्णु मंगल विहार, विष्णु मंगल विहार, विष्णु मंगल विहार, विष्णु पथ, गोपाल परा बाईपास, ज पचास लाख मात्र) ऋण खाता संख्या 6967496 द्वारा तथा रु. 2000000 (रुपये बीस लाख मात्र) ऋण खाता संख्या 13307972 द्वारा; माँग सूचना की तिथि : 22.06.2021; दावाकृत राशि : रु. 17898844.25 (रुपये एक करोड़ अठहत्तर लाख अट्ठानबे हजार |भावी अनुबन्ध ब्याज.; एनपीए तिथि : 05.04.2021; प्रतिभूति का विवरण : सम्पति सं. 1 – सम्पति प्लॉट नं. 33 (क्षेत्रफल 233.33 वर्ग गज), खसरा नं. 287, ग्राम घूघरा, अजमेर, राजस्थान का सम्पूर्ण भाग, साथही साइट प्लान दस्तावेज नं. |287, ग्राम घूंघरा, अजमेर, राजस्थान साथ ही साइट प्लान दस्तावेज नं. 2007002060, पुस्तक नं. -I, वॉल्यूम नं. -76 पृष्ठ सं. 74 पर 09/04/2007 को, सम्पत्ति सं. 3: सम्पत्ति सं. 3: सम्पत्ति सं. 287, ग्राम घूंघरा, अजमेर राजस्थान का |सम्पत्ति सं. 4: सम्पत्ति सं. 37, (क्षेत्रफल 252.77 वर्ग गज), खसरा नं. 287, ग्राम घूंघरा, अजमेर राजस्थान का सम्पूर्ण भाग, साथ ही साइट प्लान दस्तावेज सं.. – 4629, पुस्तक सं. –1441 पृष्ठ सं. 29 पर 18/08/2007 को। सम्पत्ति सं. |सं.. − 2007002057, पुस्तक सं. −I, वॉल्यूम नं. −76 पृष्ठ सं. 71 पर 09/04/2007 को।
  • जिस से भाप कर्जदार/सह−कर्जदारों तथा जमानतियों को ऊपर उल्लिखित के अनुसार भावी ब्याज सहित ऊपर उल्लिखित माँग राशि का इस सूचना की तिथि से 60 दिनों के भीतर पूर्ण रूप से भुगतान करने के लिए कहा जाता है जिसमें असफल होने पर अधोहस् किरने के लिए बाध्य होगा।

(प्रतिभूत आस्तियों को छूड़ाने के लिए उपलब्ध समय-सीमा के परिप्रेक्ष्य में कर्जदर का ध्यान अधिनियम की धारा 13 की उपधारा (8) के प्रावधानों की ओर आकृष्ट किया जाता है)

कपया ध्यान दें कि कथित अधिनियम की धारा 13(13) के अनुसार इस बीच आपको उपर्यूक्त सम्पत्ति का हमारी सहमति के बिना विक्रय, पट्टे अथवा अन्य रूप में उपर्यूक्त सन्दर्भित प्रतिभूतियों को हस्तान्तरित करने से निषिद्ध किया जाता है और तहत दण्डनीय है।

किसी पूछताछ के लिए कृपया सम्पर्क करें : श्री प्रशान्त राठौर, दूरभाष : 9928818000 अथवा जितेन्द्र सिंह दूरभाष : 99832911777

स्थान: जयपुर, तिथि : 21.07.2021 ह.⁄- कुते एचडीबी फाइनेशियल सर्विसेज लिमिटेड अधिकृत प्राधिकारी

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