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DCW Ltd. Earnings Release 2021

Nov 3, 2021

63614_rns_2021-11-03_7b2beea9-7966-4d4f-9b48-5ca8d9fd7b5f.pdf

Earnings Release

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November 03, 2021
To,
National Stock Exchange of India Ltd. The BSE Limited
Exchange Plaza Bldg. Department of Corporate Services,
5th Floor, Plot No.C-1 15t floor, New Trading Ring
'G' Block, Near Wockhardt, Rotunda Building,
Bandra Kurla Complex Phiroze Jeejeebhoy Towers,
Mumbai 400 051. Dalal Street, Mumbai- 400 001.
Fax:26598237 /38 Fax : 22723121/3719/ 2037/2039
Symbol: DCW Scrip Code500117:
Dear Sir(s)/ Madam,
Sub: Newspaper Publication - Financial Results
PursuanttotheprovisionsofRegulationDisclosure Requirements) Regulations, 2015, please find enclosed herewith extractsof theUn-auditedFinancialResultsfortheSeptember 30, 2021, approved by the Board of Directors of the Company at theirmeeting held on November 02, 2021, published in the newspapers viz. FinancialExpress (English) and Financial Express (Gujarati). 47ofSEBI(ListingObligationsandsecondquarter& half year ended
This is for your information and records.
Thanking You,Yours faithfully,
For DCW biped
Sr. General Manager (Legal) & Company SecretaryMembership No. ACS-22527
DCW LIMITED

Sub: Newspaper Publication - Financial Results

For DCW biped

HEAD OFFICE : "NIRMAL" 3RD FLOOR, NARIMAN POINT, MUMBAI-400 021. TEL.: 2287 1914, 2287 1916, 2202 6/43 TELEFAX: 22 2202 8838 REGISTERED OFFICE : DHRANG-DHRA - 363 315 (GUJRAT STATE) Email: [email protected], Website: www.dcewltd.com, CIN-L24110GJ1939PLC000748

કાયનાન્સિયલ એક્સપ્રેસ

भारतीय कटेनर निगम लिमिटेडCONTAINER CORPORATION OF INDIA LTD.
कानकॉरcom che (भारत सरकार का उपक्रम) (A govt of India Undertaking)
INSIC New MDBP Building, 2nd Floor, Okhla Indi. Estate (Opp. NSIC Okhla Metro Station), New Delhi-110020NOTICE INVITING E- TENDER
CONCOR invites E-Tender in Single Packet System of tendering for the following work:-
Tender No. CON/EP/Area-L/Zone-1/2021-22
Name of Work Day to day repairs and maintenance of civil works & maintenance of rollingshutters in Zone -1 (i.e. ICD/TKD, MMLP/Barhi) of Area-I (Northern).
Estimated Cost 280.29 Lakhs
Completion Period 24 Months from the 15th day after date of issue of L.O.A.
Earnest Money Deposit Contractor has to submit 'Bid Security Declaration' as per Annexure - F.
Cost of Tender Document NIL.
Tender Processing Fee(Non-refundable) 4000/- plus GST as applicable (through e-payment)
Date of sale of Tender (online) 03.11.2021 (11:00hrs) to 23.11.2021 (upto 17:00 hrs)
Date & Time of submission of Tender. 24.11.2021 upto 17:00 hrs.
Date & Time of Opening of Tender. 25.11.2021 at 11:30 hrs.
For financial eligibility criteria, experience with respect to similar nature of work, etc, please refer to detailedtender notice available on website www.concorindia.com, but the cornolete tender document can bedownloaded from website www.tenderwizard.com/CCIL only. Further, Corrigendum / Addendum to thisTender, if any, will be published on website www.concorindia.com, www.tenderwizard.com/CCIL andCentral Procurement Portal (CPP) only. Newspaper press advertisement shall not be issued for the same.Group General Manager (Engg.) Phone No.: 011-41222500

SIM HUS GIB FI SIZU HOLD SISSA IS THE HEIR SIZUS.PODER EXPRESS ON FIRE SORE SURFAINING, IT IN ARRIEL , ICTORD FOR ISSABLE SERIES2019 PISSION DISCRIPTION IN DISTRIBLE IN REVOLUTION HORE SERIES 888860888 28 P DE 1. PO WEBER ilhousingfinance.in U65923DL2011PTC216373 તારીખ : ૧૨–૧૦–૨૦૨૧ $011$ શ્રી સહાદુર છાંગુર પાલ જે શ્રી પાલ છાંગુરના પુત્ર, પ્લોટ નં.૩૬–બી–૩૯, જગન્નાથ નગર, વડોદા ગામ પાસે, પાંડેસરા, સુરત શહેર, સુરત, ગુજરાત Extract of Unaudited Financial Results for the Quarter ended 30th September, 2021 (*in Crores) ૩૯૪૨૨૧ ભારત. અહીપણ: ફ્લેટ નં. ૨૦૮, બીજો માળ, હરે કૃષ્ણા રેસીડેન્સી, પ્લોટ નં. ૫૫ થી૬૪, રેવન્યુસર્વે નં. ૩૬૪/૧, બી, બ્લોક નં. ૩૧૫, તાંતીશ્રેચ થી સાંકી રોડ, તાંતીથૈયા રેલવે ફાટક પાસે, તાંતીથૈયા કાડોદરા પોલિસ સ્ટેશન પલસાણા, સુરત, ગુજરાત–૩૯૪૩૦૫ ભારત. શ્રીમતી પ્રેમા છાંગુર પાલ જે શ્રી બલીરાજ પાલના પૂત્રી, પ્લોટ નં.૩૬–બી–૩૯, જગજ્ઞાથ નગર, વડોદા ગામ પાસે, પાંડેસરા, સુરત શહેર, સુરત, ગુજરા ..................................... PARTICULARS Unaudited 1 Total Income from Operations 57.92 2 Net Profit for the period (before Tax & Exceptional item)3 Net Profit for the period before Tax (after Exceptional item $3.94$ $3.94$

Note:

$\int_{D}$

Place : MumbaiDated : 2nd November, 2021

તાંતીયૈયા થી સાંકી રોડ, તાંતીયૈયા રેલવે ફાટક પાસે, તાંતીયૈયા કાડોદરા પોલિસ સ્ટેશન પલસાણા, સુરત, ગુજરાત–૩૯૪૩૦૫ ભારત શ્રીમાન/શ્રીમતી વિષય : સિક્યોરીટાઇઝેશન એન્ડ રીકન્સ્ટ્રક્શન ઓફ ફાયનાન્સિયલ એસેટસ એન્ડ એન્ફોર્સમેન્ટ ઓફ સિક્યોરિટી ઇન્ટરેસ્ટ એક્ટ, ૨૦૦૨ ની કલમ્

સ્પીડ પોસ્ટ મારફત

$\boldsymbol{\mathcal{C}}$

шÛ

૧૩ (૨) હેઠળ કાનુની નોટીસ નીરો સહી કરનાર મે. ડીએમઆઇ હાઉસિંગ કાચનાન્સ પ્રાઇવેટ લીમીટેડ (હવેથી ડીએમઆઇ એચએક્સી તરીકે દર્શાવેલ છે) કંપની કાચદા. ૧૯૫૬ હેઠા .સંસ્થાપિત કંપની, જેની ઓ ફીસ એક્સપ્રેસ બિલ્ડીંગ, ત્રીજો માળ, ૯–૧૦, બહાદર શાહ ઝફફર માર્ગ, નવી દિલ્હી–૧૧૦૦૦૨ (હવેથી ડીએમઆઇએસએફસી તરીકે દર્શાવેલ છે.), જે સિક્યોરિટાઇઝેશન એન્ડ રિકન્સ્ટ્રક્શન ઓફ ફાયનાબ્સિયલ એસેટ એન્ડ એન્ફોરમિન્ટ ઓફ સિક્યોરિટી ઇન્ટરેસ્ટ એક્ટ, ૨૦૦ હેઠળ નોંધાયલ છે તેના અધિકૃત અધિકારીની રૂએ તમને નીચેની નોટીસ જારી કરે છે :

.વિચિત્રો મસાદાઓચએ કર્સીઓક કંપની છે જેની સ્થાપના કંપની કાચદો ૧૯૫૬ હેઠળ થદાહતી જેહોમ લોન મંજૂ કરવા સહિતની વિવિધ નાણાંકીચ સેવાચ પુરી પાડવાના વ્યવસાયમાં છે.

તમો એડ્રેસીઓએ રૂા.૭૫૫,૭૭૯/– (રૂપિયા સાત લાખ પંચાવન ૯ જાર સાતસો ઓગણ ઍસીપુરા )ની ૨૬મનીલોન મેળવવા માટે ડીએમઆઇ એચએ ફ્સીન ..................................... આવી હતી જેનો લોન કરાર નં. HFC0001964053 લોન અરજી નં. GG930692 (ઉપરોક્ત લોન કરાર) તારીખ ૨૮ ફેબ્રુઆરી, ૨૦૧૯ હતો. તમે બન્ને કરજદાર તરીકે ઉપરોક્ત લોન કરાર ૫૨ ર૮ ફેબ્રુઆરી, ૨૦૧૯ ના રોજ તેમાં રહેલી શરતો અને નિચમોની સ્વીકૃતીના ભાગરૂપે હસ્તાક્ષર કચ હતા. ઉપરોક્ત લોન કરારની રવીકૃતીને પગલે તમારી પાસે એચએ ફરી દ્વારા મંજુર કરાયેલ લોન સવલતના સંદર્ભમાં અન્ય દસ્તાવેજો છે. તમે ઉપરોક્ત લોન સવલત નીચે જણાવેલી મિલકતની સિક્સોરિટી સામે મેળવી છે, જેને ડિપોઝીટ ઓફ ટાઇટલ ડીડ્ઝ દ્વારા મોર્ગેજ કરવામાં આવી છે. ફ્લેટ નં. ૨૦૮, બીજો માળ, હરેફૂષ્ણા રેસીડેન્સી, પ્લોટ નં. ૫૫ થી ૬૪, રેવન્યુ સર્વે નં.૩૬૪/૧, બી, બ્લોક નં. ૩૧૫, તાંતીશ્વેચા થી સાંકી રોડ, તાંતીશ્વેચ

રેલવે ફાટક પાસે, તાંતીશ્રેયા કાકોદસ પોલિસ સ્ટેશન પલસાણા, સુરત, ગુજરાત–૩૯૪૩૦૫, ભારત(હવેથી તેને ઉપરોક્ત પ્રોપર્ટી તરીકે અને/અથવા શિડ્યુલ્ડ પ્રોપર્ટી સંબોધાશ્રે ) જેમ કે વધુ સ્પષ્ટ રીતે ઊડ્યુલમાં વર્ણન કરવામાં આવ્યું છે.(હ

રક્મ, વ્યાજરાને તેની હેઠળ ચુકવવાપાત્ર તમામ રાન્ય નાણાં ચુકવવા માટે સંમત થાઓ છો.

આમ તમોએ ડીએમરી એસએફ્ટીની તર કે પામ જ કે આપ કુંડ જોય તે આ સાથે છે.એસએફ્ટીની સિક્યોર્ક એસેટ બની ગઇ છે.એસએફ્ટીની સિક્યોર્ડ એસેટ બની ગઇ છે.

તમારી વિનંતીને પગલે ડીએમસી એસએ ફ્સી એ રૂા. ૭૫૫,૭૭૯/– (રૂપિયા સાત લાખ પંચાવન ૯જાર સાતસો ઓગણ એંસી પુરા ) ડીરબર્સ કર્યા હતાં. તમોએ લોન કરાર અને તમારા દ્વારા અમલ કરાયેલ અન્ય દસ્તાવેજોસમાવિષ્ટ શરતો અને નિયમો અનુસાર સમાન માસિક હપ્તા (ઇએમઆઇ) મારફ્તે ઉપરોક્ત લોનની પરત ચુક્વણીની બાંચદારી સાથે ઉપરોક્ત લોન લીધી છે.

તમો ડીએમસી એચએફ્સીને ચુક્વવાપાત્ર સમાન માસિક હપ્તા (ઇએમઆઇ) ની ચુક્વણી કરવામાં ડિફોલ્ટ થયા છો. ડીએમસી એચએફ્સી દ્વારા વારંવારની વિનંતી અને સતત અનુસર કરવા છતાં તમે કરજદાર નાણાંકીય શિસ્ત/જ્વાબદારીઓ અદા કરવામાં નિષ્ફળ ગયા છો અને નીસે વર્ણ કરાયેલ સવલતો હેઠળ બાકની રકમની સમયસર પરત ચુકવણીમાં ડિકોલ્ટ થયા છો.

.ઉપરોક્ત બનાવને અનુસરતા અને તમારા પક્ષે અન્ય ડિફોલ્ટને કારણે લોન કરારના આર્ટિક્લ ૭ માં નિર્ધારિત અનુસાર ડિફોલ્ટની ઘટનાઓ છે. લોન ક્ટાર નં. HFC0001964053 લોન અરજી નં. GG930692 ની જોગવાદદમો સાથેના અર્થમાં, તમારા ક્સુરોના પગલે, તમારી લોન ડીએમઆદ એસએ ફ્ર્સી દ્વારા ડીમાન્ડ કમ રીકોલ નોટીસ તારીખ ૦૯ સપ્ટેમ્બર ,૨૦૨૧ ના રોજપાછી ૫૨ત માંગવામાં આવી હતીઅને તમો તમામને તમને અપાયેલ ા બાળક આપ્રાના અના છે કરવાના આપ્યાના તાનગર પર પાસ્ટામાં, દરમ્ય આ દાવ માટે જાણવાના આપ્યા હતા છે તો તાનગર પાસ્યાસંપૂર્ણ લોન પરત સુક્વવા જણાવામાં આવ્યું હતું. ઉપરોક્ત કીમાન્ડ કમ રીકોલ નોટીસ ૦૯ સપ્ટેમ્બર, ૨૦૨૧ હેઠળ તમને કુલ . અને ૩૧ઓગસ્ટ,૨૦૨૧ સુધીના ચાર્ઝુસની સાથે ખરેખર ચુકવણીની તારીખે સુધીના વધુના ચાર્ઝુસ અને આબદિન સુધીના વ્યાજનો સમાવેશ થયો હતોતારીખ ૦૯ સપ્ટેમ્બર, ૨૦૨૧ ના રોજની ડિમાન્ડ કમ રિકોલ નોટીસ તમને બજાવવામાં આવી હતી. તમે ડીમાન્ડ કમ ર ૨૦૨૧ માં જણાવેલ બાકી રકમ/ બાકી લેણાંની પરત ચુકવણી ઇરાદા પુર્વક ટાળી છે.

વધુમાં લોન કરાર હેઠળ ચુક્વવાપાત્ર રકમ ૯૦ દિવસથી વધુના સમચથી બાકી હોવાના કારણે તમારુ લોન એકાઉન્ટ ડીએમઆઇ એચએ ફ્સી દ્વારા ૦ ્યુના પાન- ડાંતર હેબ્બ પુઝવ્વામાત્ર મડના પર તપાસમાં પહુંના સમયત ખાડાણમાંના ડાંદરા તમાર લાગ બડાકગર ડાંબાનબાઇ બલબઆગસ્ટ, ર૦ર૧ ના રોજ નોન પર સમિગ એસેટ તરીકે વગીકૃત કરાયું છે.૧૦ ઓક્ટોબર, ૨૦૨૧ નાં રોજતમારે ડીએઆઇએસએફસીને બાકી

હજાર એક્સો નવ પુરા) છે, જેમા ૧૦ ઓક્ટોબર, ૨૦૨૧ સુધીના ચડત વ્યાજ અન્ય બાકી અને ચાર્ઝુસનો સમાવેશ થાય છે. કૃપા કરીને એ નોંધી રાખશં ે તમારે પુરક વ્યાજ, આકસ્મિક ખર્ચાઓ, ખર્ચા અને કાનુની ફી સહિતના ચાર્ઝુસ ૧૦ ઓક્ટોબર, ૨૦૨૧ થી અત્યાર સુધીની તારીખ ચુધીસમગ્ર બાકીકે તમારે પુરક વ્યાજ, આકસ્મિક ખર્ચાઓ, ખર્ચા અને કાનુની ફી સહિતના ચાર્ઝુસ ૧૦ ઓક્ટોબર, ૨૦૨૧ થી અત્

ે તેથી ડીએમઆઇ એચએફ્સી આથી તમને સંચુક્ત રીતે અને/અલગ રીતે સિક્ચોરિટાઇઝેશન એન્ડ રિકન્સ્ટ્રક્શન ઓફ ફાચનાન્સિયલ એન એન્ફોરમિન્ટ ઓફ સિક્ચોરિટી ઇન્ટરેસ્ટ એક્ટ, ૨૦૦૨ (અને તેમાં વધારાના સુધારાઓ) ની ક્લમ ૧૩(૨) હેઠળ આ નોટીસ જારી કરીને આ નોટીસ મળ્યેથી સાંહીઠ (૬૦) દિવસોના સમયગાળામાં ઉપર જણાવેલ તમારી સંપૂર્ણ જ્વાબદારી ડીએમઆઇ-એચએ ફ્સીને ચુક્વવાનું જણાવવામાં આવે છે

૧૨. નોંધ લેવી કે તમો સંચુક્ત રીતે અને/અથવા અલગ રીતે ડીએમઆઇ–એચએ ફ્સીને ઉપરોક્ત રક્મ રૂા. ૮૯૭૧૦૯/– (રૂપિયા આઠ લાખ સત્તાણું બર ામ પર માટે આપણું તે પર માટે આપણું પર માટે આપણું પર માટે આપણું તે તે તે પર માટે પર માટે આપણું પર આપણું પર આપણું- એક્સો નવ પૂરા ) તેમજ તેની પરના વ્યાજસને સન્ય તમારા દ્વારા સુકવવાપાત્ર સાર્જુસ, પૂરત વ્યાજ, આકસ્મિક ખર્સ, ખર્ તેને આપવામાં આવેલા ક્લમ ૧૩(૪) હેઠળના અને સિક્યોરિટાછોગન એન્ડ રિક્સ્ટ્રક્શન ઓફ ફાયનાન્સિયલ એસેટ્સ અને એન્ફોર્સમેન્ટ ઓફ સિક્સોરિટી ઇન્ટરેસ્ટ એક્ટ, ૨૦૦૨ હેઠળ આપવામાં દરેક કે કોઇ એક અધિકારીનો ઉપયોગ કરવાની ફરજ ૫ડશે, જેમાં કળજો લેવાનો અધિકાર અન શિડચલ્ડપ્રોપર્ટીનં વેચાણ તમારા ખર્ચે અને જોખમે કરવાનો સમાવેશ થાય છે. ઉપરોક્ત કાયદાની જોગવાદઓ અનસાર તમને એ પણ કરવામાં આવે .છે કે જો સિક્યોર્ડ એસેટ્સના વેચાણની રકમ ડીએમઆઇ-એચએફ્સીના બાકીના નાણાને ન આવરી લેતી હોય તો અમે યોગ્ય કાનુની પગલા લઇને બાકીની રકમ વસુલ કરવા માટે તમારી વિરુદ્ધ કાર્યવાહી કરીશું.

i3. તમને એ પણ જાણ કરવામાં આવે છે કે ઉપરોક્ત કાચદાની કલમ ૧૩(૧૩) ની શરતોમાં તમે વેચાણ, લિઝ અથવા અન્ય રીતે શિડ્યુલ પ્રોપર્ટી ડીએમઆ એસએ ફ્સી પાસેથી પુર્વ સંમતિ લીધા બિના ટ્રાન્સફ્રન્ટ ક્રન્શો નહીં. ઉપરોક્ત જોગવાઇનું બિનઅનુપાલન જેમ કે સરફૈસી કાયદાની ક્લમ ૧૩(૧૩) મ આપવામાં આવ્યું છે તે અનુસાર સર ફૈસી કાચદાની કલમ ૨૯ હેઠળ શિક્ષાપાત્ર અપરાધ બને છે.

૧૪. આથી પક્ષપાત વિના નોટીસ જારી કરવામાં આવે છે અને તેને કોઇ પણ અન્ય અધિકાર જતા તરીકે ગણવામાં આવશે નહીં અને જો ડીએમઆ

એચએ ફ્સી પાસે રહેલા ઉપાયોમાં રક્મની વધુ માંગણી અને ડીએમઆઇ–એચએફ્સીના તમારા દ્વારા ચુક્વવાપાત્ર સમાવેશ થાય છે. .૧૫. આ બાબતે લગતા તમામ ૫ત્રવ્યવહાર અધિકૃત અધિકારી, ડીએમઆઇ ફાચનાન્સ પ્રાઇવેટ લીમીટેડ, એક્સપ્રેસ બિલ્ડીંગ, ત્રીજો માળ, ૯–૧૦, બહાદુ:

શાહ ઝફ્રન્ટ માર્ગ, નવી દિલ્હી-૧૧૦૦૦૨ ને સંબોધીને ક્રન્ટવાના રહેશે.

ીડારા નિદકારની હોય છે. આ ગંભાળી રસદરાઉ

Net Profit for the period after Tax (after Exceptional item)Total Comprehensive Income for the period (Comprising $^{4.04}_{4.04}$ Profit and other Comprehensive Income for the period)Equity Share Capital (Face value ₹10/-) 36.64 7 Other Equity excluding Revaluation Reserve8 Eaming per Share (of ₹10/- each) (i) Basic $(7)$ (ii) Diluted $(7)$ $1.10$ $1.10$


The above is an extract of the detailed format of Financial Results filed with the Stock Exchanges under Regulation 33 of the SEB

(Listing Obligations and Disclosure Requirements) Regulations, 2015.The full format of the Financial Results are available on the Stock Exchange website i.e BSE website (www.bseindia.com), CalcuttiStock Exchange Limited

N To and UIPlot No. 849, Block P48, Pransit, 2nd Floor, New Alipons,Kolkata- 700053, Ph : (033)-24000419, Fax : (033)-24000375, Website :www.webelsolar.com .Place of Signature : KolkataDate : 02.11.2021

Telephone: 22871914/16, Telefax: 22 22028838Website: www.dcwltd.com, E-mail: [email protected]
EXTRACT OF UNAUDITED FINANCIAL RESULTS FOR THE OUARTER AND HALFYEAR ENDED 30TH SEPTEMBER, 2021(Rs.inlakhs)
šr.Ńо. Particulars Ouarterended Ouarterended Ouarterended Half yearended Half yearended Yearended
30.09.2021 30.06.2021 30.09.2020 30.09.2021 30.09.2020 31.03.2021
(Unaudited) (Unaudited) (Unaudited) (Unaudited) (Unaudited) (Audited)
$\overline{\phantom{a}}$ Total Income from operationsNet Profit/(Loss) before tax for the periodNet Profit/(Loss) after tax for the periodTotal Comprehensive Income for theperiod (Comprising Profit / (Loss) forthe period (after tax) and OtherComprehensive Income (after tax))Equity Share Capital of face value of 57,187.402,948.971,967.241,974.96 52.050.582,070.591.337.211.344.94 98.0796.48120.63 33, 791, 14 109, 237, 98 62, 250, 243,304.453,319.90 5.019.56 (1.499.45)(887.24)(838.94) 146,426.171.367.51379.31410.21
Rs. 2/- each.Earning Per Share (of Rs. 2/- each)(for continuing and discontinuedoperations) 5,220.61 5.220.61 5,220.61 5,220.61 5,220.61 5.220.61
1. Basic2. Diluted 0.750.71 0.510.51 0.040.04 1.271.22 (0.34)(0.34) 0.150.15

NOTES: Note the above is an extract of the detailed format of Unaudited Financial Results for the quarter and half year ended on 30th September 2021 filed with the Stock Exchanges under Regulation 33 of SEBI (Listing and Disclosu www.dowltd.com).

For and on behalf of the Board of Director

Pramod Kumar JainChairman & Managing DirectorDIN : 00380458

DCW LIMITED - Manufacturers of CHEMICALS THAT MAKE INDUSTRIES HUM

WWW.FINANCIALEXPRESS.COM FINANCIAL EXPRESS i captain) CAPTAIN POLYPLAST LTD. e-mail : intotcaplaingelyplast.in web: Wwe caplainpolyplasLcom CIN No. > LeS2006)1987PL003 1985. VAISHALI PHARMA LTD. CIM: L523 1 0MH2008PLC181632

aVASTHOUSING FINANCE
FINANCIAL EXPRESS
icaptain)CAPTAIN POLYPLAST LTD.e-mail : intotcaplaingelyplast.inweb: Wwe caplainpolyplasLcom VAISHALI PHARMA LTD.CIM: L523 1 0MH2008PLC181632 aVASTU HOUSING FINANCEVASTCORPORATION LIMITEDRegistered Office : 203/204,"A" Wing, 2nd Floor, Navbharat Estates,HOUSING FINANCEZakaria Bunder Road, Sewri (West), Mumbai 400 015CIN: UG5S22MH2005PLC272501 Tel:022 24190911 Website : www.vastuhic.com
CIN No. > LeS2006)1987PL003 1985. Corp. & Reg. Office: 706-709, 7th Floor,Aravall Business Canina, R. 0. Patal Road,Of. Sodawala Lane. EXTRACT OF STANDALONE AUDITED FINANCIAL RESULTS FORTHE HALF YEAR ENDED SEPTEMBER 30, 2071 (Rs. in lakh)
i OTIC =Notice is hereby given that aM aahBorivall (West), Mumbai - 400002, Sr Half Year Ended Half Year Ended Year Ended30.09.2021 30.09.2020 31.03.2021
pursuant to regulation 29 of the Tel: 91-2242 171818ae ParticularsNoi (Audited) (Audited) (Audited)
SEB! LODR Regulations 2015, the Pursuant fo Requiaion 29 read with regulation Total Income from Operations 177 14,706.67 32,241.89
company will be held on Saturday meeting of board of directors of the [47 ofthe SEBI (Listing Obligations &Disclosure Requiramarnits} Ragulations, a0 A. natiee is ] Net Profit' (Loss) for the period (before Tax, Exceptional and/orExtraordinary ferns} 7,1 7.00 5,666.15 13,322.96
i' eeDirectors of the Company is scheduled tn behereby given thata meeting of the Board of 3 Net Profit,' (Loss) for the period before tax (after Exceptional andor
: oe iy SC13th November, 2021 interalia,ee ee vers Extraordinary items)4 Net Profit' (Loss) for the period after tax (after Exceptional and/or 7,017.00 5,668.15 13,322.96
standaloneconsolidate alla, 1 COnSWer ent approve me Extraordinary items) 5,546.06 4,236.66 10,026.54
unaudited financial results forthe quarter and half year ended ~egumnay eecoraended 30" Saucier 9021. which are 5 Total Comprehensive Income for the perlod [comprising Protity(Loss) for the period (after tax) and Other Comprehensive Income
on 30th SEPTEMBER, 2027 subject to limited review by the Statutory (after tax)] 5,527.07 4,234.04 10,016.42
The said notice can be accessed Auditors of the Company. 6 Paid-up Equity Share Capital 57 282.86 51,845.53 51,845.53
on the website of the company atlyolast The information contained herein has beenintimated to and is available on the website 7? Reserves excluding Revaluation Reservesat= 32,122.05 20,078.34 26,257.70
tal WWW.CaptainpOlyplast.cOM of National Stock Exchange of India Limited:and may also be accessed onthe] (wwwnseindia.com). where the securities} [9 Net Worth & Securities Premiunn Account 62,189.36 21,376.74151,594.28 93,300.58 99,479.94 21,376.74
stock exchange website at of the Campany are Listed and the same is 10 Paid up Debt Capital/Outstanding Debt 161,356.21 153,076.75 152,793.70
www.bseindla.com also available on the Company's website) 47 Outstanding redeemable preference shares - 1- -
Piace : RajkotDate = 02/11/2024 fife valshvallpharma.com).For and on behalf ee 12 Debt Equity Ratio13 Earnings Per Share (of Rs.100/- each) (for continuing and 106 154
For, Captain Polyplast Ltd Shri Atul Arvind Vasani discontinued ee]
sd/ Chairman & Managing Director ~ Basic 10.69 :a 19.94
Khyati Mehta](Company Secretary)] Date : 2° Novamber, 2024 [piace : itumbai ~ Diluted14 Capital Redemption reserve 10.58 8.08 19.14
15 Debenture Redemption Reserve =- =- a-
16 Debi Service Coverage Ratio NA, NLA, NA.
CLASSIFIED CENTRES IN MUMBA LASSIFIED CENTRES IN MUMBAI ACI INFOCOM LIMITED 17 Interest Service Coverage RatioNotes: NLA. NA. NAA. operations)
Beejay Ads,Opera House Regd Off: Shop No.121,ist Floor, V-Mall, OH. WLE. above is an extract of the detailad format of fall yearly financiala) The results filed with tha Stock Exchange undar
Phone : 23692926 56051035. Highway, Nr. Sai Hospital, ThakurComplex, Kandivali (East), Regulation 52 of tha SEBI (Listing Obligations and Disclosure Requirement) Reguiatians, 2015, The full format of the halfyearly financial results are available on the websites of BSE Limited and the Company at www.bseindia.com and NOTES :
Color Spot,Byculla (E), E-Mail: compliance @ acirealty.co.inMumbal- 400704 www. vastuhic.com respectively.b) For the other line tems referred in regulation §2 (4) of the SEBI (Listing Obligations and Disclosure Requirement) Regulations,
Phone : 23748048 23714748, Web Site: www.acirealty.co.in 20715, the pertinent ésclosuras have been made to BSE Linnited and can be accessed on www. bselndia.com (www.dewltd.com).
FCA Communications,Nariman Point, NOTICE c} Figures of the previous year have been regrouped reclassified wherever necessary to conform to current period's classificationdisclosure. Place : Mumbai
Phone : 40020550 / 51. Pursuant to Reguiation 29 readwith Regulation 47 of the SEBI For Vastu Housing Finance Corporation Limited Sd
Fulrani Advtg. & Mktg. (Listing Obligation and DisclosureRequirements; Ragulatians, 20745, Sandeep Menon
Antop HillPhone: 24159061 NOTICE is haraby given that a Place : MumbalDate : November ?, 27021 Managing Director(DIN 02032154)
Mobile: 9769238274/ 9969408835 meeting of the Board of Directorsof Company will be held on
Ganesh Advertising,Abdul Rehman Street, Friday, 12° November, 2021, MADURA MICRO FINANCE LIMITED
Phone : 2342 9163 2341 4596. Infér alia to consider and approvethe Un-Audited Financial Results (Subsidiary of Credithccess Grameen Limited)
JK. Advertisers,Hornimal Circle, Fort. for second quarter ended 30"September, 36, MAIN ROAD, KASTURBA NAGAR, ADYAR, CHENNAI 600020CIN: UG5929TN2005PLC057390
Phone : 22663742. 2021.Further,Pursuant as per the "Code of website: www.maduramicrofinance.com
Mani's Agencies,Opp.G.P0., Fort. Conduct" formed under theSecurities and Exchange Board Extract of un-audited Financial Results for the quarter ended September 30, 2021
Phone : 2263 00232. of India (Prohibition of Insider (Rs. In Laks)
Mobile : 9892091257. Trading) Regulations, 2015; thetrading window will ba closed from SI ___ Quarter ended _Year ended _
Manjyot Ads,Currey Road (E) 1" October 2027 till forty aighthours after the date of declaration No.Particulars 30.09.2021 30.09.2020 31.03.2021
Phone: 24700338. (Unaudited) (Audited) (Audited)
Regd Off: Shop No.121,ist Floor, V-Mall, OH. WLE. Notes:a) The
Highway, Nr. Sai Hospital, ThakurComplex, Kandivali (East),Mumbal- 400704
E-Mail: compliance @ acirealty.co.inWeb Site: www.acirealty.co.inNOTICE
Pursuant to Reguiation 29 readwith Regulation 47 of the SEBI(Listing Obligation and DisclosureRequirements; Ragulatians, 20745,

STATE ELECTION COMMISSION U.T., CHANDIGARH Bee ee tse oem oe em See at Telephone Wo.: 0172-5025108, 5003206

MADURA MICRO FINANCE LIMITED

website: www.maduramicrofinance.com
Extract of un-audited Financial Results for the quarter ended September 30, 2021
Abdul Rehman Street,Phone : 2342 9163 2341 4596.JK. Advertisers, Infér alia to consider and approvethe Un-Audited Financial Resultsfor second quarter ended 30"
Hornimal Circle, Fort.Phone : 22663742. September,2021.Further,Pursuant as per the "Code of
Mani's Agencies, Conduct" formed under the
Opp.G.P0., Fort. Securities and Exchange Board
Phone : 2263 00232.Mobile : 9892091257. of India (Prohibition of InsiderTrading) Regulations, 2015; the
Manjyot Ads,Currey Road (E)Phone: 24700338. trading window will ba closed from1" October 2027 till forty aighthours after the date of declaration SI
Mobile : 9820460262. of results for Directors, KMP
OM Sai Ram Aadvtg., DesignatedandOfficersEmployees, and their immediate
Currery Road relatives.
Mobile: 9967375573 This information is also available
Pinto Advertising,Mazagaon, Company'swebsiteonat
Phone: 23701070. Wiwittacindalty.co.in and algo onStock Exchanges Website at
Mobile : 9869040181. www. bseindia.com.
Premier Advertisers For ACI Infocom Limited
Mumbai CentralMobile: 9819891116 Sd/-Kushal chand Jain
Director
Sarjan Advertising, (DIN: 03545087)
Tardeo, Phone : 66626983 Date: 02.11.2021Place: Mumbai
STATE ELECTION COMMISSION
Bee ee U.T., CHANDIGARH
tse oem oe em See
atTelephone Wo.: 0172-5025108, 5003206
E-mail ID: [email protected]
E-TENDER NOTICE
The State Election Commission, U.T. Chandigarh invites E-Tenders
for Providing Digital Videography and Digital Stil Photography. Tenders
Sd/-OFFICER ON SPECIAL DUTY
State Election Commission, U.T., Chandigarh Notes:
Een a dT ee
Fpaiowl(p byes bealjeg
Head Office: Slar House 1, Risk Management Department, Information Securily Cell,
3rd Floor, East Wing, C-5 - G Block, Bandra-Kurla Complex, Bandra (East),Mumbai 400) 051. Email: security. intormationgbankotindia.co.in.
eS Se ieee
Bank of India invites request for quote (RFP) for Audit & Certification of [60
2200122019 & 150 2700122073.
Last date for submession of Request for Quote: 30.11.2021 by 4.00 pm.
under "Tender Section from.03.11.2021. Full details ara available on the Bank's Corporate Website: www.bankofindia.ce.tn
Amendments! Corrigendum, if any, will be kepton websile only,
ws

Notes:

Mani's Agencies,Opp.G.P0., Fort.Phone : 2263 00232.Mobile : 9892091257.Currey Road (E)Phone: 24700338. Conduct" formed under theSecurities and Exchange Boardof India (Prohibition of InsiderTrading) Regulations, 2015; thetrading window will ba closed from Extract of un-audited Financial Results for the quarter ended September 30, 2021
1" October 2027 till forty aighthours after the date of declaration SI (Unaudited) (Audited) (Audited)
Mobile : 9820460262.OM Sai Ram Aadvtg., of results for Directors, KMPDesignatedOfficersand 1 Total Income from Operations 10,827.00 10,555.00 49,529.18
Mobile: 9967375573 Employees, and their immediaterelatives. 2 Met Profit before Tax, Exceptional and Extraordinary items3 Net Profit before Tax and after Exceptional and Extraordinary (7,910.00) 505.00
Pinto Advertising, This information is also availableCompany'swebsiteonat items 4 Met Profit after Tax. Exceptional and Extraordinary items (1,910.00)(1,387.49) 505.00373.00
Phone: 23701070.Mobile : 9869040181. Wiwittacindalty.co.in and algo onStock Exchanges Website atwww. bseindia.com. 5 Total Comprehensive Income for the penod [comprisingProfit for the period (after tax) and Other Comprehensive
Premier AdvertisersMumbai Central For ACI Infocom LimitedSd/- Income (after tax}] 6 Paid-up Equity Share Capital (Face value 710 per share} (1,983.00)719.48 368.00719.48
Mobile: 9819891116 Kushal chand JainDirector Audited Balance Sheet of previous year * Reserves excluding Revaluation Reserves as shown in the oF 421.92 41,212.00 $9,416.54
Sarjan Advertising,Tardeo, Phone : 66626983 (DIN: 03545087)Date: 02.11.2021 & Securities Premiuvn Amount 8,365.47 4,365.47 4,365.47
Place: Mumbai 9 ) Net worth 10 Paid up Debt Capital! Qutstanding Debt 38,141.40162,067.00 47,991.48164,962.04 40,136.02215,579.55
12 Debt Equity Ratio 11 Qutstanding Redeemable Prelerence Shares -af -3.93
Bee ee STATE ELECTION COMMISSIONU.T., CHANDIGARH 13 Earnings Per Share for the period (Face value $10 per share}
tse oem oe em SeeatTelephone Wo.: 0172-5025108, 5003206 - Basic ( =) {for continuing and discontinued operations)-not annualized (19.29) 5.18
E-mail ID: [email protected]E-TENDER NOTICE - Dituted ( = (19.29) 5.18
The State Election Commission, U.T. Chandigarh invites E-Tenders 14) Capital Redemption Reserve 15 Debenture Redemption Reserve Nilnil NilNil
for Providing Digital Videography and Digital Stil Photography. Tenders 16 Debt Service Covarage Ratio 17 interest Service Coverage Ratio Not Applicable Not Applicable Not ApplicableNot Applicable Not Applicable Not Applicable
Sd/-OFFICER ON SPECIAL DUTY Notes:
Bank of India invites request for quote (RFP) for Audit & Certification of [60Full details ara available on the Bank's Corporate Website: www.bankofindia.ce.tn have been made to the Stock exchange and can be accessed onthe Company's website,Place: Chennai F. S. Mohan Eddy
SeQuent Scientific LimitedRegistered Office : 301, 3rd Floor, 'Dosti Pinnacle', Plot No. E7, Road No. 22, Wagle Industrial Estate, Thane (W) - 400 604, Maharashtra, IndiaTel. +91 22 41114777, Website : www.sequentin, Email: investorrelations <esequent.inEXTRACT OF THE UNAUDITED CONSOLIDATED FINANCIAL RESULTS FOR THE</esequent.in Date: 01 November 2027a eewsEEQUARTER AND PERIOD ENDED 30 SEPTEMBER 2021 Sequentedi ms kmsOh ARG Th) 3 months ended Preceding3 Corresponding Yeartodate Corresponding Previous year30-Sep-2021 months ended 3 months ended! forcurrent year to date for (= in Lakhs)ended
Particulars 30-Jun-2021 jin previous period) period ended previous period 91-Mar-202730-Sep-2020 30-Sep-2027 30-Sep-2020
UNAUDITED UNAUDITED UNAUDITED UNAUDITED UNAUDITED AUDITED
39,055.10391.50 32,050.90P2290 34,546.504,076.10 67,106.001,117.40 64,472.536,711.48 1,36,161.5014,545.20
Net profit for te period before tax and after exceptional items 394.501,382.00 f22.90#64.80 3.172.202,959.45 1,117.401,646.80 5,607.584294.79 13,662.9010,445.20
(295.00) 2,099.20 4274.85 1,204.20 10,285.79 16,887.60
4,967.40 4,967.40 4,967.40 4967.40 4,967.40 4967.4067,797.70
Earnings per equity share-(tace value of = 2 each) (mot annualised) 0.58 0.04 0.95 0.61 1.59 aA?
0.57 0.04 0.95 0.61 1.58 3.85
SUMMARIZED UNAUDITED STANDALONE FINANCIAL RESULTS FOR THE QUARTER AND PERIOD ENDED 30 SEPTEMBER 2021 Qmonths ended) Preceding3 (Corresponding 3) Year to date for Corresponding y Previous year (% in Lakhs)
Particulars 30-Sep-2021 months ended months endedin) current period ear to date for30-Jun-2021 previous period30-Sep-2020 30-Sep-2021 ended 80-Sep-2020 endedprevious period) 34-Mar-2021
Were_Revenue (nom operations 3,070.50 4,665.70 UNAUDITED UNAUDITED UNAUDITED UNAUDITED W2t7.04 9.66.20 UNAUDITED 12,751.74 AUDITED26,545.70
2200122019 & 150 2700122073.Last date for submession of Request for Quote: 30.11.2021 by 4.00 pm.under "Tender Section from.03.11.2021.Amendments! Corrigendum, if any, will be kepton websile only,Revenue from operationsNet profit for the period before tax and exceptional itemsNet profit tor the period after lax and exceptional itemsTotal comprehensive income! (@xpensel, net of taxEquity share capitalOther equityBasic (in =}Diluted fin =)

Sa/-

WEDNESDAY, NOVEMBER 3, 2021AaDECHAT JAC BOARDioe,OFFICE OF THE EX. ENGINEER (NE) IlR-POCKET DILSHAD GARDEN DELHI-95"STOP CORONA; Wear Mask, Follow Physical Distancing, Maintain Hand Hygiene PRESS NIT NO. 23 (2021-22)EMD. TenderAmount put toName of WorkDate of release ofLast date/ time of receiptSs.AmountNo.of tender throughtender toFeestender ineprocurement solutioneprocurement solutionTenderEMD.20-10-2994+ofold-Ld.48-92 997.90,49.44 9994ad.500-00.4 Repl.1.00.TOS .PrPyovdia water line at Gali No. 1 to 3, F-Block WesExemptedupto 02:30 P.M.Karawal Nagar under Karawal Nagar AC-70Tender ID No. 2021_DJB_210474_2All the terms and conditions incuding technical specfication and special conditions is available on Delhi Govt. Websitehttps://delhi.govtprocurement.com.ISSUED BY P.R.O. (WATER)(Sukhpal ChauhanAdvt. No. J.S.V. 553/2021-22EX. ENGINEER (NE)-IDCW LIMITEDnr)CIN : L24110GJ1939PLC000748 Registered office : Dhrangadhra - 363315 ( Gujarat )Head Office :'Nirmal', Nariman Point , Mumbai - 400021.cutTelephone : 22871914/16, Telefax : 22 22028838Website : www.dcewltd.com, E-mail : [email protected]EXTRACT OF UNAUDITED FINANCTAL RESULTS FOR THE QUARTER AND HALFYEAR ENDED 30TH SEPTEMBER, 2021QuarterParticularsQuarterQuarterHalf year Half yearYearSrNo,endedendedendedendedendedended(Unaudited) (Cnandited) (Cnanditedy, (Unaudited) (Cnandited) (Audited) ST 187-407 92, 050-58) 33,7 9T 14109237 98 62,25 0-247 146 426-1Total Income from operations1}2. Net Profit/(Loss) before tax for the period) 2,948.97]2,070.5998.07 5,019.56) (1,499.45) 1,337.21(887.24)3. Net Profit/(Loss) after tax for the period 1,967.24]96.48 3,304.45)4. Total Comprehensive Income for the1,344.94(838.94)1,974.96 120.63, 3,319.90)period (Comprising Profit / (Loss) forthe period (after tax) and OtherComprehensive Income (after tax))5,220.61 5,220.61)5,220.61]5,220.61)5,220.61)Rs. 2/- each.(for continuing and discontinuedoperations)1. Basic(0.34)0.750.510.041.272. Diluted0.51(0.34)0.710.041.22The above is an extract of the detailed format of Unaudited Financial Results for the quarter and half year ended on 30th!September 2021 filed with the Stock Exchanges under Regulation 33 of SEBI (Listing and Disclosure Requirements)Regulations, 2015. The full format of the Unaudited Financial Results for the quarter and half year ended 30th September,2021 are available on the Stock Exchanges websites (www.bseindia.com, www.nseindia.com) and the company websiteFor and on behalf of the Board of Directors Pramod Kumar JainChairman & Managing DirectorDIN : 00380458- Manufacturers of CHEMICALS THAT MAKE INDUSTRIES HUMVisit us at : www.dewltd.comLENDINGKA? TThink Cash, Think Lendingkart Group!LENDINGKART FINANCE LIMITEDCIN: UESSTOMHIS96PLO25aT22Registered Office: 4-303/304, Citi Paint, Andher-Kurla Road, Andheri East, Murnbai, Maharashtra, 400 059, IndiaCorporate Office: 8 Block, 6th Floor, 'The First, Behind Keshavbaug Party Plot, Vastrapur, Anmedabad-380 015, Gujarat, India.Phone: +81-FS46814 4500 Email: [email protected] website: htipsslendingkarifinance.comEXTRACT OF FINANCIAL RESULTS(Amount INF in Lakhs}Quarter ended Year endedParticularsSr.Na,SeptemberMarch40, 202141, 2021
fon)==
Sal
(Rs.in lakhs)
1,367.51379.31410.21
5,220.61
O15O15
1 Total Income from OperationsTeale a?45.357 52 5. Equity Share Capital of face value of6. Earning Per Share (of Rs. 2/- each)NOTES :(www.dewltd.com).Place : MumbaiDated : 2nd November, 2021 DCW LIMITED
Place : MumbalDate : November ?, 27021 SdSandeep MenonManaging Director(DIN 02032154)
MADURA MICRO FINANCE LIMITED(Subsidiary of Credithccess Grameen Limited)36, MAIN ROAD, KASTURBA NAGAR, ADYAR, CHENNAI 600020CIN: UG5929TN2005PLC057390website: www.maduramicrofinance.comExtract of un-audited Financial Results for the quarter ended September 30, 2021
(Rs. In Laks)
SI Quarter ended _Year ended _
No. ___Particulars 30.09.2021 30.09.2020 31.03.2021
(Unaudited) (Audited) (Audited)
1 Total Income from Operations 10,827.00 10,555.00 49,529.18
2 Met Profit before Tax, Exceptional and Extraordinary items (7,910.00) 505.00 o2.9F
3 Net Profit before Tax and after Exceptional and Extraordinary
items (1,910.00) 505.00 he OF
4 Met Profit after Tax. Exceptional and Extraordinary items (1,387.49) 373.00 (20.03)
5 Total Comprehensive Income for the penod [comprisingProfit for the period (after tax) and Other Comprehensive
Income (after tax}] (1,983.00) 368.00 (23.77)
6 Paid-up Equity Share Capital (Face value 710 per share} 719.48 719.48 719.48
* Reserves excluding Revaluation Reserves as shown in the oF 421.92 $9,416.54
Audited Balance Sheet of previous year 41,212.00
& Securities Premiuvn Amount 8,365.47 4,365.47 4,365.47
9 ) Net worth 38,141.40 47,991.48 40,136.02
10 Paid up Debt Capital! Qutstanding Debt 162,067.00 164,962.04 215,579.55
11 Qutstanding Redeemable Prelerence Shares -af - :
12 Debt Equity Ratio 3.93 a.aF
13 Earnings Per Share for the period (Face value $10 per share}{for continuing and discontinued operations)-not annualized
- Basic ( =) (19.29) 5.18 (0.27)
- Dituted ( = (19.29) 5.18 (0.27)
14) Capital Redemption Reserve Nil Nil Nil
15 Debenture Redemption Reserve nil Nil Nil
16 Debt Service Covarage Ratio17 interest Service Coverage Ratio Not Applicable Not Applicable Not ApplicableNot Applicable Not Applicable Not Applicable
Notes:
1 The above financial Results were reviewed by the Audit Committee and thereafter approved and taken onrecord by the Board of Directors at their maeating held on November 01, 2021. The Statutory Auditors haveexpressed an unmodified opinion,
2 The above iS an extract of the detailed format of Unaudited Financial Results filed with the StockExchanges under Regulation 52 of the SEBI (Listing Obligations and Disclosure Requirements)Ragulations, 2015. The full fonmat of the Unaudited Financial Results are available on the the BSE Ltdwebsite (URL: www.bselndia.com/corporates) and on the Company's website (UAL:www maduranicrofinance.cam).
3 Other ling items as required under Regulation 52/4) of the SEBI Listing Regulations, pertinent disclosureshave been made to the Stock exchange and can be accessed onthe Company's website,
For Madura Micro Finance Limited Sa/-
Place: ChennaiDate: 01 November 2027 F. S. Mohan Eddy

NOTES :

For and on behalf of the Board of Directors
Place : Mumbai Pramod Kumar Jain
Chairman & Managing Director
DIN : 00380458
Dated : 2nd November, 2021 DCW LIMITED - Manufacturers of CHEMICALS THAT MAKE INDUSTRIES HUMVisit us at : www.dewltd.com

LENDINGKART FINANCE LIMITED

EXTRACT OF FINANCIAL RESULTS

LENDINGKA? TThink Cash, Think Lendingkart Group!LENDINGKART FINANCE LIMITEDCIN: UESSTOMHIS96PLO25aT22Registered Office: 4-303/304, Citi Paint, Andher-Kurla Road, Andheri East, Murnbai, Maharashtra, 400 059, IndiaCorporate Office: 8 Block, 6th Floor, 'The First, Behind Keshavbaug Party Plot, Vastrapur, Anmedabad-380 015, Gujarat, India.Phone: +81-FS46814 4500 Email: [email protected] website: htipsslendingkarifinance.comEXTRACT OF FINANCIAL RESULTS(Amount INF in Lakhs}Quarter ended Year endedParticularsSr.Na,SeptemberMarch1 Total Income from Operations40, 202141, 2021Teale a?45.357 522 Nat Profit! (Loss) for tha paried 'before Tax, Exceational andor Extraordinary tame)(17 6B099)2815.803 Met Profit! (Loss) for the period before tax (afer Exceptional andior Extraordinary berms)2A15.80(17,680.99)1831.944 Meat Profit! (Loss) forthe period after tax (afer Exceptional andior Extraordinary items#)(13,272.55)(argo5 Tolal Comprahensive Income for tha period [Comprising Profit) (Loss) forthe pariod (altar tax) and) = (43,974.40)Other Comprehensive income (alter tax)]6 Paid up Equity Share Canital4408.794416.797 Reserves (axchiding Revaluation Reserve)52,007.6469,742.564 Securities Premium Account (also inguded in. above)bf 246.8467 246,849 NatworthT4187 .3F56 456,43VFR ST829 UB 2.3310 Paid up Debt Capeal / Outstanding Debt11 Guistanding Redeemable Preference SharesNILRIL12 DablEquity Ratio3172.2013 Eamings Per Share (of Rs. {Oy each) (for continuing ard discontinued operations) - Basic and Diluted4.15 (30.04)EPS is notannalized for quarter ended on September 30, 207114 Capital Rademption ReserveMILAIL15 Deberiure Redemption ReserveMILNIL16 Debt Service Coverage RatioQee0.05Coverage115Interest ServiceRalio17 (2.86)items adjusted in the Statement of Profit and Loss in accordanceExceptionalExtraordinaryInd AS Rulesandior#-witha) The above isan extract of the detailed format of quarterly financial results filed with the Stock Exchange under Regulation 52 of the SEBIhobes:LOOR Regulations, 2075, The full format of the quarterly financial results are available on the website of the Stock Exchange(hthps:ihwww_bseindia.com) and on the Company's websile (https-lendinghartinance.comp.6) For the other line ilams referred in requiation 52 (4) of the SEBILODR Regulations, 2015, periinant disclosures have beer made to theStock Exchange (BSE Lig) and can be acoessed onthe URL (hips iwww.bselndla. com).oc) During the quarter ended Seqtember 30, 2021, as a matter of prudence, the Company has made an additional provisean of = 11,730.52lakhs on the outstanding restructured portfolio based on Company's assessment pursuant to additional time raquesied by the borrowers tomake the repayment Similarly, during the quarter andad Seatember 30, 2021, tha Company, based on its assessment of racaverabilily, hasaccelerated the write-off of the loans amounting tof 13.715.77 lakhs at$0 DPD level instead of the Company's policy of wriling aff loans at140 DPD. On the non-réstruciured portfalia, tha company does nol foresee any material impact beyond tha ECL framework.dq) Accounting principles and policies followed are in line with March and there is nochange in such principies.and policies during the quarterended on September 30, 2027.6) The Company has not csclose quarterly financial results for the quarter ended September 2020 pursuant to the relaxation provided in SEB!'On behalfof the Board of Directors ofCirculardated October's, 2021.Lendingkart Finance LimitedSal.Harshvardhan LuniaPlace: AhmedabadChairman & managing DirectorBIN Na. 0119414Date : 02-11-2024BARODAMUTUAL FUNDBarodamel ALANOTICE CUM ADDENDUM NO. 72/ 2021Notice-cum-Addendum to the Scheme Information Document ("SID") / Key InformationMemorandum ("KIM") of Baroda Credit Risk Fund (scheme has one segregatedportfolio), An open-ended debt scheme predominantly investing in 4A and below ratedcorporate bonds (excluding AA+ rated corporate bonds)], scheme of Baroda MutualFund ("Mutual Fund")NOTICE is hereby given that effective November 03, 2021 the exitload of Baroda Credit RiskFund, shall be revised as under: Name & Type of the Scheme Existing Exit Load Revised Exit Load
- Manufacturers of CHEMICALS THAT MAKE INDUSTRIES HUMVisit us at : www.dewltd.com
September 2021 filed with the Stock Exchanges under Regulation 33 of SEBI (Listing and Disclosure Requirements)Regulations, 2015. The full format of the Unaudited Financial Results for the quarter and half year ended 30th September,2021 are available on the Stock Exchanges websites (www.bseindia.com, www.nseindia.com) and the company website(www.dewltd.com).Place : MumbaiDated : 2nd November, 2021 DCW LIMITED 1. Basic2. Diluted 0.750.71 0.510.51 1.271.22
O15(0.34)0.04O15(0.34)0.04The above is an extract of the detailed format of Unaudited Financial Results for the quarter and half year ended on 30th!For and on behalf of the Board of Directors Pramod Kumar JainChairman & Managing DirectorDIN : 00380458 Rs. 2/- each.(for continuing and discontinued 5,220.61] 5,220.61) 5,220.61
5,220.61 5,220.61)5,220.61)6. Earning Per Share (of Rs. 2/- each)operations)NOTES : period (Comprising Profit / (Loss) forthe period (after tax) and OtherComprehensive Income (after tax))5. Equity Share Capital of face value of

NOTICE CUM ADDENDUM NO. 72/ 2021

14 Capital Rademption Reserve MILAIL
15 Deberiure Redemption Reserve MILNIL
16 Debt Service Coverage Ratio Qee0.05
CoverageInterest ServiceRalio17 ExceptionalExtraordinaryandior items adjusted in the Statement of Profit and Loss in accordance 115(2.86)Ind AS Ruleswith
a) The above isan extract of the detailed format of quarterly financial results filed with the Stock Exchange under Regulation 52 of the SEBIhobes:LOOR Regulations, 2075, The full format of the quarterly financial results are available on the website of the Stock Exchange(hthps:ihwww_bseindia.com) and on the Company's websile (https-lendinghartinance.comp.6) For the other line ilams referred in requiation 52 (4) of the SEBILODR Regulations, 2015, periinant disclosures have beer made to theStock Exchange (BSE Lig) and can be acoessed onthe URL (hips iwww.bselndla. com).oc) During the quarter ended Seqtember 30, 2021, as a matter of prudence, the Company has made an additional provisean of = 11,730.52lakhs on the outstanding restructured portfolio based on Company's assessment pursuant to additional time raquesied by the borrowers tomake the repayment Similarly, during the quarter andad Seatember 30, 2021, tha Company, based on its assessment of racaverabilily, hasaccelerated the write-off of the loans amounting tof 13.715.77 lakhs at$0 DPD level instead of the Company's policy of wriling aff loans at140 DPD. On the non-réstruciured portfalia, tha company does nol foresee any material impact beyond tha ECL framework.dq) Accounting principles and policies followed are in line with March and there is nochange in such principies.and policies during the quarterended on September 30, 2027.6) The Company has not csclose quarterly financial results for the quarter ended September 2020 pursuant to the relaxation provided in SEB!Circulardated October's, 2021.Place: Ahmedabad 'On behalfof the Board of Directors ofLendingkart Finance LimitedHarshvardhan LuniaChairman & managing Director
Date : 02-11-2024 BIN Na. 0119414
BARODAMUTUAL FUND Barodamel ALA
NOTICE CUM ADDENDUM NO. 72/ 2021
portfolio), An open-ended debt scheme predominantly investing in 4A and below ratedcorporate bonds (excluding AA+ rated corporate bonds)], scheme of Baroda MutualFund ("Mutual Fund")NOTICE is hereby given that effective November 03, 2021 the exitload of Baroda Credit Risk
Fund, shall be revised as under:Name & Type of the Scheme Existing Exit Load Revised Exit Load
Baroda Credit Risk Fund] 1.("BCRF")(Scheme one segregatedportfolio)(An open-ended debt scheme 2-predominantly investing in AAand below rated corporatebonds) {excluding AA+ ratedcorporate bonds) before 1year ofallotment of units : 3%of the applicable NAV.If units are redeemed 2.after 1 year from thedate of allotment ofunits: Nil.Exit load is not applicablefor segregated portfolio lf units are redeemed 1. lf units are redeemedupto 10% of the units, onor before one year fromthe date of allotment: Nillf units are redeemedover and above the 10%limit, on or before oneyear from the date ofallotment : 1% of theapplicable Net AssetValue (NAV)3. lf units are redeemedafter one year from thedate of allotment: NilExit load is net applicablesegregatedportfoliofor
The above revised exit load shall be applicable on all transactions BCRF ona prospectiveof
basis.This notice-cum-addendum forms an integral part of the SID and KIM of BCRF as amendedfrom time to time. All the other provisions of the SID and KIM of BCRF, except as specificallymodified herein above, remain unchanged.Place: Mumbai For Baroda Asset Management India Limited(Investment Manager to Baroda Mutual Fund)Sd/-
Date : November 02, 2021 Mutual Fund investments are subject to market risks,read all scheme related documents carefully. Authorised Signatory