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Datamatics Global Services Limited Interim / Quarterly Report 2022

Aug 14, 2021

61141_rns_2021-08-14_cba938e6-846b-43a4-9e66-10d8615611ce.pdf

Interim / Quarterly Report

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August 14, 2021

To, Corporate Communication Department BSE Limited Phiroze Jeejeeboy Towers, Dalal Street, Mumbai – 400 001. BSE Scrip Code: 532528

Listing Department National Stock Exchange of India Limited Exchange Plaza, Bandra Kurla Complex, Bandra (East), Mumbai - 400 051. NSE Code: DATAMATICS

Sub: Newspaper Publication ‐ Compliance under Regulation 47 of Securities and Exchange Board of India (Listing Obligations & Disclosure Requirements) Regulations, 2015 ("Listing Regulations")

Dear Sir/Madam,

Pursuant to Regulation 47 of the Listing Regulations, please find enclosed herewith extracts of the Unaudited Standalone and Consolidated Financial Results for the quarter ended on June 30, 2021, approved by the Board of Directors of the Company at their meeting held on August 13, 2021, published today i.e. Saturday, August 14, 2021 in the Newspapers viz. – Financial Express (in English) and Mumbai Lakshadeep (in Marathi).

The above information is also available on the website of the Company www.datamatics.com.

Kindly take the above on your record.

For Datamatics Global Services Limited

DIVYA KUMAT Digitally signed by DIVYA KUMAT Date: 2021.08.14 11:54:51 +05'30'

Divya Kumat EVP, Chief Legal Officer and Company Secretary (FCS: 4611)

Encl: As above

SATURDAY, AUGUST 14, 2021

WWW.FINANCIALEXPRESS.COM

(Amount in ₹ Lakhs)

FINANCIAL EXPRESS

Oswal Agro Mills Limited

(CIN: L15319PB1979PLC012267) Corporate Office : 7th Floor, Antriksh Bhawan, 22, Kasturba Gandhi Marg, New Delhi-110001

Extract of the Unaudited Standalone Financial Results for the Quarter ended 30th June, 2021

Extract of the Unaudited Consolidated Financial Results for the Quarter ended 30th June, 2021

(Amount in ₹ Lakhs)
Standalone
Particulars Quarter Ended Year Ended
30.06.2021(Unaudited) 31.03.2021(Unaudited) 30.06.2020(Unaudited) 31.03.2021(Audited)
Total Income from Operations 252.08 1,602.80 2,926.69
Net Profit/(Loss) for the period/year (before tax) 150.48 358.86 210.32 1,108.87
Net Profit/(Loss) for the period/year after tax 111.00 247.94 116.05 540.32
Total Comprehensive income for the period/year [comprising profit/(loss) for the period/year(after tax) and Other comprehensive income (after tax)] 111.00 249.86 114.32 537.05
Paid up Equity Share Capital (Face Value of 110/- each) 13,423.48 13,423.48 13,423.48 13,423.48
Other equity (excluding revaluation reserves) as shown in the Audited Balance Sheet 45,805.46
Basic and Diluted Earnings per share (Face Value of 110/- each) 0.08 0.18 0.09 0.40

Note:- The above is an extract of the detailed format of the Quarterly Standalone 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 Financial results are available on the stock exchange website www.bseindia.com and www.nseindia.com and also on the Company's website www.oswalagromills.com.

Place: Mumbai

Date: 08/Aug/2021

Place: Ahmedabad, Gujarat

Date: August 13, 2021

For Oswal Agro Mills Limited B N Gupta CEO and Whole Time Director Date:- 13.08.2021 DIN: 00562338 Place:- New Delhi

Date:- 13.08.2021 Place:- New Delhi

Consolidated
Particulars Quarter Ended Year Ended
30.06.2021(Unaudited) 31.03.2021(Unaudited) 30.06.2020(Unaudited) 31.03.2021(Audited)
Total Income from Operations 252.08 1,602.80 2,926.69
Net Profit/(Loss) for the period/year (before tax) 150.48 358.86 210.32 1,108.87
Profit for the period/Year after tax but before share of net profit of investments accounted for using
equity method 111.00 247.94 116.05 540.32
Net Profit/(Loss) for the period/year after tax 447.72 682.48 715.51 2,320.11
Total Comprehensive income for the period/year [comprising profit/(loss) for the period/year (after tax)
and Other comprehensive income (after tax)] 447.73 721.41 706.40 2,331.61
Paid up Equity Share Capital (Face Value of l10/- each) 13,423.48 13,423.48 13,423.48 13,423.48
Other equity (excluding revaluation reserves) as shown in the Audited Balance Sheet $\sim$ 65,506.32
Basic and Diluted Earnings per share (Face Value of ₹10/- each) 0.33 0.51 0.53 1.73

Note:- The above is an extract of the detailed format of the Quarterly Consolidated 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 Financial results are available on the stock exchange website www.bseindia.com and www.nseindia.com and also on the Company's website www.oswalagromills.com.

For Oswal Agro Mills Limited sdi-B N Gupta CEO and Whole Time Director DIN: 00562338

Regd. Office: Near Jain Colony, Vijay Inder Nagar, Daba Road, Ludhiana - 141 003 (Punjab) | Contact : 0161-2544313 ; website: www.oswalagromills.com; Email ID: [email protected]

OFFICE OF THE RECOVERT OFFICER - I/III
DEBTS RECOVERY TRIBUNAL PUNE
Unit No. 307 to 310, 3rd Floor, Kakade Biz Icon Building, Shivaji Nagar, Pune-411005
NU ING PERUSAS PEBERING 74, YARRI MANGUTAN WATER NEGERI PRANT-PROJ
OF THE SECOND SCHEDULE TO THE INCOME TAX ACT, 1961 READ WITH
THE RECOVERY OF DEBTS & BANKRUPTCY ACT, 1993.
RC/120/201928-07-2021
STATE BANK OF INDIA
Versus
M/S K.K ASSOCIATES & OTHERS
To.
(Ch 1)State Bank Of India
06th Floor Sharda Chambers. 386/2 Shankarshet Road, Pune-411037.
(Cd1)M/S K K Associates
Prop. Mr. Kailas Dattatraya Tonde, Gala No. 4, Kale Pride Ward no 5. Cinema Road,
Baramati-413102.
(Cd2) Mr. Nitin Marutrao Kale,
At Post Sansar, 39 Phata, Taluka Indapur, District-Pune
Whereas you the M/S. K K ASSOCIATES was ordered by the Presiding Officer of DEBTS
RECOVERY TRIBUNAL PUNE who had issued the Recovery Certificate dated
28/07/2021 In OA/103/2017 to pay to the Applicant Bank(s) the sum of Rs 3,92,85,268.00
(Rupees Three Crore Ninety Two Lakhs Eighty Five Thousands Two Hundred Sixty)
Eight Only) along with pendent lite and future interest $@$ 12% p.a. w.e.f. till realization and
costs of Rs. 1,75,000 (One Lakhs Seventy five Thousand Only), and whereas the said has

not been paid, the undersigned has ordered the sale of under mentioned Movable/ Immoveable property 2. You are hereby informed that the 15/09/2021 at 10.30 A.M. has been fixed for drawing up

the proclamation of sale and setting the terms thereof. You are requested to bring to the notice of the undersigned any encumbrances, charges, claims or liabilities attached to the said properties or any portion thereof. SPECIFICATION OF THE PROPERTY: All that piece and parcel in the name of Mr. Kailas Dattatraya Tonde i.e. Certificate Debtor No 1.

DATAMATICS GLOBAL SERVICES LIMITED

Registered Office : Knowledge Centre, Plot No. 58, Street No. 17, MIDC, Andheri (E), Mumbai -400093. CIN: L72200MH1987PLC045205, Tel. No.: - +91-22-61020000/1/2 Fax. No.: - +91-22-28343669 Website : www.datamatics.com

Sr. STANDALONE CONSOLIDATED
No. Particulars Quarter ended Year ended Quarter ended Year ended
30-Jun-21 31-Mar-21 30-Jun-20 31-Mar-21 30-Jun-21 31-Mar-21 30-Jun-20 31-Mar-21
Unaudited Audited Unaudited Audited Unaudited Audited Unaudited Audited
Total income from operations (net) ,306.07 1,256.31 1,087.18 4,576.63 2,877.49 2,832.90 2,770.91 11,490.53
Net Profit (+) / Loss (-) from ordinary activities before tax 507.98 458.70 84.70 764.99 468.66 345,71 195.77 1,093.63
Net Profit (+) / Loss (-) for the period after tax 398.79 320.19 63.47 563.10 393.94 286.87 140.53 840.11
Net Profit (+) / Loss (-) for the period after tax (after non controlling interest) 398.79 320.19 63.47 563.10 395.89 286.60 135.07 797.46
Other Comprehensive income 140.40 11.18 12.29 28.16 (70.23) 231.33 (19.17) 244.04
Total Comprehensive income for the period 539.19 331.37 75.76 591.26 323.71 518.20 121.36 1,084.15
Paid-up equity share capital (Face Value per share Rs.5/-) 294.75 294.75 294.75 294.75 294.75 294.75 294.75 294.75
Reserve (excluding Revaluation) Reserves as per balance sheet of
previous accounting year NA NA NA NA. NA NA NA. NA
Earnings Per Share (EPS)
- Basic 6.76 5.43 1.08 9.55 6.72 4.86 2.29 13.53
- Diluted 6.76 5.43 1.08 9.55 6.72 4.86 2.29 13.53

1 The above is an extract of the detailed format of unaudited financial results for 1st quarter of FY 2021-22 filed by the Company 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 for 1st quarter of FY 2021-22 are available on the Stock Exchange websites.

שום וח ושמון וםםשמורCIN: L51491WB1982PLC035464
301 PL899/F, Corporate Arena, Piramal Nagar Road, Goregaon West,
Mahendra Gardens, Mumbai- 400062UNAUDITED FINANCIAL RESULTS FOR QUARTER
ENDED ON 30TH JUNE, 2021 Amount in '000 except eps
Quarter 1 Twelve months Corresponding
SL.NO PARTICULARS ended30-06-2021 ended(31/03/2021) 3 months ended30-06-2020
Unaudited Audited Unaudited
112 2 Total income from operationsNet Profit/ (Loss) for the period(before tax, Exceptional and/or 1,942.76 11,986.63 2,381.46
Extraordinary items)3 Net Profit/ (Loss) for the period beforetax (after Exceptional and/or Extra 1,836.75 11,158.46 2,361.78
ordinary items)4 Net Profit/ (Loss) for the period after 1,836.75 11,158.46 2,361.78
5 1 tax (after Exceptional and/or Extraordinary items)Total Comprehensive Income for the 2,095.11 9,460.98 2,079.00
period [(Comprising Profit / (Loss) forthe period (after tax) and OtherComprehensive Income (after tax)]6 Equity Share Capital (Face value of 2,095.11 9,460.98 2,079.00
71 Rs 10 each)Reserves (excluding Revaluation 32,450.00 32,450.00 32,450.00
Reserve as shown in the auditedbalance sheet of the previous year)8 Earning Per Share (of Rs. 10/-each)(for continuing and discontinuing (6,000.26)
operations)BasicDiluted 0.650.65 2.922.92 0.640.64
NOTE:The above is an extract of the detailed format of Quarterly Financial Results filed with the StockExchange under Regulation 33 of the SEBI (Listing and Other Disclosure Requirements)Regulations, 2015. The full format of the Quarterly Financial Results are available on the StockExchange and Company's Websites. For Sandeep (India) Ltd
Sd/-

SANDEED (INDIA) LTD

46

bearing Gat No. 308-2, admeasuring about 31 Are situated at Village Bhigwan, Taluka Indapur, District Pune and boundaries as under: East : By Solapur Road, South : By Gat No. 308-2 remaining land, West: By Gat No. 307, North: By Gat No. 319. Given under my hand and the seal of the Tribunal, on this date: 28/07/2021. [S. J. SATBHAI] RECOVERY OFFICER-II

DEBTS RECOVERY TRIBUNAL, PUNE.

GANGA PAPERS INDIA LIMITEDCIN:- L21012MH1985PTC035575Regd. Off: 241, Village Bebedohal, Tal. Maval, Pune-410506Email Id: [email protected], Website: www.gangapapers.inUnaudited Standalone Financial Results for thequarter ended 30th June, 2021 (Rs. in Lakhs) AU SMALL FINANCE BANK LIMITEDSHALL(A Scheduled Commercial Bank)(CIN:L36911RJ1996PLC011381)Regd. Office: 19-A, Dhuleshwar Garden, Ajmer Road, Jaipur - 302001APPENDIX IV (SEE RULE 8(1)) POSSESSION NOTICE (For Immovable Property)Whereas, The undersigned being the Authorized Officer of the AU Small FinanceBank Limited (A Scheduled Commercial Bank) under the "Securitization andReconstruction of Financial Assets and Enforcement of Security Interest [Act,2002 (54 of 2002)] and in exercise of Powers conferred under Section 13 (12)
30.06.2021 Quarter ending30.06.2020 read with [rule 3] of the Security Interest (Enforcement) Rules, 2002, issueddemand notice dated 25-Sep-17 Calling upon the Borrower Chirag Kiritkumar
Particulars Unaudited Unaudited Panchigar (Borrower), Riddhish Kiritkumar Panchigar (Co-Borrower),Kiritkumar Ishwarbhai Panchigar (Co-Borrower & Mortgagor), Atulbhai A
Total income from operations (net) 7,982.06 2,886.02 Patel, Smt. Hetal Chirag Pachigar (Guarantor), (Loan Account No - LSVAS02714-
Net Profit/ (Loss) from ordinary activities after tax 213.66 44.39 150320170) (New Loan Account No - 19001060100207975) to repay the
Net Profit/ (Loss) for the period after tax amount mentioned in the notice being Rs. 9,85,956/- (Rs. Nine Lac Eighty FiveThousand Nine Hundred Fifty Six Only) within 60 days from the date of receipt
(after Extraordinary items) 213.66 44.39 of the said notice.
Equity Share Capital 1.078.89 1,078.89 The borrower/ mortgagor having failed to repay the amount, notice is hereby
Reserves (excluding Revaluation Reserve as given to the borrower/mortgagor and the public in general that the undersignedhas taken possession of the property described herein below in exercise of
shown in the BalanceSheet of previous year) powers conferred on him/her under Sub-section (4) of section 13 of Act read
Earnings Per Share (before extraordinary items) with Rule 8 of the Security Interest Enforcement Rules, 2002 on this the 8th Day
(of Rs.10/- each) Basic and Diluted 1.98 0.41 of August of the Year 2021.The borrower/ mortgagor in particular and the public in general is hereby
Earnings Per Share (after extraordinary items) cautioned not to deal with the property and any dealings with the property will
(of Rs.10/- each) Basic and Diluted 1.98 0.41 be subject to the charge of the AU Small Finance Bank Limited (A Scheduled
Note: The above is an extract of the detailed format of Quarterly Financial Results filedwith the Stock Exchanges under Regulation 33 of the SEBI (Listing and Other DisclosureRequirements) Regulations, 2015. The full format of the Quarterly Financial Results areavailable on the Stock Exchange websites. Commercial Bank) for an amount of Rs. 9,85,956/- (Rs. Nine Lac Eighty FiveThousand Nine Hundred Fifty Six Only) as on 20-Sep-17 and interest and expensesthereon until full payment.The borrower's attention is invited to provisions of sub section (8) of section 13 ofthe Act, in respect of time available, to redeem the secured assets.
By Order of the Board Description of immovable properties
For Ganga Papers India Limited All that part and parcel of residential / commercial property Land / Building / Structure
$Sd$ - and fixtures situated at Property Bearing CS. No.855, Situated at MoujeJalampur-2, City & Distt-Ahmedabad, Sub. Distt-Ahmedabad-1, Gujarat
Ramesh Kumar Chaudhary Admeasuring 71.07.10 Sq Mtr. Owned By Kiritkumar Ishwarbhai Panchigar,
Date: 13.08.2021Place: Pune (Chairman & Director)DIN: 00080136 Which Is Having Four Boundaries: -
East: Staircase, West: Road, North: CS No.856, South: CS.No.854
TIRUPATI TYRES

TIRUPATI TYRES LIMITED CIN: L25111MH1988PLC285197

Registered Office : B1/D, Utkarsh Co-op Society, M.A. Road, Andheri West, Mumbai 400058 Website: www.tirupatityresltd.in; Email Id: [email protected]; Phone: 022-26204220

STATEMENT OF UN-AUDITED FINANCIAL RESULTS FOR THE QUARTER ENDED JUNE 30, 2021

Sr.No. Particulars Quarterended Yearended Quarterended
Unaudited Audited Unaudited
30.06.2021 31.03.2021 30.06.2020
ţ. Total Income from Operations
$^{2}$ Net Profit for the period(before tax and Exceptional items) (0.54) (69.52) (1.59)
$\overline{3}$ Net Profit for the period before tax(after Exceptional items) (0.54) (69.52) (1.59)
4 Net Profit for the period after tax(after Exceptional items) (0.54) (69.52) (1.59)
$\overline{5}$ Total Comprehensive Income [Comprising Porofit / (Loss)after tax and Other Comprehensive Income after tax) (0.54) (69.52) (1.59)
$\overline{6}$ Equity Share Capital 344.35 344.35 344.35
7. Reserves excluding Revaluation Reserve as at
Balance Sheet date 0.00 $-240.25$ 0.00
8 Earning per share (before extraordinary items)
Basic. (0.02) (2.02) (0.05)
Diluted (0.02) (2.02) (0.05)

Notes: The above results have been reviewed by the Audit Committee and approved by the Board of Directors at their meeting held on 13th August, 2021.

The above is the extract of the detailed format of Quarterly/ Yearly financial results filed with the Stock Exchabge under

(www.bseindia.com and www.nseindia.com) and also on Company's website at www.datamatics.com.

AU Small Finance Bank Limited

For Datamatics Global Services Limited Sd/-

Rahul L. Kanodia Vice Chairman & CEO

QUEST SOFTECH (INDIA) LIMITED CIN: L72200MH2000PLC125359

Regd. Office: C-75/76, 7th Floor, Plot No-224, C Wing, Mittal Court, Jamnalal Bajaj Marg, Nariman Point, Mumbai 400021 Tel: 022-68651155/1166 Fax: 022-61798045 Email: [email protected] Website: www.questsoftech.co.in

UNAUDITED FINANCIAL RESULTS FOR THE QUARTER ENDED JUNE 30, 2021 (Rs. In Lakh escap) EPS)

Ŝt.No. Particulars Quarter ended30.06.2021Unaudited) Dearter ended31.03.2021(Audited) Quarter ended30.06.2020(Unaudited) Year ended31.03.2021(Audited)
1. Total income from operations 8.00 8.00
2. Net Profit/(Loss) for the period
(before tax and exceptional items) (2.76) (13.14) (2.60) (426.35)
3. Net Profit/(Loss) for the period before tax
(after exceptional items) (2.76) (13.14) (2.60) (426.35)
4. Net Profit/(Loss) for the period after tax
(after exceptional items) (45.48) (13.16) (1.95) (426.41)
5. Total comprehensive income for the period (45.48) (13.16) (1.95) (426.41)
6. Paid up Equity Share Capital
(Face Value of Rs. 10/- each) 1000.00 1000.00 1000.00 1000.00
7. Earning Per Share (EPS)
- Basic (0.455) (0.132) (0.019) (4.264)
- Diluted (0.455) (0.132) (0.019) (4.264)

Vates

Date: 13.08.2021

Place: Mumbai

The above financial results have been reviewed by the Audited Committee and approved by the Board of Directors at its meeting held on August 13, 2021.

The above extract of the detailed format for Quarterly Financial Results filed with the Stock Exchange under Regulations 33 of the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015. Detailed Quarterly Results in the prescribed format are available on the website of Stock Exchange (www.bseindia.com) and the Company (www.questsoftech.co.in).

K. Rahul Raju

Managing Director

For and on behalf of the Board of Directors Quest Softech (India) Limited Sd/

Akshay Hegde Company Secretary & Compliance Officer

Rashmi Dalmia Date: 13.08.2021 Place: Mumbai Managing Director

NOTICE is hereby given that we, Central Bank of India are acting as Debenture Trustees in terms of a Trust Deed dated 28th, July, 1988 executed with M/s Ambica Mills Limited ("the Company") for securing issue of 15 % Registered Mortgage Debentures of ' 100/- each of the aggregate nominal value of Rs. 2,50,00,000/- (Rupees Two Crore Fifty Lakh Only) issued by the Company The Company went into Liquidation in terms of an Order dated 17th February, 1997 passed by the Gujarat High Court and Liquidator took possession of its assets. The Liquidator of Gujarat High Court has after auctioning the assets of the Company, given to us a sum of Rs. 4,16,80,569.25/-(Rupees Four crore sixteen lakh eighty thousand five hundred sixty nine and twenty five paisa only) towards Debentures. We, in terms of the said Declaration of Trust, after adjusting all costs, fees, charges including legal charges of Rs 5,70,252/are desirous of distributing the balance amount of Rs 4, 11, 10, 317.25 /- to the holders of the aforesaid Debentures. Notice is hereby given that the holders of the aforesaid Debentures should attend our office at the address mentioned below between 11.00 a.m. and 5.00 p.m. on all working days from Monday to Friday alongwith the Original Debenture Certificate, Proof of Identity and Undertaking in specified format against which cheques will be issued after verification. Central Bank of India

e-mail:[email protected] Authorized Signatory
Maharashtra $Sd$ -
Fort, Mumbai-400 001 for CENTRAL BANK OF INDIA
Ground Floor MMO Building
Contrar Dann or mala

AVIVA INDUSTRIES LTD CIN:L51100MH1984PLC034190

Regd.Office: 4th Floor, Jaya Talkies, S.V Road, Opp. Indraprastha, Borivali(W), Mumbai - 400092 Corporate Office : C-3/1001 Anushruti Tower, Nr. Jain Derasar, Opp. New York Tower, Thaltej Cross Road, S.G. Highway, Ahmedabad-380054 Phone: 079-26856815 E-Mail: [email protected] (Rs in Lacs Except Earning Per Share)

Extract of statement of Unaudited Financial Results for the Quarter ended June 30, 2021

"Address: 503 Sri Krishna Complex, Opp. Laxmi Industrieal Estate, New Link Road, Andhen West, Mumbai Maharashtra-400053 Email id: [email protected], website:www.toyamindu (EXTRACT OF STANDALONE & CONSOLIDATED UN-AUDITED FINANCIAL RESULT FOR THE QUARTER ENDED ON 30TH JUNE, 2021) Amount in Lakhs Consolidated Standalone Quarter | Quarter Quarter | Quarter Year ender Year

TOYAM INDUSTRIES LIMITED

-sd-

Authorised Officer

Particulars ended30th June,2021 ended2020 ended30th June, 31st March.2021 ended2021 ended30th June, 30th June.2020 3181March.2021
Un-Audited Un-Audited Audited Un-Audited Un-Audited Audited
Total income from operations 28.88 30.100 an process484.8 28.BB 404.050 484.8
$\overline{c}$ Net Profit/Loss for the Period Before taxand exceptional items 24.34 5.000 31.96 4.54 5.000 31.96
$\overline{3}$ Net Profit/ (Loss)before tax after exceptional items 24.34 5,000 31.96 4.54 5,000 31.96
$\frac{4}{3}$ Net Profit/ (Loss)after Tax and Exceptional Items 43.591 6.690 33.6 4.58 6.690 33.6
5 Total Comprehensive Income 4.58 6.690 33.6 4.58 6.690 33.6
6 Paid-up Equity Share Capital 2,124.90 2,124.90 2,124.90 2.124.90 2,124.90 2.124.90
$\overline{7}$ Earning Per ShareBasic 0.151 0.000 0.020 0.000 0.000 0.020

Diluted 0.151 0.000 0.020 0.000 0.000
Note: The above is an extract of the detailed format of Standalone & Consolidated Quarterly Un-Audited FinancialResults filed with the Stock Exchange under Regulation 33 of the SEBI( Listing and Other Disclosure Requirements)Regulations, 2015. The full financial results are available on Stock Exchange website (www.bseindia.com) and onthe Company 's website www.gromotrade.com
Place: Mumbai For Toyam Industries LimitedSd/-Mohamed Ali BudhwaniManaging Director
Date: 13-08-2021 DIN: 01976253
Nagarjuna Fertilizers and Chemicals LimitedNagarjuna Hills, Hyderabad - 500 082. Website: www.nagarjunafertilizers.comExtract of the Un-audited Standalone and Consolidated Financial Results CIN: L24129TG2006PLC076238 (Rs. in Lakhs)
for the Quarter Ended June 30, 2021
Particulars For theQuarterended StandaloneFor theQuarterended For theYearended For theQuarterended ConsolidatedFor theQuarterended For theYearended
30-06-2021Unaudited 30-06-2020Unaudited 31-03-2021Audited 30-06-2021Unaudited 30-06-2020Unaudited 31-03-2021Audited
64.563.35(14, 644.57) 46,724.59(9,300.76) 159,925.35(51, 226.95) 64,563.50(14, 644, 56) 46,724.82(9,301.05) 159,926.08(51.227.16)
(23, 688.21) (9,300.76) (65, 308.95) (23, 688.20) (9,301.05) (65, 309, 16)
(23, 154.09) (8,533.11) (61, 533, 09) (23, 154.08) (8,533.40) (61, 533, 30)
I income from operations (net)Profit / (Loss) for the period (before Tax,eptional and/or Extraordinary items)Profit / (Loss) for the period before taxr Exceptional and/or Extraordinary items)Profit / (Loss) for the period after taxr Exceptional and/or Extraordinary items)I Comprehensive Income for the periodnprising Profit / (Loss) for the period (after tax)Other Comprehensive Income (after tax)] (23, 154.09) (8,533.11) (61, 592, 23) (23, 154.08) (8,533.40) (61, 592, 44)
Quarter ended Quarter ended Year ended
Sr. Particulars 30.06.2021 30.06.2020 31.03.2021
No. Unaudited. Unaudited Audited
$\overline{1}$ Total income from operations (net) 0.00 0.00 9.50
2 Net Profit / (Loss) for the period (before Tax,
Exceptional and Extraordinary items) $-4.48$ $-3.80$ 0.32
3 Net profit / (Loss) for the period before Tax
(after Exceptional and Extraordinary items) $-4.48$ $-3.80$ 0.32
4 Net Profit / (Loss) for the period after tax (after
Exceptional and Extraordinary items) $-4.48$ $-3.80$ 0.32
5 Total Comprehensive Income for the period
[Comprising Profit / (Loss) for the period (after tax)
and Other Comprehensive Income (after tax)] $-4.48$ $-3.80$ 0.32
6 Equity share capital (face value of INR 10) 149.90 149.90 149.90
$\overline{7}$ Reserve excluding Revalution Reserve 294.33
8 Earning per share (before and after
extraordinary items) $-0.30$ $-0.25$ 0.02
Basic & Diluted:
Notes:
$\mathbf{1}$ The above is an extract of the detailed format of Unaudited Financial Results filled with
the stock exchanges under Regulation 33 of the SEBI (Listing and other Disclosure
Requirements) Regulations 2015. The full format of Quarterly Financial Results are
available on the Stock Exchange website www.bseindia.com and also on the Company's
Website www.avivaindustries.com.
$\overline{2}$ Above results were reviewed by the Audit Committee and approved by the Board of
Directors in their meeting held on August 13, 2021.
By order of the Board
$Sd$ -
Bharvin S Patel
Place: Ahmedabad Chairman and Managing Director
Date: 13-08-2021 DIN: 01962391

जाहीर सू चना
सर्वसामान्य जनतेस येथे सूचना देण्यात येतआहे की, श्रीमती अनुसया साळवी, विठ्ठल
जाहीर नोटीस साळवी यांची पत्नी, प्रौढ, भारतीय नागरिक,आझाद नगर, शिवसागर को-ऑप.हौ.सो.लि.
माझे अशील १. श्री. प्रल्हाद शिवाजी (सदर सोसायटी) चे निवासी व सदस्यत्व
निकम, २. श्री. साहिल शिवाजी निकम,सध्या राहणार ९/६, कामगार नगर, न्यु धारक आहेत, यांनी त्यांचे फ्लॅट क्र.६६४इमारत क्र.३७, शिवसागर, आझाद नगर २,
प्रभादेवी रोड, प्रभादेवी, मुबई-४०० ०२५,याचे वतीने व त्यानी दिलेल्या माहितीनुसार वीरा देसाई रोड, अंधेरी (प.), मुंबई-४०००५३
जाहीर नोटीस देण्यात येते की माझे अशीलयाचे वडील कै. शिवाजी शकर निकम याचे (सदर सदस्य, मुळ भागप्रमाणपत्र व सदरफ्लॅट म्हणून संदर्भ) जागेबाबत सदस्यत्वा
नोंदणीकृत कार्यालय: अपना बाजार, १०६-ए, नायगाव, मुंबई ४०० ०१४.अपना सहकारी दिनाक १००८ १९९९ रोजी व त्याचीआई कै. शालन शिवाजी निकम याचे करिता तपशील खालील अनुसुचीतनमुदप्रमाणे. आयड्रिम फिल्म इन्फ्रास्ट्रक्चर कंपनी लिमिटेड
$\bigoplus_{\mathfrak{so}^{\mathfrak{g}}}$कॉर्पोरेट कार्यालय : अपना बँक भवन, डॉ. एस. एस. राव रोड, परेल,बँक लि.मुंबई ४०० ०१२. फोन : ०२२–२४१६ ४८६० / २४१० ४८६१– ६२/२४११ ४८६३, दिनाक १६.०१.१९९४ खालीलप्रमाणे ज्याअर्थी सदर सदस्याने २५ जुलै, २०२१ (पूर्वीची सॉफ्टबीपीओ ग्लोबल सर्व्हिसेस लिमिटेड)नोंदणीकृत कार्यालय : फ्लॅट क्र.बी.-४५०१ व बी-४६०१, लोधा बेलीसिमो, लोधा पॅव्हिलियन, अपोलो मिल कंपाऊंड,
$\frac{3}{4}$ $\frac{1}{4}$ $\frac{1}{4}$ $\frac{1}{4}$ $\frac{1}{4}$ $\frac{1}{4}$ $\frac{1}{4}$ $\frac{1}{4}$ $\frac{1}{4}$ $\frac{1}{4}$ $\frac{1}{4}$ $\frac{1}{4}$ $\frac{1}{4}$ $\frac{1}{4}$ $\frac{1}{4}$ $\frac{1}{4}$ $\frac{1}{4}$ $\frac{1}{4}$ $\frac{1}{4}$ $\frac{1}{4}$ $\frac{1}{4}$ $\frac{1}{4}$फॅक्स : ०२२ –२४१०४६८०.(मल्टी स्टेट शेड्युल्ड को–ऑप. बँक) अ.क्र नमुद कायदेशीर वारसदार आहेत.नाव वय नाते रोजी सदर सोसायटीकडे मूळभागप्रमाणपत्राऐवजी दुय्यम भागप्रमाणपत्र महालक्ष्मी, मुंबई - ४०० ०११. दुर. क्र.: ०२२-६७४००९०० फॅक्स: ०२२-६७४००९८८
E: [email protected], Website : www.apnabank.co.inआपले भागन् — आपले केँद्र °ताबा नोटीस १ श्री प्रल्हाद शिवाजी निकम, ५१ मुलगा२ कु साहिल शिवाजी निकम, २२ मुलगा वितरणासाठी अर्ज केला आहे आणि कळविलेआहे की, त्यांच्याकडून प्रवासात दिनांक २० वेबसाईट: www.idreamfilminfra.com; ई-मेल: [email protected]सीआयएन: एल५१९००एमएच१९८१पीएलसी०२५३५४
मल्टी स्टेट शेड्युल्ड बैंक माझ्या अशीलाच्या व्यतिरीक्त त्याना इतर ऑक्टोबर, २०२० रोजी हरवले आहे आणि ३० जून २०२१ रोजी संपलेल्या तिमाहीकरीता एकत्रीत अलेखापरिक्षीत वित्तीय निष्कर्षाचा अहवाल रू. लाखात
ज्याअर्थी खाली सही करणार अधिकृत अधिकारी, अपना सहकारी बँक लि. (मल्टी स्टेट शेड्युल्ड को–ऑप. बँक) यांनी त्यांनासिक्युरिटायझेशन अँड रिकन्स्ट्रक्शन ऑफ फायनान्शियल ॲसेटस् अँड एन्फोर्समेंट ऑफ सिक्युरिटी इटरेस्ट ॲक्ट २००२ व सदर वारस हक्काबाबत काहीही हरकती/ कोणीही ईतर वारस नाहीत. ज्या कोणाचे शोध घेऊनही सापडले नाही आणि ज्याअर्थीसदर सदस्य यांनी सदर सोसायटीकडे त्यांचे अ. संपलेली तीमाही एकत्रितसंपलेले वर्ष संपलेली तीमाही
कलम १३(१२) नुसार प्राप्त झालेल्या अधिकारान्वये व सदर कायद्याच्या कलम १३ (२) नुसार कर्जदार श्री. कोंडीबा रामराव आक्षेप असतील त्यानी ही नोटीस प्रसिद्धझालेचे दिवसापासून ७ दिवसाचे आत सदस्यत्वाबाबत खात्री दिली आहे की, त्यांनी क्र तपशिल ३०/०६/२०२१ ३१/०३/२०२१ ३०/०६/२०२० अलेखापरिक्षीत लेखापरिक्षीत । अलेखापरिक्षीत
गायकवाड (कर्जदार/गहाणखतदार) सौ जया कोंडीबा गायकवाड (सह कर्जदार/ गहाणखतदार) श्री बाळासाहेब बबन पांचाळ माइया खालील पत्त्यावरती व मा तहसीलदार कार्यालय, ओल्ड कस्टम सदर मूळ भागप्रमाणपत्राच्या आधारावर सदरफ्लॅट बाबत कोणतेही विक्री, हस्तांतर, तारण, कार्यचलनातून एकूण उत्पन्न (निव्वळ) 0.07
(जामीनदार), श्री साईनाथ हनुमत दळवी (जामीनदार), हयाना दि. ११/०५/२०२१ रोजी मागणी नोटीस पाठवून द ि३०/०४/२०२१) रोजी येणे असलेली रक्कम रू. २०,२२,९४५.८३ (रुपये वीस लाख बावीस हजार नऊशे पचेचाळीस व पैसे हाऊस, फोर्ट, मुंबई आणि मुख्यअधिकारी, म्हाडा गृहनिर्माण भवन, वाद्रे बक्षीस, अदलाबदल या प्रकारे कोणताहीव्यवहार केलेला नाही. आणि/किंवा विशेष साधारण बाबपूर्व) कालावधीकरिता निव्वळ नफा(+) तोटा(–)(कर, अपवादात्मक (8.89) (33.55)
त्र्याऐंशी फक्त) अधिक दि. ०१/०५/२०२१ पासून देय दिनाकापर्यंत त्यावरील पुढील होणारे व्याज इत्यादीचे, सदर नोटीस पुर्व, मुबई याच्याकडे लेखी कळवावी म्हणून खालील स्वाक्षरीकर्ता जे सदर करपूर्व निव्वळ नफा(+)/तोटा(-)(अपवादात्मक आणि/किंवा विशेष (33.33)
प्रसिद्ध झाल्यापासून ६० दिवसांचे आत भरणा करण्याची मागणी केली होती.संबंधित कर्जदार व वर उल्लेखिलेले इतर, पूर्ण रकमेचा भरणा करू न शकल्याने सर्व सामान्य जनता, खासकरुन कर्जदार व वर दिनाकः १४ ०८ २०२१सही/ सोसायटीच्या समितीद्वारे प्राधिकृत करूनयेथे श्रीमती अनुसया साळवी यांच्या वतीने साधारण बाबनंतर` करानंतर कालावधीकरिता निव्वळ नफा(+)/तोटा(-) (अपवादात्मक (8.89) (33.55) (88.88)
उल्लेखिलेले इतराना सूचना देण्यात येते की, खाली सही करणार यानी त्याना कलम १३ (४) व नियम ९ नुसार प्राप्त श्री. विनायक जोतिबा फडकेवकील ऊच्च न्यायालय सूचित करीत आहे की, त्या सदरसोसायटीच्या सदस्या आहेत आणि जर कोणा आणि/किंवा विशेष साधारण बाबनंतर) (8.89) (33.55) (93.89)
अधिकारान्वये खाली उल्लेखिलेल्या मालमत्तेचा साकेतिक ताबा दि. १० ऑगस्ट २०२१ रोजी घेतला आहे.वर उल्लेखिलेले कर्जदारास व इतरास आणि सर्व सामान्य जनता याना जाहीर सावधानतेची सूचना देण्यात येते की त्यानी खाली कार्यालय न. ०१, रविकीरण साफल्य व्यक्तीस सदर सदस्यासह मु ळ कालावधीकरिता एकूण सर्वकष उत्पन्न (कालावधीकरिता सर्वकषनफा/(तोटा) (करानेंतर) आणि इतर सर्वकष उत्पन्न (करानंतर))
उल्लेखिलेल्या मालमत्तेसबधात कोणताही व्यवहार करू नये. जर असा कोणताही व्यवहार केला गेला तर तो अपना सहकारी बँक बिल्डींग, पहिला मजला, ना. म. जोशी मार्ग,लोअर परेल, करी रोड, मुबई– ४०० ०१३. भागप्रमाणपत्राच्या आधारावर कोणताहीविक्री, हस्तांतर, तारण, बक्षीस, समभाग भांडवल १५.०० १५.०० १५.००
लि. (मल्टी स्टेट शेड्युल्ड को–ऑप. बँक) या बँकेच्या दि. ३०/०४/२०२१ रोजी येणे असलेली रक्कम रू. २०,२२,९४५.८३ अदलाबदलबाबत व्यवहार करावयाचा राखीव(मागील वर्षाच्या ताळेबंदपत्राकानुसार पुर्नमुल्यांकित राखीव वगळून)उत्पन्न प्रतिभाग (रू.१०/– प्रत्येकी) (खंडीत व अखंडीत (38.35)
(रुपये वीस लाख बावीस हजार नऊशे पचेचाळीस व पैसे त्र्याऐंशी फक्त) अधिक दि. ०१.०५.२०२१ पासून देय दिनाकापर्यंतत्यावरील पुढील होणारे व्याज इत्यादीचे बोजा सहीत असेल. जाहिर सुचना मी, श्रीमती सुशीला रमेश शाह राहणार असल्यास आणि सदर सदस्याचे हित बाबतसदर फ्लॅटमधील कोणतेही अधिकार, हक्क, कार्यचलनासाठी)
मिळकतीवरील बोजा कर्जफेड करुन उतरवून घेण्यासाठी उपलब्ध वेळेबाबत कर्जदाराचे ध्यान सरफेसी कायद्याच्या कलम १३ 5/४४, मोतीलाल नगर नं. ३, एम.जी. हित धारक असल्यास किंवा ताबा असल्यासत्यांनी सदर फ्लॅटसंबंधी कोणतेही हकूमनामा मूळसौमिकृत (5.38)(5.3) (94.98)(84.98) (6.88)(6.88)
उपकलम ८ कडे आकर्षित करण्यात येते. रोड, गोरेगाव (वेस्ट), मुंबई- ४०००९०.जाहीर करते की माझे पति रमेश शिवलाल प्रदानता किंवा आदेश प्राप्त करण्याची प्रक्रिया कंपनीच्या एकल निकालांच्या संदर्भात, रक्कम खालीलप्रमाणे आहेत : रू. लाखात
अचल आणि चल मालमत्तेचे वर्णन.जि ठाणे, कल्याण सब रजि़ हद्दितील, गांव निलजे, डोंबीवली (पू), कल्याण शीळ रोड, लोढा हेवन, आशिष ए.बी.सी. को. ऑप, शाह यांचा मृत्यु दि. १६/१२/२०२० रोजी किंवा कोणताही दावा, खटला, विवाद,याचिका, आवाहन करावे किंवा ज्यांना सदर अ. संपलेली तीमाही
हाऊ,सोसा लि. मधील चंद्रेश आशिष इमारतीमधील ४१५ चौ . फू. क्षेत्रफळाचा, तळमजल्यावरील ए/००४ क्रमाकाचा स्वयपुर्ण झाला. त्यांचे नावावर BAJAJ AUTO RE COMPACT फ्लॅटमधील अधिकारासाठी वर प्रक्रियाकरण्याची इच्छा असेल त्यांनी त्यांचे आक्षेप क्र. तपशिल ३०/०६/२०२१ ३१/०३/२०२१ ३०/०६/२०२०अलेखापरिक्षीत लेखापरिक्षीत अलेखापरिक्षीत
फ्लॅट. (MH02CT1118)CHASSIS NO. व दावे लेखी स्वरुपात आवश्यक कागदोपत्री वहीवाटकरापूर्वी नफा 0.06 0.06 0.06
दिनाक : १४/०८/२०२१(मजकूरात सदिग्धता असल्यास इंग्रजी मजकूर ग्राह्य मानावा)ठिकाण ः मुबई अधिकृत अधिकारी,अपना सहकारी बँक लि., MD2A44AZ9LWF11198 पुराव्यांसह खालील स्वाक्षरीकर्ताकडे सदरसूचना प्रकाशन तारखेपासून १५ दिवसांत करानंतर नफा (3.45)(3,45) 8.888.88 (88.00)(88.00)
ऑटो रिक्षा रजीस्टर्ड आहेत. ज्याचे कानुन वारिस मी आहे आणी माझे नावावर ट्रान्सफर कळवाव, अन्यथा सदर सांसायटीकडून अससमजले जाईल की, कोणताही दावा किंवा ाटप :
करण्यासाठी R.T.O. BORIVALI येथे अर्ज आक्षेप अस्तित्वात नाही आणि सदर १ वरील सेबीच्या (लिस्टिंग ओबलिगेशन्स ॲण्ड डिस्क्लोजर रिकायरमेंट्स) रेग्युलेशन, २०१५च्या नियमन ३३ अंतर्गतस्टॉक एक्सचेंजसह सादर केलेल्या अलेखापरिक्षीत वित्तीय निष्कर्षाचा विस्तृत स्वरुपाचा विस्तृत स्वरूपनाचा ए
नोंदणीकृत कार्यालय: अपना बाजार, १०६-ए, नायगाव, मुंबई ४०० ०१४.अपना सहकारी$\bigoplus$कॉर्पोरेट कार्यालय : अपना बँक भवन, डॉ. एस. एस. राव रोड, परेल, किला आहे. जर कोणाला काही हरकतअसल्यास त्यांनी १५ दिवसांचे आत R.T.O. सोसायटी व त्यांचे सर्व सदस्य,कार्यालयधारक प्रतिनिधी व चाकर हे सदर त्रैमासिक अलेखापरिक्षीत वित्तीय निकालांचे पूर्ण स्वरूप स्टॉक एक्सचेंज (www.bseindia.com) आणि कंपनीच्यावेबसाइटवर (www.idreamfilminfra.com) उपलब्ध आहेत.
बँक लि.मुंबई ४०० ०१२. फोन : ०२२–२४१६ ४८६० / २४१० ४८६१– ६२/२४११ ४८६३, BORIVALI येथे संपर्क करावा मूळ भागप्रमाणपत्र दायित्वातून मुक्तअसतील आणि सदर सोसायटीकडून त्यांच्या १ मागील तीमाहीची आकडेवारी त्यांची तुलना करण्यासाठी आवश्यक असलेल्या ठिकाणी पुन्हा एकत्रित/पुर्नरचना केली गेली आहे.१ सेबीच्या (लिस्टिंग ओबलिगेशन्स ॲण्ड डिस्क्लोजर रिकायरमेंट्स) विनियम, २०१५ च्या नियमन ३३ अंतर्गत १३ ऑगस्ट,
HUIT Trapअपना सहकारी बैंक लि.APNA SAHAKARI RAYK LTD.फॅक्स : ०२२ –२४१०४६८०.(मल्टी स्टेट शेड्यूल्ड को-ऑप. बँक)E: [email protected], Website : www.apnabank.co.in जाहीर नोटीस विनंतीनुसार सदर सदस्यास दुय्यम २०२१ रोजी झालेल्या बैठकीत वरील निकालांचे पुनरावलोकने व लेखापरीक्षण समितीने शिफारस केली असून संचालक
भागप्रमाणपत्र वितरणाची प्रक्रिया करतील मंडळाने त्यास मान्यता दिली
S ma gi … Sma gi बैंद ® माझे अशील १ श्रीमती इंदिरा श्रीपत
ताबा नोटीस.मल्टी स्टेट शेड्युल्ड बँक गुरव, २. श्री. अनिल श्रीपत गुरव, याची नोंद घ्यावी..भागप्रमाणपत्राचे वर्णन: भागप्रमाणपत्र क्र.८, आयड्रिम फिल्स इन्फ्रास्ट्रक्चर कंपनी लिमिटेडकरिता(पूर्वीची सॉफ्टबीपीओ ग्लोबल सर्व्हिसेस लिमिटेड)
ज्याअर्थी खाली सही करणार अधिकृत अधिकारी, अपना सहकारी बँक लि. (मल्टी स्टेट शेड्युल्ड को–ऑप. बँक) यानी त्यांनासिक्युरिटायझेशन अँड रिकन्स्ट्रक्शन ऑफ फायनान्शियल ॲसेटस् अँड एन्फोर्समेंट ऑफ सिक्युरिटी इंटरेस्ट ॲक्ट २००२ व ३ श्री चंद्रकात श्रीपत गुरव, ४ सौलक्ष्मी चंद्रकांत गुरव ५ सौँ निकिताबेन दिनांक २५.०१.१९८४, आझाद नगर.शिवसागर को-ऑप.ही.सो.लि., आझाद नगर
कलम १३(१२) नुसार प्राप्त झालेल्या अधिकारान्वये व सदर कायद्याच्या कलम १३ (२) नुसार कर्जदार – मे. मोती जिग्नेशभाई गोहिल, सध्या राहणार सी/०५, सहकार नगर, जेरबाई वाडीया २, वीरा देसाई रोड, अंधेरी पश्चिम, मुंबई- ठिकाण : मुबई कल्पना एस. मोराखियाव्यवस्तापकीय संचालक
इलेक्ट्रिकल्स – श्री सुरेंद्र परशुराम सुखरामणी (मालक/ कर्जदार/ गहाणखतदार), सौ. अपर्णा सुरेंद्र सुखरामणी (सहकर्जदार/गहाणखतदार) श्री अनिल साधुराम सुखरामणी (जामिनदार) श्री मनिष ए. हरजानी (जामीनदार) हयाना दि रोड, परेल, भोईवाडा, मुंबई-४०० ०१२,याचे वतीने व त्यांनी दिलेल्या माहितीनुसार ४०००५३, अनुक्रमांक ३६ ते ४० धारकरु.५०/- प्रत्येकीचे ५ शेअर्स. दिनांक:१३ ॲगस्ट,२०२१ डीआयएन: ००३३६४५१
१२/०४/२०२१ रोजी मागणी नोटीस पाठवून दि. ३१.०३.२०२१ रोजी येणे असलेली रक्कम रू. ६६,९२,७६७.१९ (रुपये जाहीर नोटीस देण्यात येते की माझे अशीलयाचे कै वडील लक्ष्मण बाबा गुरव याचे
सहासष्ठ लाख ब्याण्णव हजार सातशे सद्संष्ठ व पैसे एकोणीस फक्त) अधिक दि. ०१/०४/२०२१ पासून देय दिनाकापर्यंतत्यावरील पुढील होणारे व्याज इत्यादीचे, सदर नोटीस प्रसिद्ध झाल्यापासून ६० दिवसाचे आत भरणा करण्याची मागणी केली दिनाक १२ ०३ १९९० रोजी निधन झाले SURYODAY SMALL FINANCE BANK LIMITED
होती. आहे त्याच्या मृत्युपश्चात खालीलप्रमाणेनमुद कायदेशीर वारसदार आहेत. Sharda Terraces, Plot No. 65, Sector-11, CBD Belapur, Navi Mumbai-400 614 Website: https://www.suryodaybank.com, Tel.: (022)4043 5800 CIN: U65923MH2008PLC261472 SURYODAY A BANK OF SMILES
संबंधित कर्जदार व वर उल्लेखिलेले इतर, पूर्ण रकमेचा भरणा करू न शकल्याने सर्व सामान्य जनता, खासकरुन कर्जदार व वरउल्लेखिलेले इतराना सूचना देण्यात येते की, खाली सही करणार यानी त्याना कलम १३ (४) व नियम ९ नुसार प्राप्त अ.क्र नाव१ श्रीमती इदिरा श्रीपत गुरव, ७३ पत्नी वय नाते UNAUDITED FINANCIAL RESULTS FOR THE QUARTER ENDED JUNE 30, 2021 Segment information in accordance with the Accounting Standard 17 - Segment Reporting o
अधिकारान्वये खाली उल्लेखिलेल्या मालमत्तेचा प्रत्यक्ष ताबा दि. ११ ऑगस्ट २०२१ रोजी घेतला आहे. २ श्री अनिल श्रीपत गुरव,३ श्री चंद्रकात श्रीपत गुरव, ४६ अविवाहित ४६ मुलगा Sr. Quarter ended (₹ in Lakhs)Year ended the operating segments of the Bank is as under: Quarter ended (₹ in Lakhs)Year ended
वर उल्लेखिलेले कर्जदारास व इतरास आणि सर्व सामान्य जनता याना जाहीर सावधानतेची सूचना देण्यात येते की त्यानी खार्लउल्लेखिलेल्या मालमत्तेसबधात कोणताही व्यवहार करू नये. जर असा कोणताही व्यवहार केला गेला तर तो अपना सहकारी बँक Particulars Unaudited 30 06 2021 31 03 2021 30 06 202Audited Unaudited 31 03 2021Audited Particulars Unaudited 30.06.2021 31.03.2021 30.06.2020 31.03.2021Audited Unaudited Audited
लि. (मल्टी स्टेट शेड्युल्ड को–ऑप. बँक) या बँकेच्या दि. ३१/०३/२०२१ रोजी येणे असलेली रक्कम रू. ६६,९२,७६७.१९ गोहिल ४. सौ. लक्ष्मी चंद्रकांत गुरव, ४४ मुलगी५. सौ. निकिताबेन जिग्नेशभाई ४० मुलगी (Refernote 3) (Refernote 3)
(रुपये सहासष्ठ लाख ब्याण्णव हजार सातशे सद्सष्ठ व पैसे एकोणीस फक्त)अधिक दि. ०१/०४/२०२१ पासून देय माझ्या अशीलाच्या व्यतिरीक्त त्याना इतर 1 Interest Earned (a)+(b)+(c)+(d)a) Interest / discount on advances / bills 21,5718,498 15,18012,189 21,93419,682 77,61466,611 Segment Revenuea) Treasury 4.092 3,012 3,926 14,676
दिनाकापर्यंत त्यावरील पुढील होणारे व्याज इत्यादीचे बोजा सहीत असेल.मिळकतीवरील बोजा कर्जफेड करुन उतरवून घेण्यासाठी उपलब्ध वेळेबाबत कर्जदाराचे ध्यान सरफेसी कायद्याच्या कलम १३ कोणीही ईतर वारस नाहीत. ज्या कोणाचेसदर वारस हक्काबाबत काहीही हरकती/ b) Income on investmentsc) Interest on balances with Reserve 2,495 2,454 1,589 8,437 b) Retail Bankingc) Corporate 22,119974 16,885 21,902754 80,903
उपकलम ८ कडे आकर्षित करण्यात येते आक्षेप असतील त्यानी ही नोटीस प्रसिद्धझालेचे दिवसापासुन ७ दिवसाचे आत Bank of India and other inter bank 572 534 659 2,529 d) Other Banking Operations 94 1,638142 59 4,129405
अचल आणि चल मालमत्तेचे वर्णन माझ्या खालील पत्त्यावरती व मा.तहसीलदार कार्यालय, ओल्ड कस्टम d) Others2 Other Income 2,283 3,456 2,12 379,949 e) UnallocatedTotal 27,279 21,677 26,641 1,00,113
उल्हासनगर महापालिका हद्दितील मिळकत, उहासनगर, सिटीएस नं ११४७८ वरील, ७१६ चौ.फूटाचा,( चटई क्षेत्र ) फ्लॅटन. ४०१, चौथा मजला,गुरुअश रेसिडेन्सी, प्लॉट यु.न. ९१,९२,९५ (भाग), शीट न. २३, पंजाबी कॉलनी, गुरुद्वारा समोर, हाऊस, फोर्ट, मुबई आणि मुख्य $3$ Total Income $(1)+(2)$4 Interest Expended5 Operating Expenses (i)+(ii) 23,8549,2239,235 18,6369,4589,701 24,0558,526,954 87,56336.56532,864 Less: Inter Segment RevenueIncome from Operations (3, 425)23,854 (3,041)18,636 (2, 586)24.055 (12, 550)87,563
उल्हासनगर ३, ज़ि ठाणे, यासी चतुःसीमा पुढीलप्रमाणे अधिकारी, म्हाडा गृहनिर्माण भवन, वाद्रेपुर्व, मुबई याच्याकडे लेखी कळवावी. Employees costOther operating expenses 5,1804,055 5,2284,473 4,4142,540 18,58414,280 Segment Results
।पूर्वेस—पॅसेज, पश्चिमेस—पॅसेज, उत्तरेस— प्लॉट न . २३८, दक्षिणेस— पॅसेज दिनाकः १४ ०८ २०२१सही/ 6 Total Expenditure (4)+(5) (excludingProvisions and Contingencies) 18,458 19,159 15,475 69,429 a) Treasuryb) Retail Banking 405(6, 119) (1,008)(4, 548) 7242,717 704764
अधिकृत अधिकारी, श्री. विनायक जोतिबा फडकेवकील. उच्च न्यायालय Operating Profit before Provisionsand Contingencies (3)-(6) 5,396 (523) 8,580 18,134 c) Corporated) Other Banking Operations 150 (112) (169) 71
दिनांक : १४/०८/२०२१(मजकूरात सदिग्धता असल्यास इंग्रजी मजकूर ग्राह्य मानावा)ठिकाण : मुबई अपना सहकारी बँक लि. कार्यालय न ०१, रविकीरण साफल्यबिल्डींग, पहिला मजला, ना. म. जोशी मार्ग. 8 Provisions (other than tax) andContingencies 11,079 5,273 5,358 16,924 e) UnallocatedTotal Profit Before Tax (119)(5,683) (128)(5,796) (50)3,222 (329)1,210
लोअर परेल, करी रोड, मुंबई- ४०० ०१३ 9 Exceptional Items10 Profit / (Loss) from Ordinary Seament Assets
SWARNSARITA GEMS LIMITED Activities before tax (7)-(8)-(9)1 Tax Expense2 Net Profit / (Loss) from Ordinary (5,683)(911 (5,796)(1, 495) 3,222564 1,21024 a) Treasuryb) Retail Banking 2,59,3583,70,613 2,32,4023,92,341 1,96,9213,50,697 2,32,4023,92,341
CIN: L36911MH1992PLC068283 Activities after tax (10)-(11)3 Extraordinary items (net of tax expense) (4, 772) (4, 301) 2,658 1,186 c) Corporated) Other Banking Operations 35,307284 37,887281 27,320435 37,887281
Regd. Office: 10, 1st Floor, Plot 40/42, Ruby Chambers, Dhanji Street, Zaveri Bazar, Mumbadevi, Mandvi Mumbai-400003Tel. No.: 022-43590000 Fax No.: 022- 43590010 E-mail: [email protected] Website: www.swarnsarita.com 14 Net Profit / (Loss) for the period(12) (13) (4, 772) (4, 301) 2,658 1,186 e) UnallocatedTotal 9,764 8,2886,75,326 6,71,199 5,80,717 6,71,199 5,344 8,288
EXTRACT OF UNAUDITED FINANCIAL RESULTS FOR QUARTER ENDED JUNE 30, 2021 (Rs. in Lakhs) 15 Paid up equity share capital(Face Value of 10/- each) 10,613 10,613 8,899 10,613 Segment Liabilities
Particulars Quarter ended Quarter ended STANDALONE Year ended on Quarter ended Quarter ended CONSOLIDATED Year ended on 16 Reserves excluding revaluation reserves17 Analytical Ratios 1,49,077 a) Treasuryb) Retail Banking 1,57,2543,59,036 1,57,1563,51,702 1,53,9573,07,184 1,57,1563,51,702
on 30.06.2021Unaudited on 30.06.2020Unaudited 31.03.2021Audited on 30.06.2021Unaudited on 30.06.2020Unaudited 31.03.2021Audited (i) Percentage of shares held byGovernment of India Νì c) Corporated) Other Banking Operations 3,596364 2,393194 3,51670 2,393194
Total income from operations (net)Net Profit / (Loss) for the period 12293.55 523.43 57975.82 12277.94 526.93 57978.29 (ii) Capital Adequacy Ratio(iii) Earnings per share (EPS)(Face Value of 10/-each) 52.10% 51.47% 36.41% 51.47% e) UnallocatedTotal 6 45,20,280 5,11,509 3264,65,053 645,11,509
(before tax, Exceptional and/or extraodinary items)Net Profit / (Loss) for the period before tax 189.60 (36.08) 845.93 170.38 (56.65) 791.66 (a) Basic EPS before & afterextraordinary items (net of tax Capital Employed
(after Exceptional and/or extraodinary items)Net Profit / (Loss) for the period after tax 189.60 (36.08) 845.93 170.38 (56.65) 791.66 expense) - not annualized(b) Diluted EPS before & after (4.50) (4.80) 3.03 1.32 (Segment Assets - Segment Liabilities)a) Treasury 1,02,104 75,245 42,964 75,245
(after Exceptional and/or extraodinary items)total comprehensive income for the period [(comprising Profit/(Loss) 189.60 (36.08) 601.62 170.38 (56.65) 547.51 extraordinary items (net of taxexpense) - not annualized (4.48) (4.76) 2.96 1.31 b) Retail Bankingc) Corporate 11,57731,71 40,64035,493 43,51323,804 40,64035,493
for the period (after tax) and other comprehensive income (after tax)]Paid up Equity Share Capital (Face Value of Rs. 10/- each fully paid up) 189.602083.76 (36.08)2083.76 633.752083.76 170.382083.76 (56.65)2083.76 579.652083.76 (iv)NPA Ratios(a) Gross NPAs 38,109 39,368 9,965 39,368 d) Other Banking Operations (80) 87 365 87
Reserves (excluding Revaluation Reserve as shown in the (b) Net NPAs(c) % of Gross NPAs to Gross Advances 16,9639.52% 18,8129.41% 1,8302.82% 18,8129.41% e) UnallocatedTotal 9,7341,55,046 8,2251,59,690 5,0181,15,664 8,2251,59,690
Balance Sheet of previous year)Earnings Per Share (before & after extraordinary items)(face value of Rs. 10/- each) (d) % of Net NPAs to Net Advances(v) Return on assets (average) -not annualized 4.47%$(0.71%)$ 4.73%$(0.66%)$ 0.53%0.48% 4.73%0.20% Inter-segment revenue is based on internally approved yield curve or at an agreed transferrate on the funding provided by one business segment to another. Transaction cost is leviedbetween segments on cost plus basis.
STANDALONE CONSOLIDATED
Particulars Quarter endedon 30.06.2021Unaudited Quarter endedon 30.06.2020Unaudited Year ended on31.03.2021Audited Quarter endedon 30.06.2021Unaudited Quarter endedon 30.06.2020Unaudited Year ended on31.03.2021Audited
Total income from operations (net) 12293.55 523.43 57975.82 12277.94 526.93 57978.29
Net Profit / (Loss) for the period
(before tax, Exceptional and/or extraodinary items) 189.60 (36.08) 845.93 170.38 (56.65) 791.66
Net Profit / (Loss) for the period before tax
(after Exceptional and/or extraodinary items) 189.60 (36.08) 845.93 170.38 (56.65) 791.66
Net Profit / (Loss) for the period after tax
(after Exceptional and/or extraodinary items) 189.60 (36.08) 601.62 170.38 (56.65) 547.51
total comprehensive income for the period [(comprising Profit/(Loss)
for the period (after tax) and other comprehensive income (after tax)] 189.60 (36.08) 633.75 170.38 (56.65) 579.65
Paid up Equity Share Capital (Face Value of Rs. 10/- each fully paid up) 2083.76 2083.76 2083.76 2083.76 2083.76 2083.76
Reserves (excluding Revaluation Reserve as shown in the
Balance Sheet of previous year)
Earnings Per Share (before & after extraordinary items)
(face value of Rs. 10/- each)
Basic:a) 0.91 (0.17) 2.88 0.82 (0.28) 2.62
Diluted:b) 0.91 (0.17) 2.88 0.82 (0.28) 2.62

Notes:The above is an extract of the detailed format of Quarterly/ Yearly Financial Result filed with the Stock Exchange under Regulation 33 of the SEBI (Listing and Other DisclosureRequirements) Regulation 2015. The ful are also available on the Company website i.e www.swarnsarita.com For SWARNSARITA GEMS LIMITED Sd/-Mahendra Chordia

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Sd/-
SUUNY MAHENDRA CHORD
9 lace: Mumbai WHOLETIME DIRECTOR
)ate: 13.08.2021 DIN: 06664041

डेटामॅटिक्स ग्लोबल सर्व्हिसेस लिमिटेड

नोंदणीकृत कार्यालय : नॉलेज सेंटर, प्लॉट क्र. ५८, पथ क्र. १७ एमआयडीसी, अंधेरी (पू.), मुंबई – ४०० ०९३.सीआयएन : L72200MH1987PLC045205 दूर. क्र. : + ९१ २२ ६१०२००००/१/२ फॅक्स क्र. : + ९१ २२ २८३४३६६९ वेबसाइट : www.datamatics.c दि. ३०.०६.२०२१ रोजी संपलेल्या तिमाहीकरिताचे अलेखापरीक्षित वित्तीय निष्कर्ष

(रु. दशलक्षांमध्ये)

स्थायी एकत्रित
अ. तपशील तिमाहीअखेर वर्षअखेर तिमाहीअखेर
क्र. 30.05.98 39.03.99 96.05.70 39.03.98 30.05.78 $38.03.78$ 30.05.70 38.03.98
अलेखापरीक्षित लिखापरीक्षित अलेखापरीक्षित लिखापरीक्षित अलेखापरीक्षित लेखापरीक्षित अलेखापरीक्षित लेखापरीक्षित
परिचालनातून एकूण उत्पन्न (निव्वळ) १,३०६.०७ १,२५६.३१ 8.069.86 ४,५७६.६३ $R, C$ 1919.88 $R, C$ 3 $R.80$ $7,000.88$ $88,880.43$
करपूर्व सामान्य कामकाजातून निव्वळ नफा (+)/ (तोटा) (-) 409.86 842.90 88.60 ७६४.९९ 82.38 384.08 १९५.७७। १,०९३.६३
करपश्चात कालावधीकरिता निव्वळ नफा (+)/ (तोटा) (-) ३९८.७९ ३२०.१९ 63.80 ५६३.१० 383.88 २८६.८७ १४०.५३ 680.88
करपश्चात कालावधीकरिता (अ-नियंत्रित व्याजापश्चात) निव्वळ नफा (+)/ (तोटा) (-) ३९८.७९ ३२०.१९ ६४७ ५६३.१० ३९५.८९ २८६.६० १३५.०७ ७९७.४६
۱५ अन्य सर्वसमावेशक उत्पन्न 880.80 88.86 १२.२९ २८.१६ 55.00 २३१.३३ १९.१७ 888.08
कालावधीकरिता एकूण सर्वसमावेशक उत्पन्न ५३९.१९ ३३१.३७ ७५.७६ ५९१.२६ 80.555 ५१८.२० १२१.३६ 8.068.84
। ७ प्रदानित समभाग भांडवल (प्रतिशेअर रु. ५/- दर्शनी मूल्य २९४.७५ २९४.७५ २९४.७५ २९४.७५ २९४.७५ २९४.७५ २९४.७५ २९४.७५
राखीव ((पुनर्मूल्यांकन राखीव वगळता) गत लेखा वर्षाच्या ताळेबंदामध्ये दर्शविल्यानसार एनए एनए एनए एनए एनए एनए एनए एनए
उत्पन्न प्रतिशेअर (ईपीएस)
- मूलभूत 30.3 4.83 8.06 ९.५५ 90.3 33.8 २.२९ 83.43
– सौम्यीकत ,३७.,३ 4.83 8.06 ९.५५ ६.७२ 33.8 २.२९ १३.५३

टीपा

:वरील विवरण हे सेबी (सूची अनिवर्षता व विमोचन आवश्यकता) विनियमन २२४५ च्या विनियमन ३३ अलंक अलंका अलंका अलंका आलेनिष्कर्षांच्या विस्तृत प्राप्ता आलं. वित्तीय वर्ष २०२१–२२ च्या १ ल्या तालालीलता अलंखारीहित विनियम संस्कृति स वेबसाइट www.datamatics.com वर उपलब्ध आहे.

डेटामॅटिक्स ग्लोबल सर्व्हिसेस लिमिटेड करिता रहरारा स्मान्ट्ड न्यारता–/सहीराहूल एल. कनोडियाउपाध्याक्ष व सीईओ ठिकाण : मुंबईदिनांक : १३.०८.२०२१

otes :Statement of Assets and Liabilities as at June 30, 2021 is given below:(र in Lakhs) Votes

$\cup$ $\cup$ $\cup$ $\alpha$ N $\cup$
Particulars As at As at30.06.2021 30.06.2020 31.03.2021 As at
Unaudited Unaudited Audited
CAPITAL AND LIABILITIES
Capital 10.613 8.899 10.613
Reserves and Surplus 1.44.433 1,06,766 1,49,077
Deposits 3,31,703 2,86,873 3,25,568 6
Borrowings 1.66.828 1,51,774 1.66.662
Other Liabilities and Provisions 21,749 26,405 19,279
Total 6,75,326 5,80,717 6,71,199
ASSETS
Cash and Balances with Reserve Bank
of India 13,914 7.229 10,280
Balances with Banks and Money at Call
and Short notice 67.345 84.194 49,384
Investments 1,88,266 1,12,342 1,87,370
Advances 3,79,349 3,43,348 3,98,277
Fixed Assets 4,202 3.872 4,323
Other Assets 22,250 29.732 21,565
Total 6.75.326 5.80.717 6.71.199

The above financial results have been reviewed by the Audit Committee of the Board and approved by the Board of Directors at its meeting held on August 12,2021. The financial results for the quarter ended June 30, 2021 have been subjected to "Limited Review" by the statutory auditors of the Bank. Their report

  • between audited figures in respect of the financial year 2020-21 and the yearto date figures upto December 31, 2020.
  • The Bank has applied its significant accounting policies in the preparation of these financial results that are consistent with those followed in the annual financial statements for the year ended March 31, 2021.
  • manual statements for the year entered on COVID-19 partient, the Indian Governmentconsequent to the outlinear of the COVID-19 partient, the Indian Governmentannounced a lockdown in March 2020. Subsequently, the national significant surge of COVID-19 cases following the discovery of mutant coronavirus variants.

The impact of COVID-19, including changes in customer behaviour consequent to pandemic fears, as wellas restrictions on business and individual activities, has led to significant volatility in global and Indian financial nuative and a symbol calcenase in loan originations and the sale of third party products and the efficiencyin collection efforts. This may lead to a rise in the number of customer defaults and consequently, anincrease in and any action to contain its spread or mitigate its impact when government-mandated or voluntary.Details of resolution plan implemented under the Resolution Framework for COVID-19-related Stress asper RBI circular dated

(₹ in crore except number of accounts)
(A) (B) (C) (D) E)
Type of Borrower Number of Exposure to Of $(B)$ , Additional Increase in
accounts accounts aggregate funding provisions on
where mentioned at amount of sanctioned, if account of
resolution plan (A) before debt that anv. including the
has been implementation was between implementation
implemented of the plan converted invocation of of the
under this into other the plan and resolution *
window securities implementation
Personal Loans 11 2.19 $\blacksquare$ $\blacksquare$ 0.22
Corporate persons $\blacksquare$ $\blacksquare$
Of which, MSMEs ۰
Others ۰.
Total 2.19 ۰. ۰ 0.22

* Provisions held as on June 30, 2021

thereon is unmodified.The figures for the quarter ended March 31, 2021 are the balancing figures 7 Other income include processing fees, profit on sale of investment securities, income on dealing in priority sectorThe fi lending certificate etc.

  • lending certificate etc. 8 The Capital adequacy ratio ("CRAR") has been computed as per operating guidelines for Small Finance Banks 1 accordance with RBI Circular No. RBI/2016-17/81 DBR.NBD.No. 26/16.13.218/2016-17 date
  • vera runners has been restated. 9 In accordance with RBI guidelines on 'Basel II' Capital Regulations', read together with the RBI circular date 10 In accordance with RBI guidelines on 'Basel II' Capital Regulations', re
  • period's classification. For Suryoday Small Finance Bank Limited

Sd/

Baskar Babu Ramachandran Managing Director and CEO

Place: Navi Mumbai Date: August 12,2021