AI assistant
Deccan Gold Mines Ltd. — Earnings Release 2021
Nov 12, 2021
62629_rns_2021-11-12_fa7a105d-3eb1-400b-bc4c-ee05eda51f0c.pdf
Earnings Release
Open in viewerOpens in your device viewer

DECCAN MINES LIMITED GOLD ( CIN : L51900MH1984PLC034662 )
Corporate & Correspondence Address
No.1285, 5th Main Road, 7th Sector HSR Layout, Bengaluru-560102 Tel : +91 80 45384000 Fax : +91 80 45384001 Email : [email protected] Web : www.deccangoldmines.com
November 12, 2021
To Corporate Relationship Department BSE Limited Phiroze Jeeyjeebhoy Tower, Dalal Street, Mumbai - 400 001
Scrip Code: 512068
Dear Sirs,
Sub.: Newspaper publication of Financial Results
Pursuant to Regulation 47 of Securities & Exchange Board of India (Listing Obligations and Disclosure Requirements) Regulations, 2015, please find enclosed copy of newspaper advertisement with respect to the Un-Audited Financial Statements for the quarter and half year ended September 30, 2021, published in following newspapers:
-
Free Press Journal dated November 12, 2021 and;
-
Navshakti dated November 12, 2021.
Kindly take the above on record and oblige. Yours truly

S. Subramaniam Company Secretary & Compliance Officer Membership No.: ACS 12110
Encl. as above
Registered Office
Reg Office: The Parinee Crescenzo, 803, 8th Fir, Opp. MCA Ground C38-C39, G Block, Bandra Kurla Complex, DECCAN GOLD MINES LIMITED
| THE DECCAN GOLD MINES LIMITED yp Reg Office: The Parinee Crescenzo, 803, 8th Fir, Opp. MCA Ground C38-C39, G Block, Bandra Kurla Complex, DECCAN GOLD Bandra(E) Mumbai 400051 Tel .No.:022-33040797 Fax No.: 022-26532440 CIN No. L51900MH1984PLC034662 MINES LIMITED Email.: [email protected] Website.: www.deccangoldmines.com Extracts Of The Consolidated Un-Audited Financial Results for The Quarter And Half Year Ended 30th, September 2021 Rs. in Million Consolidated Particulars Quarter ended Half Year Ended Year Ended Sr. 30.09.2021 30.06.2021 30.09.2020 30.09.2021 30.09.2020 31.03.2021 No. Un-Audited Un-Audited Un-Audited Un-Audited Un-Audited Audited 1 Total Income from operations 0.003 0.086 0.019 0.089 0.042 0.416 2 Net Profit (+)/Loss(-) for the period (6.388) (7.698) (12.824) (14.086) (18.841) (32.147) (before tax, Exceptional and/or Extraodinary items) 3 Net Profit (+)/Loss(-) for the period before tax (12.824) (14.086) (18.841) (32.147) (6.388) (7.698) (after Exceptional and/or Extraodinary items) 4 Net Profit (+)/Loss(-) for the period after tax (12.824) (14.086) (18.841) (32.147) (6.388) (7.698) (after Exceptional and/or Extraodinary items) 5 Total Comprehensive Income for the period 0.049 0.042 0.208 0.091 [(Comprising profit/Loss for the period (after tax) and other Comprehensive Income (after tax)] 93.327 93.327 93.327 6 Equity share capital 93.327 93.327 93.327 7 Reserves (excuding Revaluation Reserve) as shown in the Audited Balance Sheet of the previous year 8 Earning per share (of Rs.1 /-- each) for continuing and discontinued operations a. Basic: (0.068) (0.082) (0.137) (0.151) (0.202) (0.344) (0.344) b. Diluted: (0.068) (0.082) (0.137) (0.151) (0.202) In respect to standalone results of the Company, the amounts are as follows: Standalone Particulars Quarter ended Half Year Ended Year Ended Sr. 30.09.2021 30.06.2021 30.09.2020 30.09.2021 30.09.2020 31.03.2021 No. |
||||
|---|---|---|---|---|
| Un-Audited Un-Audited Un-Audited Un-Audited Un-Audited Audited | ||||
| a Turnover 1.916 2.715 1.102 4.631 2.210 7.178 b Profit before tax (6.425) (6.776) (11.944) (13.021) (17.071) (30.370) |
||||
| c Profit after tax (6.425) (6.776) (11.944) (13.021) (17.071) (30.370) |
||||
| Notes: 1 The above is an extract of the detailed format of Quarterly Unaudited Financial Results (Consolidated & Standalone) filed with the Stock Exchanges under Regulation 33 of the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015. The full format of the Quarterly Unaudited Financial Results (Consolidated & Standalone) are available on the websites of the Stock Exchange (www.bseindia.com) and the website of the Company (www.deccangoldmines.com) |
||||
| 2 Previous year's figures have been regrouped/rearranged wherever necessary to make them comparable. 3 The above results, has been reviewed and recommended by the Audit Committee and approved by the Board of Directors at its meeting held on 11th November, 2021 as per Regulation 33 of SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015. |
||||
| For Deccan Gold Mines Limited | ||||
| Sdi S Subramaniam Place : Bengaluru November, 2021 Executive Director, DIN: 06389138 Date : 11th |
||||
| Polychem Limited | ||||
| REGD. OFFICE - 7 J TATA ROAD, MUMBAI - 400 020. CIN NO: L24100MH1955PLC009663 |
||||
| Website: www.polychemltd.com, Telephone: 91 22 22820048, EMAIL: [email protected] |
||||
| Extract of Unaudited Standalone Financial Results For The Quarter Ended September 30, 2021 and Half Year (Rs. In Lakhs) |
| Triumph International Finance India Limited Oxford Centre, 10 Shroff Lane, Colaba Causeway, Colaba, Mumbai - 400 005. Statement of Unaudited Consolidated And Standalone Financial Results for the Quarter and Half year ended 30th September, 2021 |
(Rs. In Lacs) | ||||||||||||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Prepared in compliance with Indian Accounting Standards (Ind-AS} Sr. Particulars |
Quarter Ended Sept 30, 2021 (Unaudited) |
Quarter Ended June 30, 2021 (Unaudited) |
Consolidated Corresponding Quarter Ended in Previous Year Sept 30, 2020 (Unaudited) |
Six Months Ended Sept 30, 20721 (Uunaudited) |
Six Months Ended Sept 30, 2020 (Unaudited} |
Year Ended March 31, 2021 (Audited) |
Quarter Ended Sept 30, 2021 {Unaudited) |
Quarter Ended dune 30, 2021 (Unaudited) |
Standalone Corresponding Quarter Ended in Previous Year Sept 30, 2020 (Unaudited) |
Six Months Ended Sept 30, 2021 (Unaudited) |
Six Months Ended Sept 30, 2020 (Unaudited) |
Year Ended March 31, 2021 (Audited) |
|
| - Income a) Revenue from Operations b) Other income Total Income 2.) Expenses a) Cost of materials consumed b) Purchase of stock-in-trade c) Change in inventories of stock in trade d) Employee benefits expense |
19.40 19.40 | 5.26 5.26 | 15.40 15.40 | 24.66 24.66 | 30.77 30.77 | 327.76 327.76 | 19.40 19.40 | 5.26 5.26 | 15.40 15.40 | 24.66 24.66 | 30.77 30.77 | 327.76 327.76 | |
| e) Depreciation and amortisation expense f} Finance costs g) Other expenses h) Investments Written off Total Expenses . Profit/(Loss) before Tax (1-2) Oopew . Tax expense Net Profit/(Loss) for the periad (3 - 4) . Other Comprehensive Income a) Items that will not be reclassified |
23.54 23.54 (4.14) (4.1 4) |
4.70 0.56 | 1.14 1.14 14.26 14.26 |
28.24 28.24 (3.58) (3.58) |
1.31 1.31 29.46 29.46 |
19.70 19.70 308.06 308.06 |
23.50 23.50 (4.10) (4.10) |
4,46 4.46 0.80 |
1,07 1,07 14.33 14.33 |
27,96 27.96 (3.30) (3.30) |
1,20 1.20 29.57 29.57 |
19.49 19.49 308.27 308.27 |
|
| subsequently to profit or loss b) Items that will be reclassified subsequently to profit or loss Total Other Comprehensive Income(a+b) . Total Comprehensive Income for the os period (5+6) Paid-up equity share capital (Ordinary shares of Rs.10 each) 9.) Other Equity 10.) Eaming Per share |
(4.14) 750 |
0.56 750 |
14.26 750 |
(3.58) 750 |
29.46 750 |
308.06 750 (8956.71) |
(4.10) 750 |
0.80 750 |
14.33 750 |
(3.30) 750 |
29.57 750 |
308.27 750 (8690.36) |
|
| a) Basic b) Diluted Notes: |
(0.06) (0.06) |
0.01 0.01 | 0.19 0.19 | (0.05) (0.05) |
0.39 0.39 | 411 4.11 | (0.05) (0.05) |
0.01 0.01 | (0.04) (0.04) | 0.39 0.39 | 4.11 411 |
||
| 1. The above results were reviewed and recommended by the Audit Committee and approved by the Board of Directors at its meeting held on November 11, 2021. 2. The financial results of the company are prepared in accordance with the Indian Accounting Standards({Ind-AS) as prescribed under section 133 of the Companies Act, 2013 read with Rule 3 of the Companies (Indian Accounting Standards) Rules, 2015 and Companies (Indian Accounting Standards) Amendment Rules, 2016. 3. The securities and Exchange Board of India have cancelled the registration of the company as a Stock Broker. 4, Other Income includes dividend income of Rs. 4.27 lacs for the quarter ended 30th September, 2021 which has been accounted as per Form 26 AS. Further, it also includes interest on fixed deposits with ICICI Bank of Rs. 12.44 lacs which is subject to confirmation from ICICI. 5. During the quarter the Company has debited the legal expenses pertaining to earlier years. 6. Figures for the previous periods/year arere-classified/re-arranged/re-grouped, wherever necessary. Place ; Mumbai Date : November 11, 2021 |
of Triumph International Finance India Limited | For and on behalf of the Board Nagesh Kutaphale/ Director |
|||||||||||
| SP hosphutes Ld. | |||||||||||||
| (Rama) | Rama | Regd. Office: 51/52, Free Press House, Nariman Point, Mumbai-400 021 | |||||||||||
| Tel.No.: 022-2283 3355/6154 5100; Fax: 022-22049946; Email: [email protected]; Website: www.ramaphosphates.com; Corporate Identification No.: L24110MH1984PLC033917 |
|||||||||||||
| EXTRACT OF UNAUDITED FINANCIAL RESULTS FOR THE QUARTER & HALF YEAR ENDED 30™ SEPTEMBER, 2021 |
|||||||||||||
| Quarter Ended | Half Year Ended | (= in Lacs) Year Ended |
|||||||||||
| Particulars | 30.09.2021 30.06.2021 30.09.2020 30.09.2021 30.09.2020 31.03.2021 | ||||||||||||
| Total Income from operations (net) Net Profit/(Loss) for the period (before Tax, Exceptional and/or |
24,829.76 | 18,265.14 | 11,490.55 | Unaudited Unaudited Unaudited (Unaudited) (Unaudited) (Audited) 43,094.90 22,041.05 58,106.95 |
|||||||||
| Extra ordinary items) Net Profit/(Loss) for the period before Tax (after Exceptional and/or Extra ordinary items) |
3,103.82 3,103.82 |
2,684.64 2,684.64 |
1,536.72 1,536.72 |
5,788.46 5,788.46 |
2,438.55 5,665.16 2,438.55 5,665.16 |
| Standalone | |||||||||||
|---|---|---|---|---|---|---|---|---|---|---|---|
| Sr. | Particulars | Quarter ended | Half Year Ended | Year Ended | |||||||
| No. | 30.09.2021 30.06.2021 30.09.2020 30.09.2021 30.09.2020 31.03.2021 | ||||||||||
| Un-Audited Un-Audited Un-Audited Un-Audited Un-Audited Audited | |||||||||||
| a Turnover | 1.916 | 2.715 | 1.102 | 4.631 | 2.210 | 7.178 | |||||
| b Profit before tax | (6.425) | (6.776) | (11.944) | (13.021) | (17.071) | (30.370) | |||||
| c Profit after tax | (6.425) | (6.776) | (11.944) | (13.021) | (17.071) | (30.370) |
| : Mumbai Place November, Date :11th 2021 |
TR (DIN |
KILACHAND - 00006659) Chairman |
|||||
|---|---|---|---|---|---|---|---|
| ended Sept 30, 2021. | By Order of the Board Sdi/- |
||||||
| 3 The Statutory auditor of the Company have conducted limited review of the financial results for the quarter and half year | |||||||
| 2 The above results have been reviewed by the Audit Committee and approved by the Board of Directors in their meeting held on November 11, 2021. |
|||||||
| Exchange under Regulation 33 of the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015. The full Format of the Quarterly/Half Yearly/Annual Financial Results are available on the Stock Exchange website (www. bseindia.com) and the Company's website (www.polychemltd.com). |
5) | ||||||
| 1 The above is an extract of the detailed format of Quarterly/Half Yearly/Annual Financial Results filed with the Stock | |||||||
| *EPS not annualised ended Quarter/Half year for the is Notes:- |
Sept 30, 2021, |
June 30, 2021 | and Sept | 2020. 30, |
|||
| Annualized) -Basic & Diluted (not : (In Rs.)* (3.70) |
6.80 | 0.94 | 3.10 | (3.86) | 20.48 | 4) |
EXTRACT OF UNAUDITED FINANCIAL RESULTS FOR THE QUARTER & HALF YEAR ENDED 30™ SEPTEMBER, 2021
| prescribed under section 133 of the Companies Act, 2013 and the other recognised accounting practices and policies to the |
|---|
| extent applicable. |
| period (5+6) | subsequently to profit or loss Total Other Comprehensive Income(a+b) . Total Comprehensive Income for the Paid-up equity share capital (Ordinary shares of Rs.10 each) |
0.56 (4.14) 750 750 |
14.26 750 |
29.46 (3.58) 750 750 |
308.06 (4.10) 750 750 (8956.71) |
0.80 14.33 750 750 |
(3.30) 750 |
29.57 308.27 750 750 |
|||
|---|---|---|---|---|---|---|---|---|---|---|---|
| 9.) Other Equity 10.) Eaming Per share a) Basic b) Diluted |
0.01 0.01 (0.06) (0.06) |
0.19 0.19 | 0.39 0.39 (0.05) (0.05) |
411 4.11 (0.05) (0.05) |
0.01 0.01 | (0.04) (0.04) | (8690.36) 0.39 0.39 4.11 411 |
||||
| Notes: | 1. The above results were reviewed and recommended by the Audit Committee and approved by the Board of Directors at its meeting held on November 11, 2021. 2. The financial results of the company are prepared in accordance with the Indian Accounting Standards({Ind-AS) as prescribed under section 133 of the Companies Act, 2013 read with Rule 3 of the Companies (Indian Accounting Standards) Rules, |
||||||||||
| 2015 and Companies (Indian Accounting Standards) Amendment Rules, 2016. 3. The securities and Exchange Board of India have cancelled the registration of the company as a Stock Broker. 4, Other Income includes dividend income of Rs. 4.27 lacs for the quarter ended 30th September, 2021 which has been accounted as per Form 26 AS. Further, it also includes interest on fixed deposits with ICICI Bank of Rs. 12.44 lacs which is subject to |
|||||||||||
| confirmation from ICICI. | 5. During the quarter the Company has debited the legal expenses pertaining to earlier years. 6. Figures for the previous periods/year arere-classified/re-arranged/re-grouped, wherever necessary. |
of Triumph International Finance India Limited | For and on behalf of the Board | ||||||||
| Place ; Mumbai Date : November 11, 2021 |
Nagesh Kutaphale/ Director |
||||||||||
| Rama | |||||||||||
| (Rama) | SP hosphutes Ld. | ||||||||||
| Regd. Office: 51/52, Free Press House, Nariman Point, Mumbai-400 021 | |||||||||||
| Tel.No.: 022-2283 3355/6154 5100; Fax: 022-22049946; Email: [email protected]; | Website: www.ramaphosphates.com; Corporate Identification No.: L24110MH1984PLC033917 | ||||||||||
| EXTRACT OF UNAUDITED FINANCIAL RESULTS | |||||||||||
| FOR THE QUARTER & HALF YEAR ENDED 30™ SEPTEMBER, 2021 | |||||||||||
| (= in Lacs) | |||||||||||
| Quarter Ended | Half Year Ended | Year Ended | |||||||||
| S Subramaniam | Sdi | Particulars | 30.09.2021 30.06.2021 30.09.2020 30.09.2021 30.09.2020 31.03.2021 | ||||||||
| Total Income from operations (net) | 24,829.76 | 18,265.14 | 11,490.55 | Unaudited Unaudited Unaudited (Unaudited) (Unaudited) (Audited) | 43,094.90 22,041.05 58,106.95 | ||||||
| Net Profit/(Loss) for the period | |||||||||||
| (before Tax, Exceptional and/or | 2,438.55 5,665.16 | ||||||||||
| Extra ordinary items) Net Profit/(Loss) for the period before |
3,103.82 | 2,684.64 | 1,536.72 | 5,788.46 | |||||||
| Tax (after Exceptional and/or | 3,103.82 | 2,684.64 | 5,788.46 | 2,438.55 5,665.16 | |||||||
| Extra ordinary items) Net Profit/(Loss) for the period after |
1,536.72 | ||||||||||
| Tax, Exceptional and/or | 2,271.91 | 1,991.17 | 1,129.82 | 4,263.08 | 1,786.67 4,210.93 | ||||||
| Extra ordinary items Total Comprehensive Income for the |
|||||||||||
| period [Comprising Profit/(Loss) for the | |||||||||||
| period (after tax) and other Comprehensive Income (after tax)] |
2,229.66 | 1,979.40 | 1,110.94 | 4,209.06 | 1,738.46 | 4,173.10 | |||||
| Equity Share Capital | 1,767.43 | 1,767.43 | 1,767.43 | 1,767.43 | 1,767.43 | 1,767.43 | |||||
| Reserves (Excluding Revaluation Reserve as shown in the Balance Sheet |
|||||||||||
| of previous year | 18,660.68 | 18,660.68 14,841.44 | 18,660.68 14,841.44 18,660.68 | ||||||||
| (As on | (As on | (As on | (As on 31.03.2021) 31.03.2021) 31.03.2020) 31.03.2021) (81.03.2020) 31.3.2021) |
(As on | (As on | ||||||
| 7.24 | Earning Per Share | ||||||||||
| Basic - = | (before extraordinary items) of F 10/- each | 12.84 | 11.25 | 6.39 | 24.09 | 10.10 | 23.80 | ||||
| Diluted - % | 12.84 | 11.25 | 6.39 | 24.09 | 10.10 | 23.80 | |||||
| Earning Per Share (after extraordinary items) of F 10/- each |
|||||||||||
| Basic - = Diluted - = |
12.84 12.84 |
11.25 11.25 |
6.39 6.39 |
24.09 24.09 |
10.10 10.10 |
23.80 23.80 |
|||||
| Notes: | |||||||||||
| 1) The above result have been reviewed by the Audit Committee and were taken on the record by the Board at their Board | |||||||||||
| meeting held on 11° November, 2021. The statutory Auditor have carried out a Limited Review of the Unaudited Financial Result for the quarter ended 30" September, 2021. |
|||||||||||
| 2) | The Board of Directors have recommended an interim dividend of = 1.20 per Equity share (12% on face value of = 10/- shares) |
||||||||||
| 3) | Tax, Including Deferred tax is accounted based on quarterly results and difference, if any, will be adjusted in the last quarter | ||||||||||
| 20.48 | for annual tax/deferred The Statement has been prepared in accordance with the Companies (Indian Accounting Standard) Rules, 2015 (IndAS) |
tax. | |||||||||
| 4) | prescribed under section 133 of the Companies Act, 2013 and the other recognised accounting practices and policies to the | ||||||||||
| extent applicable. The above is an extract of the detailed format of Quarterly Financial Result filed with the Stock Exchange under Regulation |
|||||||||||
| 5) | 33 of the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015. The Full format of the Quarterly | ||||||||||
| Financial Results are available on the Stock Exchange website (www.bseindia.com) 6) Figures of the previous quarter/period have been regrouped/rearranged, whereever necessary to make them comparable. |
|||||||||||
| By order of the Board | |||||||||||
| Sdi/- | For Rama Phosphates Ltd. | ||||||||||
| KILACHAND - 00006659) |
H. D. Ramsinghani | ||||||||||
| Chairman | Place : Mumbai Date : 11 November, 2021 |
Chairman & Managing Director | DIN : 00035416 | ||||||||
| ALICON CASTALLOY LIMITED | |||||||||||
| CIN: L99999PN1990PLC059487 | |||||||||||
| Reg. Off. & Works - Gat No. 1426, Shikrapur, Tal - Shirur, District - Pune - 412 208. | |||||||||||
| Wesbsite: www.alicongroup.co.in Email: [email protected] Statement of Standalone & Consolidated Financial Results for the quarter and half year ended 30th September 2021 |
(Rs. In Lakhs) | ||||||||||
| Sr. No. |
Particulars | 30.09.2021 30.06.2021 30.09.2020 30.09.2021 30.09.2020 31.03.2021 Un-Audited Un-Audited Un-Audited Un-Audited Un-Audited Audited |
Quarter ended | Half Year Ended | Year Ended | Total Income 2.) Expenses |
|||||||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| 1 Total Income from operations 2 Net Profit (+)/Loss(-) for the period (before tax, Exceptional and/or Extraodinary items) |
0.003 (6.388) |
(7.698) | 0.086 | 0.019 (12.824) |
0.089 (14.086) |
0.042 (18.841) |
0.416 (32.147) |
||||||
| 3 Net Profit (+)/Loss(-) for the period before tax (after Exceptional and/or Extraodinary items) |
(6.388) | (7.698) | (12.824) | (14.086) | (18.841) | (32.147) | Oopew . Tax expense |
||||||
| 4 Net Profit (+)/Loss(-) for the period after tax (after Exceptional and/or Extraodinary items) 5 Total Comprehensive Income for the period |
(6.388) 0.049 |
(7.698) | 0.042 | (12.824) | (14.086) 0.091 |
(18.841) | (32.147) 0.208 |
||||||
| [(Comprising profit/Loss for the period (after tax) and other Comprehensive Income (after tax)] 6 Equity share capital |
93.327 | 93.327 | 93.327 | 93.327 | 93.327 | 93.327 | os period (5+6) 9.) Other Equity 10.) Eaming Per share |
||||||
| 7 Reserves (excuding Revaluation Reserve) as shown in the Audited Balance Sheet of the previous year |
a) Basic b) Diluted Notes: |
||||||||||||
| a. Basic: | 8 Earning per share (of Rs.1 /-- each) for continuing and discontinued operations |
(0.068) | (0.082) | (0.137) | (0.151) | (0.202) | (0.344) | ||||||
| b. Diluted: | In respect to standalone results of the Company, the amounts are as follows: | (0.068) | (0.082) | (0.137) | (0.151) | (0.202) | (0.344) | confirmation from ICICI. Place ; Mumbai |
|||||
| Sr. No. |
Particulars | 30.09.2021 30.06.2021 30.09.2020 30.09.2021 30.09.2020 31.03.2021 | Quarter ended | Standalone | Half Year Ended | Year Ended | Date : November 11, 2021 | ||||||
| a Turnover | Un-Audited Un-Audited Un-Audited Un-Audited Un-Audited Audited 1.916 |
2.715 | 1.102 | 4.631 | 2.210 | 7.178 | |||||||
| Notes: | b Profit before tax c Profit after tax |
(6.425) (6.425) |
(6.776) (6.776) |
(11.944) (11.944) |
(13.021) (13.021) |
(17.071) (17.071) |
(30.370) (30.370) |
||||||
| 1 The above is an extract of the detailed format of Quarterly Unaudited Financial Results (Consolidated & Standalone) filed with the Stock Exchanges under Regulation 33 of the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015. The full format of the Quarterly Unaudited Financial Results (Consolidated & Standalone) are available on the websites of the Stock Exchange (www.bseindia.com) and the website of the |
|||||||||||||
| Company (www.deccangoldmines.com) 2 Previous year's figures have been regrouped/rearranged wherever necessary to make them comparable. 3 The above results, has been reviewed and recommended by the Audit Committee and approved by the Board of Directors at its meeting held on 11th |
|||||||||||||
| November, 2021 as per Regulation 33 of SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015. | For Deccan Gold Mines Limited | ||||||||||||
| Place : Bengaluru Date : 11th |
November, 2021 | Sdi S Subramaniam Executive Director, DIN: 06389138 |
|||||||||||
| Polychem Limited | |||||||||||||
| Website: www.polychemltd.com, Telephone: 91 22 22820048, | REGD. OFFICE - 7 J TATA ROAD, MUMBAI - 400 020. CIN NO: L24100MH1955PLC009663 |
||||||||||||
| Extract of Unaudited Standalone Financial Results For The Quarter | EMAIL: [email protected] Ended September 30, 2021 |
||||||||||||
| sr | and Half Year | TSepPi [Belun-2 [30-Sep-20 H0-Sep-21 | 30-Sep-70 31-Marzt | (Rs. In Lakhs) | |||||||||
| No. | PARTICULARS 1 Total income from operations (net) |
Unaudited Unaudited Unaudited Unaudited Unaudited Audited 467.43 |
431.86 | 279.11 | 899.29 | 470.89 1,223.67 | |||||||
| 2 Net Profit/(Loss) for the period before Tax 3 Net Profit/(Loss) for the period after Tax 4 Total Comprehensive Income for the period |
10.08 10.42 11.11 |
8.10 8.65 9.34 |
(5.38) (6.09) (7.09) |
18.18 19.07 20.45 |
(0.32) (1.07) (3.25) |
27.88 29.25 31.99 |
|||||||
| 5 Paid-up Equity Share Capital (Face Value Rs.10/- per Share) |
40.40 | 40.40 | 40.40 | 40.40 | 40.40 | 40.40 | |||||||
| 6 Other Equity (excluding Revaluation reserve) as shown in the Balance Sheet of previous year) 7 Earning per share (EPS) before |
1,958.10 | ||||||||||||
| extraordinary items (of Rs.10/-each) Annualized) -Basic & Diluted (not |
: (In Rs.)* | 2.58 | 2.14 | (1.51) | 4.72 | (0.27) | 7.24 | ||||||
| *EPS | not annualised Quarter/Half for the is Extract of Unaudited Consolidated Financial Results For |
year | ended Sept |
30, 2021, | June | 30, 2021 and |
Sept 30, |
2020. | |||||
| Sr | The Quarter and | Half Year Ended Sept 30, 2021 | Quarter ended on | Half Year ended | (Rs. In Lakhs) Year ended |
||||||||
| No, | PARTICULARS 1 Total income from operations (net) |
30-Sep-21 30-Jun-21 30-Sep-20 30-Sep-21 30-Sep-20 31-Mar-21 Unaudited [Unaudited Unaudited Unaudited Unaudited Audited 858.83 |
792.23 | 613.58 1,651.06 | 941.98 2,605.64 | ||||||||
| 2 Net Profit/(Loss) for the period before Tax 3 Net Profit/(Loss) for the period after Tax 4 Total Comprehensive Income for the period} |
(36.85) (36.51) |
42.93 43.48 |
12.90 12.19 |
6.09 (27.17) 6.98 (27.92) |
126.93 128.30 |
Notes: | |||||||
| 5 Paid-up Equity Share Capital (Face Value Rs.10/- per Share) |
(32.92) 40.40 |
44.39 40.40 |
10.60 40.40 |
11.47 (31.28) 40.40 |
40.40 | 137.29 40.40 |
|||||||
| 6 Other Equity (excluding Revaluation reserve) as shown in the Balance Sheet of previous year) 7 Earning per share (EPS) before |
2,511.70 | 2) | |||||||||||
| extraordinary items (of Rs.10/-each) Annualized) -Basic & Diluted (not |
: (In Rs.)* | (3.70) | 6.80 | 0.94 | 3.10 | (3.86) | 20.48 | 3) 4) |
|||||
| *EPS | not annualised Quarter/Half for the is Notes:- 1 The above is an extract of the detailed format of Quarterly/Half Yearly/Annual Financial Results filed with the Stock |
year | ended Sept |
30, 2021, | June 30, 2021 | and Sept 30, |
2020. | ||||||
| Exchange under Regulation 33 of the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015. The full Format of the Quarterly/Half Yearly/Annual Financial Results are available on the Stock Exchange website (www. bseindia.com) and the Company's website (www.polychemltd.com). |
5) | ||||||||||||
| 2 The above results have been reviewed by the Audit Committee and approved by the Board of Directors in their meeting held on November 11, 2021. 3 The Statutory auditor of the Company have conducted limited review of the financial results for the quarter and half year |
|||||||||||||
| ended Sept 30, 2021. | By Order of the Board TR |
KILACHAND | Sdi/- | ||||||||||
| Place | : Mumbai November, Date :11th 2021 |
(DIN | - 00006659) Chairman |
||||||||||
| PUBLIC NOTICE | |||||||||||||
| Shri Digambar Narayan Satam a Member of the Madhusudan SRA |
Valicon | ||||||||||||
| Co-op. Hsg. Society Ltd. having address at Madhusudan SRA Co-op. Housing Society Ltd., C.T.S. 225 part 225/1 to 32,Kokan Nagar, JM Road, |
Casting The Future | ||||||||||||
| Bhandup (W), Mumbai-400078 and | |||||||||||||
| the capital/property of the society | (Before Tax, Exceptional And / Or Extraordinary Items) | ||||||||||||
| copies, of such documents and other ne ot |
(After Exceptional And / Or Extraordinary Items) | ||||||||||||
| cal ims/\ objections | society. If no claims/objections are | (After Exceptional And / Or Extraordinary Items) (Comprising Profit/(Loss) For The Period (After Tax) And |
|||||||||||
| Sbove, the ociety' shall prescribed | Other Comprehensive Income (After Tax) | ||||||||||||
| the deceased member in the capital/ | 7 Earnings Per Share (Of Rs. 5/- Each) | ||||||||||||
| objections, if any, received by the society for transfer of shares and |
(EPS is not annualised) | ||||||||||||
| interest of the deceased member in the capital/property of the society shall be dealt with in the manner provided under the bye-laws of the |
bk wWohNnN — | The Company operates only in one segment, namely Aluminum castings. | |||||||||||
| society copy of the registered bye laws. of the society is available for inspection by the claimants/ |
|||||||||||||
| objectors, in the office of the society/ with the Administrator of the society between 10 AM to 5 PM from the date |
6 | ||||||||||||
| of | publication of the notice till the date of expiry of its period. |
Equity Share). The Net proceeds of the issue mainly utilized for repayment of Debts and other general business purposes. | |||||||||||
| Place : Bhandup, Mumbai | Date: 12th November, 2021. For and on behalf of |
7 | |||||||||||
| The Madhusudan SRA Co-op. Housing Society Ltd |
Place: Pune | Date : 11th November 2021 |
- The above is an extract of the detailed format of Quarterly Financial Result filed with the Stock Exchange under Regulation 33 of the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015. The Full format of the Quarterly Financial Results are available on the Stock Exchange website (www.bseindia.com)
- 6) Figures of the previous quarter/period have been regrouped/rearranged, whereever necessary to make them comparable.
PUBLIC NOTICE
| 1 Total income from operations (net) | 467.43 | 431.86 | 279.11 | 899.29 | 470.89 1,223.67 | period [Comprising Profit/(Loss) for the | ||||||||||||||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| 2 Net Profit/(Loss) for the period before Tax | 10.08 | 8.10 | (5.38) | 18.18 | (0.32) | 27.88 | period (after tax) and other | |||||||||||||
| 3 Net Profit/(Loss) for the period after Tax | 10.42 | 8.65 | (6.09) | 19.07 | (1.07) | 29.25 | Comprehensive Income (after tax)] | 2,229.66 | 1,979.40 | 1,110.94 | 4,209.06 | 1,738.46 | 4,173.10 | |||||||
| 4 Total Comprehensive Income for the period | 11.11 | 9.34 | (7.09) | 20.45 | (3.25) | 31.99 | Equity Share Capital | 1,767.43 | 1,767.43 | 1,767.43 | 1,767.43 | 1,767.43 | 1,767.43 | |||||||
| 5 Paid-up Equity Share Capital | Reserves (Excluding Revaluation | |||||||||||||||||||
| (Face Value Rs.10/- per Share) | 40.40 | 40.40 | 40.40 | 40.40 | 40.40 | 40.40 | Reserve as shown in the Balance Sheet | |||||||||||||
| 6 Other Equity (excluding Revaluation reserve) as shown in the Balance Sheet of previous year) |
1,958.10 | of previous year | 18,660.68 | 18,660.68 14,841.44 | 18,660.68 14,841.44 18,660.68 | |||||||||||||||
| 7 Earning per share (EPS) before | (As on | (As on | (As on | (As on | (As on | (As on | ||||||||||||||
| extraordinary items (of Rs.10/-each) | 31.03.2021) 31.03.2021) 31.03.2020) 31.03.2021) (81.03.2020) 31.3.2021) | |||||||||||||||||||
| Annualized) -Basic & Diluted : (In Rs.)* (not |
2.58 | 2.14 | (1.51) | 4.72 | (0.27) | 7.24 | Earning Per Share | |||||||||||||
| (before extraordinary items) of F 10/- each | ||||||||||||||||||||
| *EPS | not annualised Quarter/Half for the is |
ended year |
Sept 30, 2021, |
June 30, 2021 |
and Sept |
2020. 30, |
Basic - = | 12.84 | 11.25 | 6.39 | 24.09 | 10.10 | 23.80 | |||||||
| Extract of Unaudited Consolidated Financial Results For | Half Year Ended Sept 30, 2021 | Diluted - % | 12.84 | 11.25 | 6.39 | 24.09 | 10.10 | 23.80 | ||||||||||||
| The Quarter and | (Rs. In Lakhs) | Earning Per Share | ||||||||||||||||||
| Sr | Quarter ended on 30-Sep-21 30-Jun-21 30-Sep-20 30-Sep-21 30-Sep-20 31-Mar-21 |
Half Year ended | Year ended | (after extraordinary items) of F 10/- each | ||||||||||||||||
| No, | PARTICULARS | Unaudited [Unaudited Unaudited Unaudited Unaudited Audited | Basic - = | 12.84 | 11.25 | 6.39 | 24.09 | 10.10 | 23.80 | |||||||||||
| 1 Total income from operations (net) | 858.83 | 792.23 | 613.58 1,651.06 | 941.98 2,605.64 | Diluted - = | 12.84 | 11.25 | 6.39 | 24.09 | 10.10 | 23.80 | |||||||||
| 2 Net Profit/(Loss) for the period before Tax | (36.85) | 42.93 | 12.90 | 6.09 (27.17) | 126.93 | Notes: | ||||||||||||||
| 3 Net Profit/(Loss) for the period after Tax | (36.51) | 43.48 | 12.19 | 6.98 (27.92) | 128.30 | 1) The above result have been reviewed by the Audit Committee and were taken on the record by the Board at their Board | ||||||||||||||
| 4 Total Comprehensive Income for the period} | (32.92) | 44.39 | 10.60 | 11.47 (31.28) | 137.29 | meeting held on 11° November, 2021. The statutory Auditor have carried out a Limited Review of the Unaudited Financial | ||||||||||||||
| 5 Paid-up Equity Share Capital | Result for the quarter ended 30" September, 2021. | |||||||||||||||||||
| (Face Value Rs.10/- per Share) | 40.40 | 40.40 | 40.40 | 40.40 | 40.40 | 40.40 | 2) | The Board of Directors have recommended an interim dividend of = 1.20 per Equity share (12% on face value | ||||||||||||
| 6 Other Equity (excluding Revaluation reserve) as shown in the Balance Sheet of previous year) |
of = 10/- shares) | |||||||||||||||||||
| 7 Earning per share (EPS) before | 2,511.70 | Tax, Including Deferred tax is accounted based on quarterly results and difference, if any, will be adjusted in the last quarter | ||||||||||||||||||
| extraordinary items (of Rs.10/-each) | 3) | for annual tax/deferred | tax. | |||||||||||||||||
| Annualized) -Basic & Diluted : (In Rs.)* (not |
(3.70) | 6.80 | 0.94 | 3.10 | (3.86) | 20.48 | 4) | The Statement has been prepared in accordance with the Companies (Indian Accounting Standard) Rules, 2015 (IndAS) | ||||||||||||
| *EPS | not annualised Quarter/Half for the is |
ended year |
Sept 30, 2021, |
June 30, 2021 | and Sept | 2020. 30, |
prescribed under section 133 of the Companies Act, 2013 and the other recognised accounting practices and policies to the | |||||||||||||
| Notes:- | extent applicable. | |||||||||||||||||||
| 1 The above is an extract of the detailed format of Quarterly/Half Yearly/Annual Financial Results filed with the Stock | 5) | The above is an extract of the detailed format of Quarterly Financial Result filed with the Stock Exchange under Regulation | ||||||||||||||||||
| Exchange under Regulation 33 of the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015. The full Format of the Quarterly/Half Yearly/Annual Financial Results are available on the Stock Exchange website |
33 of the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015. The Full format of the Quarterly | |||||||||||||||||||
| (www. bseindia.com) and the Company's website (www.polychemltd.com). | Financial Results are available on the Stock Exchange website (www.bseindia.com) | |||||||||||||||||||
| 2 The above results have been reviewed by the Audit Committee and approved by the Board of Directors in their meeting held on November 11, 2021. |
6) Figures of the previous quarter/period have been regrouped/rearranged, whereever necessary to make them comparable. | |||||||||||||||||||
| 3 The Statutory auditor of the Company have conducted limited review of the financial results for the quarter and half year | By order of the Board | |||||||||||||||||||
| ended Sept 30, 2021. | By Order of the Board | For Rama Phosphates Ltd. | ||||||||||||||||||
| TR | Sdi/- KILACHAND |
|||||||||||||||||||
| Place | : Mumbai | (DIN | - 00006659) Chairman |
H. D. Ramsinghani | ||||||||||||||||
| November, Date :11th 2021 |
Place : Mumbai Date : 11 November, 2021 |
Chairman & Managing Director | ||||||||||||||||||
| PUBLIC NOTICE | ||||||||||||||||||||
| Shri Digambar Narayan Satam a | ALICON CASTALLOY LIMITED | |||||||||||||||||||
| Member of the Madhusudan SRA | CIN: L99999PN1990PLC059487 | |||||||||||||||||||
| Co-op. Hsg. Society Ltd. having address at Madhusudan SRA Co-op. |
Valicon | Casting The Future | Reg. Off. & Works - Gat No. 1426, Shikrapur, Tal - Shirur, District - Pune - 412 208. | |||||||||||||||||
| Housing Society Ltd., C.T.S. 225 part 225/1 to 32,Kokan Nagar, JM Road, |
Wesbsite: www.alicongroup.co.in Email: [email protected] | |||||||||||||||||||
| Bhandup (W), Mumbai-400078 and | Statement of Standalone & Consolidated Financial Results for the quarter and half year ended 30th September 2021 | (Rs. In Lakhs) | ||||||||||||||||||
| holding Flat No- C-103 in the building | STANDALONE | CONSOLIDATED | ||||||||||||||||||
| of the society, died on 28-03-2021 without making any nomination. x. |
Particulars | Quarter ended | Half Year Ended Sept 30, June 30, Sept 30, Sept 30, Sept 30, March 31 Sept 30, June 30, Sept 30, Sept 30, Sept 30, March 31 |
Year ended | Quarter ended | Half Year Ended | Year ended | |||||||||||||
| : | Pe : |
2021 | 2021 | 2020 | 2021 | 2020 | 2021 | 2021 | 2021 | 2020 | 2021 | 2020 | 2021 | |||||||
| objections from the helt or heite or | Unaudited Unaudited Unaudited Unaudited Unaudited Audited Unaudited Unaudited Unaudited Unaudited Unaudited Audited | |||||||||||||||||||
| other dlaimants/objector or objectors | 1 Total Income From Operations Sales / Income From Operation 24,116.91 17,633.25] | 17,947.76] | 41,750.16] | 21,468.39] | 73,183.85] 26,780.02] | 21,074.70] | 20,458.93) | 47,854.72 25,756.93 84,857.02 | ||||||||||||
| Wo reat at the dereneed sranban | Net Profit/(Loss) For The Period | 18.14] | (902.85) | 539.17] | (884.71) (3,894.25) | (551.61) | 465.76] | (321.95) | 561.32] | 143.81] (3,911.43) | 108.19 | |||||||||
| the capital/property of the society | (Before Tax, Exceptional And / Or Extraordinary Items) | |||||||||||||||||||
| within a period of 20 (Ten) days from | 3 Net Profit/(Loss) For The Period Before Tax | 18.14] | (902.85) | 539.17] | (884.71) (3,894.25) | (551.61) | 465.76] | —(321.95) | 561.32] | 148.81] (3,911.43) | 108.19 | |||||||||
| copies, of such documents and other proofs in support of his/her/their |
(After Exceptional And / Or Extraordinary Items) 4 Net Profit/(Loss) For The Period After Tax |
18.40 | (999.00) | 506.07 | (980.60) (3,853.69) | (746.14) | 302.24 | (419.66) | 528.22 | (117.42) (3,870.87) | (192.50) | |||||||||
| cal ims/\ objections | ne ot | (After Exceptional And / Or Extraordinary Items) | ||||||||||||||||||
| member in capital/property of the | 5 Total Comprehensive Income For The Period | 22.67] | (1,024.06) | 532.15] (1,001.39) (3,854.76)} | (748.46) | 211.88/ | (261.94)} | 586.14] | (50.06) (3,765.63) (109.77) | |||||||||||
| society. If no claims/objections are | (Comprising Profit/(Loss) For The Period (After Tax) And | |||||||||||||||||||
| Sbove, the ociety' shall prescribed | Other Comprehensive Income (After Tax) | |||||||||||||||||||
| deal with the shares and interest of | 6 Equity Share Capital | 805.60] | 704.88) | 695.51) | 805.60] | 695.51 | 695.51] | 805.60 | 704.88] | 695.51] | 805.60 | 695.51] | 695.51 | |||||||
| the deceased member in the capital/ | 7 Earnings Per Share (Of Rs. 5/- Each) | |||||||||||||||||||
| property of the society in suc manner ass provided under the bye- |
1) Basic : |
0.12 | (7.1 | 3.66 | (6.54) | (27.92) | (5.38) | 1.90 | (3.00) | 3.82 | (0.78) | (28.05) | 1.39) | |||||||
| laws of the society. The claims/ objections, if any, received by the |
2) Diluted (EPS is not annualised) |
0.12 | (7.1 | 3.64 | 6.54) | (27.92) | 5.38) | 1.92 | 3.00) | 3.80 | (0.78) | (28.05) | 1.39) | |||||||
| society for transfer of shares and | ||||||||||||||||||||
| interest of the deceased member in the capital/property of the society |
The Company operates only in one segment, namely Aluminum castings. | |||||||||||||||||||
| shall be dealt with in the manner | This statement has been prepared in accordance with Companies (Indian Accounting Standards) Rules, 2015 (Ind AS) prescribed under section 133 of the Companies Act 2013 and other recognised accounting practices and policies to the extent applicable. | |||||||||||||||||||
| bk wWohNnN — provided under the bye-laws of the society copy of the registered bye |
The above results have been reviewed by the Audit Committee and approved by the Board of Directors at their respective meetings held on 10th and 11th November, 2021. The Company continues to actively manage its business during COVID-19 pandemic and has not yet experienced significant changes on the business impact than estimated earlier. In assessing the assumptions relating to the possible future uncertainties in the global |
|||||||||||||||||||
| laws. of the society is available for | economic conditions, nothing has come to the attention of the Company through internal and external sources, which warrants a reassessment of carrying amounts of financial and non-financial assets on the expected future performance of the Company. | |||||||||||||||||||
| inspection by the claimants/ | 5 The Central Govemment has published The Code on Social Security , 2020 and Industrial Relations Code,2020 ("the codes") in the Gazette of India, interalia , subsuming various existing labour and industrial laws which deals with employees including post-employment | |||||||||||||||||||
| objectors, in the office of the society/ with the Administrator of the society |
period. The effective date of the code and rule are yet to be notified. The impact of legislative changes if any will be assessed and recognized post notification of relevant provision. | |||||||||||||||||||
| between 10 AM to 5 PM from the date 6 |
During the half yearended September 30, 2021, the Company has issued and allotted 14,81 ,481 Equity Shares of face value of Rs. 5/- each through Qualified Institutional Placement (QIP) to eligible Qualified Institutional Buyers (QIBs) at the issue price of ' 540/- per Equity | |||||||||||||||||||
| of | publication of the notice till the date of expiry of its period. |
Share {including a premium of 1 535/- per Equity Share) and also issued and allotted 532,860 equity Shares of face value of Rs. 5/- each through preferential allotmentto Mr. S. Rai and Enkei Corporation atthe issue price of Rs. 563/- (including premium of Rs. 558/- per | ||||||||||||||||||
| Date: 12th November, 2021. 7 |
Equity Share). The Net proceeds of the issue mainly utilized for repayment of Debts and other general business purposes. | |||||||||||||||||||
| Place : Bhandup, Mumbai | Figures have been regrouped wherever necessary to make them comparable. | For Alicon Castalloy Ltd. | ||||||||||||||||||
| For and on behalf of | S. Rai | |||||||||||||||||||
| The Madhusudan SRA Co-op. Housing Society Ltd |
Place: Pune Date : 11th November 2021 |
DIN : 00050950 | Managing Director |

केएसबी लिमिटेड नोंदणीकृत कार्यालय : कार्यालय क्र. ६०१, रुणवाल आर-स्क्वेअर, एल.बी.एस. मार्ग, मुलुंड (पश्चिम), मुंबई - ४०० ०८० सीआयएन: एल२९१२०एमएच१९६०पीएलसी०११६३५; दू. क्र. : ०२२ २१६८ १३००;
ईमेल : [email protected]; वेबसाईट : www.ksbindia.co.in
३० सप्टेंबर, २०२१ रोजी संपलेली तिमाही आणि नऊ महिन्याकरिता
| एकत्रित अलेखापरिक्षित वित्तीय निष्कर्षाचा उतारा | (भा.रु. दशलक्षात) | ||||
|---|---|---|---|---|---|
| तपशील | संपलेली तिमाही ३० सप्टेंबर. २०२१ |
संपलेल्या चाल कालावधीकरिता तारखेपर्यंत वर्षाची आकडेवारी ३० सप्टेंबर, २०२१ |
संपलेली तिमाही ३० सप्टेंबर, २०२० |
||
| (अलेखापरिक्षित) | (अलेखापरिक्षित) | (अलेखापरिक्षित) | |||
| प्रवर्तनातून एकूण उत्पन्न | ३,७८० | १०,७८२ | ३,६८९ | ||
| कालावधीकरिता निव्वळ नफा/(तोटा) (कर, अपवादात्मक बाबीपूर्व) |
४९५ | १.४२९ | ५६२ | ||
| करपूर्व कालावधीकरिता निव्वळ नफा / (तोटा) (अपवादात्मक बाबी आणि सहयोगी कंपनीमधील गुंतवणुकीच्या संदर्भातील नफ्याचा हिस्सा पश्चात) |
402 | 8,803 | ५७९ | ||
| करपश्चात कालावधीकरिता निव्वळ नफा/(तोटा) (अपवादात्मक बाबी आणि सहयोगी कंपनी मधील गुंतवण्कीच्या संदर्भातील नफ्याचा हिस्सा पश्चात) |
३८९ | 8.800 | ४२७ | ||
| कालावधीकरिता एकूण सर्वसमावेशक उत्पन्न (कालावधीकरिता नफा/(तोटा) (कर पश्चात) आणि इतर सर्व समावेशक उत्पन्न (करपश्चात) समाविष्ट) |
३८६ | १,०९२ | 886 | ||
| समभाग भांडवल | ३४८ | ३४८ | ३४८ | ||
| प्रती समभाग मूलभूत आणि सौम्यिकृत प्राप्ती (प्रत्येकी रु. १०/- च्या) (अखंडीत आणि खंडित परिचालनाकरिता) (भा. रु.त) |
११.१८ | ३१.६१ | १२.२७ | ||
| टिपा: १. अलिप्त निष्कर्षाचा तपशिल खालील प्रमाणे |
(भा.रु. दशलक्षात) | ||||
| तपशील | संपलेली तिमाही ३० सप्टेंबर. २०२१ |
संपलेल्या चाल् कालावधीकरिता तारखेपर्यंत वर्षाची आकडेवारी ३० सप्टेंबर, २०२१ |
संपलेली तिमाही ३० सप्टेंबर. २०२० |
||
| प्रवर्तनातून एकूण उत्पन्न | ३,७८० | 80,608 | ३,७२२ | ||
| करपूर्व नफा | 884 | १,४५६ ५९५ |
.
सेबी (लिस्टिंग ॲण्ड अदर डिस्क्लोजर रिक्वायरमेंटस्) २०१५ च्या रेग्युलेशन ३३ अंतर्गत स्टॉक एक्स्चेंजकडे दाखल .
केलेल्या तिमाही वित्तीय निष्कर्षाच्या तपशिलवार विवरणाचा वरील एक उतारा आहे. तिमाही वित्तीय निष्कर्षाचे संपूर्ण विवरण स्टॉक एक्स्चेंजेस च्या वेबसाईटस् www.bseindia.com आणि www.nseindia.com आणि कंपनीची वेबसाईट www.ksbindia.co.in वर उपलब्ध आहे
३७९ |
$0.30.8$
$x36$
करपश्चात नफा
| केएसबी लिमिटेड करिता | |
|---|---|
| सही / – | |
| ठेकाण : मंब ई | राजीव जैन |
| देनांक : १० नोव्हेंबर, २०२१ | व्यवस्थापकीय संचालक |
जारी केली होती कर्जदार आणि हमीदारांनी रक्कम चुकती करण्यास कसूर केली आहे म्हणून कर्जदार, हमीदार आणि सर्वसामान्य जनतेला सूचना याद्वारे देण्यात येते की, निम्नस्वाक्षरीकारांनी ..................................... ॲक्टच्या कलम १३ च्या पोटकलम (४) सहवाचता सिक्युरिटी इंटरेस्ट (एन्फोर्समेंट) रूल्स, २००२ च्या नियम ८ अन्वये त्यांना प्रदान केलेल्या अधिकाराचा वापर करू येथील खालील वर्णिलेल्या मिळकतीचा सांकेतिक कब्जा घेतला आहे.
रक्कम चुकती करण्यासाठी कर्जदार मे. उल्लनील हॉटेल्स ॲण्ड स्पा प्रायव्हेट लिमिटेड, द्वारे प्रतिनिधित्व तिचे संचालक श्री. ससिधरन, जिचे नोंदणीकृत कार्यालय आहे
३३/१३ ए-बी, न्यु संहिता कमर्शियल कॉम्प्लेक्स, अंधेरी कुर्ला रोड लगत, साकीनाका, अंधेरी (पूर्व), मुंबई– ४०००७२ आणि कॉर्पोरेट कार्यालय आह उल्लतील हॉटेल्स
अँण्ड स्पा प्रा. लि., उल्लतील हाऊस, पॉवर हाऊस एनएच बायपास समोर, व्यतिल्ला, कोची– ६८२०१९ आणि हमीदार श्री. ससिधरन, सध्या राहणार बी/१४०२, लेक
कॅस्टल, हिरानंदानी गार्डन, पवई, मुंबई– ४०००७६, श्रीम. श्रीविद्या ससिधरन, सध्या राहणार बी/१४०२, लेक कॅस्टल, हिरानंदानी गार्डन, पवई, मुंबई– ४०००७६ आणि मे. उळत्तील व्हिज्यअल मिडिया. दारे प्रतिनिधित्त्व तिचे प्रोप्रायटर श्री. ससिधरन. जिचे नोंदणीकत कार्यालय आहे सीसी क्र. ३९/५३८. मॉनस्टी रोड. एर्नाकल
साऊथ, कोची- ६८२०११ आणि कमर्शियल बिल्डिंग आहे अलंकार थिएटर कॉम्प्लेक्स, पोन्नानी येथे यांना बोलविण्यासाठी दिनाक २९.०४.२०२१ रोजीची मागणी सूचन
विशेषत: कर्जदार, हमीदार आणि सर्वसामान्य जनतेला याद्वारे सावधान करण्यात येते की, त्यांनी सदर मिळकतीसह व्यवहार करू नये आणि मिळकतीसह केलेला कोणताही .
व्यवहार हा३०.१०.२०२१ रोजीस रु. ४१,८५,४७,७४१.६७ (रुपये एकेचाळीस कोटी पंच्याऐंशी लाख सत्तेचाळीस हजार सातशे एकेचाळीस आणि पैसे सदुसष्ट मात्र) सह त्यावरील पूढील व्याज, खर्च आणि अनुषंगिक प्रभार या रकमेकरिता दि करुर वैश्य बँक लि. च्या प्रभाराच्या अधिन राहील
कर्जदार आणि हमीदारांचे लक्ष तारण मत्ता विमोचनासाठी उपलब्ध वेळेच्या संदर्भात ॲक्टच्या कलम १३ च्या पोटकलम (८) च्या तरतुर्दीकडे वेधण्यात येत आहे.
स्थावर मिळकतीचे वर्णन (परिशिष्ट ए)
उल्लतील हॉस्पिटॅलिटी प्रोजेक्ट प्रा. लि. (सध्या उल्लत्तील हॉटेल्स ॲण्ड स्पा प्रा. लि. अशी ज्ञात) च्या नावे असलेली मिळकत: .
आयटम–१: थवनाकडवु– वडकुकरा रोड, पल्लिपुरम गाँव, चेरथला तालुका, अलप्पुझा जिल्हा येथील सर्व्हे क्र. १५१/३ए२ मधील ४.०५ आरेस, सर्व्हे क्र. १५२/१०एः मधील २.०२ आरेस आणि सर्व्हे क्र. २९९/१/१ मधील १.०१ आरेस येथील जमीन आणि बांधकाम सुरु असलेली इमारतीसह सर्व मार्ग हक्क. सीमाबध्द– सर्व्हे क्र १५१/३ए३ मधील ४.०५ आरेस: पूर्व: वेंबनत् लेक; उत्तर: उल्लतील हॉस्पिटॅलिटीची मिळकत; पश्चिम: उल्लतील हॉस्पिटॅलिटीची मिळकत; दक्षिण: व्ही सी करियन .
यांची मिळकत; सर्व्हे क्र. १५२/१०ए२ मधील २.०२ आरेस आणि सर्व्हे क्र. २९९/१/१ मधील १.०१ आरेस: पूर्व: उल्लतील हॉस्पिटॅलिटीची मिळकत; उत्तर: सुरेंद्रन यांची मिळकत, पश्चिम: ३ फूट रुंद खाजगी मार्ग; दक्षिण: उछत्तील हॉस्पिटॅलिटी आणि सुरेंद्रन यांची मिळकत; आयटम–२: थवनाकडवु– वडक्कुकरा रोड, पछिपुरम गाव, चेरथला तालुका, अलप्पुझा जिल्हा येथील सर्व्हे क्र. १५१/६ए मधील १.२१ आरेस आणि सर्व्हे क्र. १५१/६बी मधील ०.८१ आरेस येथील जमीन आणि बांधकाम सुरु असलेली इमारतीसह सर्व मार्ग हक्क. सीमाबध्द– पूर्व: व्ही सी कुरियन यांची मिळकत; उत्तर: उल्लाल हॉस्पिटॅलिटीची मिळकत; पश्चिम: सदाप्पन यांची मिळकत दक्षिण: सिनी यांची मिळकत; आयटम–३: थवनाकडवु– वडक्ककरा रोड, पल्लिपुरम गाव, चेरथला तालुका, अलप्पुझा जिल्हा येथील सर्व्हे क्र. १५१/५ए३ मधील १.८: आरेस आणि सर्व्हे क्र. १५१/६बी मधील ०.८१ आरेस येथील जमीन आणि बांधकाम सरु असलेली इमारतीसह सर्व मार्ग हक्क. सीमाबध्द– पर्व: उळतील हॉस्पिटॅलिट आणि जोस थकाडिपुराथ यांची मिळकत; उत्तर: २ मीटर रुंद पॅसेज; पश्चिम: उल्लतील हॉस्पिटॅलिटीची मिळकत; दक्षिण: उल्लतील हॉस्पिटॅलिटीची मिळकत; आयटम-४: थवनाकडवु- वडकुकार रोड, पल्लिपुरम गाव, चेरथला तालुका, अलप्पुझा जिल्हा येथील सर्व्हे क्र. १५१/६ बी मधील २.०२ आरेस आणि सर्व्हे क्र. १५१/५ए/ मधील ०.२० आरेस येथील जमीन आणि बांधकाम सरु असलेली इमारतीसह सर्व मार्ग हक्क. सीमाबध्द- पर्व: की सी करियन यांची मिळकत: उत्तर: उळतील हॉस्पिटॅलिटीची मिळकत आणि २ मी. रुंद प्रायव्हेट पॅसेज; पश्चिम: सदाप्पन यांची मिळकत; दक्षिण: उल्लतील हॉस्पिटॅलिटीची मिळकत; आयटम–ं५: थबनाकडबु-्तः ज्ञानसारी मानवान् । सामानवान् । सामानवान् । सामानवान् । सामानवान् । सामानवान् । सामानवान् । सामानवान् । सा
- बडकुकरा रोड, पद्धिपुरम गाव, चेरथला तालुका, अलप्पुझा जिल्हा येथील सर्व्हे इ. १५१/६ वी. मधील ४.०५ आरेस येथील ज .
हॉस्पिटॅलिटीची मिळकत; आयटम−६: थवनाकडवु– वडकुकारा रोड, पल्लिपुरम गाव, चेरथला तालुका, अलप्पुझा जिल्हा येथील सब्हे क्र. १५१/६ ए४ मधील १७.८१ आरेस येथील जमीन आणि बांधकाम सुरु असलेली इमारतीसह सर्व मार्ग हक्क. सीमाबध्द– पूर्व: जोस कुंबायिल आणि सदाप्पन यांची मिळकत ; उत्तर: मार्ग आणि सदाप्प यांची मिळकत: पश्चिम: पंचायत रोड आणि ओनथिरिकल यांची मिळकत: दक्षिण: पंचायत रोड आणि ओनथिरिकल यांची मिळकत: आयटम-७: थवनाकडव .
वडकुकरा रोड, पल्लिपुरम गाव, चेरथला तालुका, अलप्पुझा जिल्हा येथील सर्व्हे क्र. १५१/४/२ मधील ५ सेंटस् (२.०२ आरेस), सर्व्हे क्र. १५१/२ मधील ४७ सेंटर (१९.०२ आरेस), सॅव्हें क्र. १५२/१०ए/२ मधील ११ सेंटस् (४.४५ आरेस), सर्व्हे क्र. १५२/१०ए/१ मधील ४ सेंटस् (१.६२ आरेस), सर्व्हे क्र. २९९/१/२ मधील २५ सेंटस् (१०.१२ आरेस), सर्व्हे क्र. २९९/१/३५ मधील २ सेंटस् ०.८१ आरेस), सर्व्हे क्र. २९९/१/११ मधील २.५०० सेंटस् (१.०१ आरेस), सर्व्हे क्र १५१/५बी/२ मधील १२०.५०० सेंटस् (४८.७६ आरेस), सर्व्हे क्र. १५१/५बी/१ मधील ११ सेंटस् (४.४५ आरेस), सर्व्हे क्र. १५१/५ए/२ मधील १८ सेंटस् (७.२८ आरेस), सर्व्हे क्र. १५१/४/१ मधील १४ सेंटस् (५.६६ आरेस), सर्व्हे क्र. १५१/३बी मधील १७ सेंटस् (६.८८ आरेस), सर्व्हे क्र. १५१/३ए मधील ९७ सेंटस् (३९.२ आरेस), सर्व्हे क्र. १५२/१०बी/१ मधील १०७ सेंटस (४३.३० आरेस), सर्व्हे क्र. १५१/५/ए/१ मधील २६ सेंटस (१०.५२ आरेस) येथील जमीन आणि बांधकाम स .
असलेली इमारतीसह सर्व मार्ग हक्क. सीमाबध्द– पूर्व: वेननतगत लेक ; उत्तर: संतोष, अशोकन, सदानदन इ. यांची मिळकत ; पश्चिम: पंचायत रोड आणि पप्पाचन, मेरी . यांची मिळकत, दक्षिण: पंचायत रोड आणि थनकांचन यांची मिळकत.(परिशिष्ट बी) उल्लत्तील हॉस्पिटॅलिटी प्रोजेक्ट प्रा. लि. (सध्या उल्लत्तील हॉटेल्स ॲण्ड .
स्पा प्रा. लि. अशी ज्ञात) च्या नावे असलेली मिळकत: सर्व्हे क्र. ९५१/१, वॉर्ड क्र. २९, कोची कॉर्पोरेशन, सहकाराना रोड, एनएच ४७ वितिव्रा जवळ. पनिथरा गाव कनयात्रुर तालुका, एर्नाकुलम जिल्हा येथे स्थित वाणिज्यिक इमारतीसह मोजमापित ३.५६ आरेस जमीन सह सर्व मार्ग इक्का. सीमाबध्द– पूर्व: एनएच-४७, उत्तर: वासव-यांची मिळकत; पश्चिम: पॅसेज, सर्व्हे क्र. ९७४ मिळकत; दक्षिण: सहकारना रोड. (परिशिष्ट सी) मे. उल्लत्तील व्हिज्युअल मिडिया, द्वारे प्रतिनिधित्त्व तिचे प्रोप्रायट श्री. शशिधरन उक्लतील यांच्या नावे असलेली मिळकत: मिळकत–१: वॉर्ड क्र. ७, पोननी म्युनिलिपॅलिटी, अलंकार थिएटर कॉम्प्लेक्स, इझवथिरुथी गाव, पोन्नार्न .
तालुका, मलप्पुरम जिल्हा येथील सर्व्हे क्र. १५४/३ मधील ३.५० आरेसम सर्व्हे क्र. १५४/३ मधील १३.७५ आरेस, सर्व्हे क १५४/३ मधील १७.५० आरेस (एकूण ५०.३३ आरेस) येथे स्थित इमारतीसह जमिनीचे सर्व ते भाग आणि विभाग सह सर्व मार्ग हक्क. सीमाबध्द– पूर्व: नबीन एनएच .
उत्तर: अनुप अपर्णा यांची मिळकत; पश्चिम: कडीप्पुरम रोड; दक्षिण: आर व्ही बावा आणि मोहनन यांची मिळकत. मिळकत–२: श्री. शशिधरन उळत्तील. रामनकर्ड नायर यांचा मुलगा यांच्या नावे असलेली मिळकत. आयटम−१: श्री. शशिधरन उल्लतील यांच्या नावे असलेली थवना कडवु, ओड्टापुझा जंक्शन, पहिपुरम गाव .
चेन्नम पल्लिपुरम, चेरथला तालुका, अलाप्पुझा जिल्हा येथील सर्व्हे क्र. १५४/सी मधील १०.९३ आरेस आणि सर्व्हे क्र. १५४/१ए मधील १७.४० आरेस चे सर्व ते भाग
इंडिगो ज्वेलरी (इंडिया) मॅन्यु. प्रायव्हेट लिमिटेड, कंपनी अधिनियम, १९५६ अंतर्गत स्थापित एक कंपनी जीचा कॉर्पोरेट आयडेन्टिफिकेशन नंबर आहे यु३६९१०जीजे२००५पीटीसी०९२९२८ आणि तीचे नोंदणीकृत कार्यालय आहे- ८८ .
२/बी/सी/डी/ई, उमिया चौक, उमिया टेंपल समोर, ए.के. रोड, सुरत अहमदाबाद, गुजरात ३९५००८, भारत) ....बिगर याचिकाकर्ती कंपनी/हस्तांतरक कंपनी एस. विनोदकुमार डायमंडस प्रायव्हेट लिमिटेड, कंपनी अधिनियम, १९५६ अंतर्गत स्थापित एक कंपनी जीचा कॉर्पोरेट आयडेन्टिफिकेशन नंबर आहे
नियमांच्या प्रकरणांत,
आणि
कंपनी अधिनियम, २०१३ च्या कलमे २३० ते
२३२ आणि अन्य प्रयोज्य तरतुदी व वेळोवेळी
प्रचलित असलेल्या त्या अंतर्गत बनवलेल्या
इंडिगो ज्वेलरी (इंडिया) मॅन्यु. प्रायव्हेट लिमिटेड
(हस्तांतरक कंपनी) च्या एस. विनोदकुमार
डायमंडस प्रायव्हेट लिमिटेड (हस्तांतरिती कंपनी)
शी व त्यांचे संबंधित भागधारक आणि धनको
यांच्या एकत्रिकरणाच्या योजनेच्या प्रकरणांत.
.
यु३६९१०एमएच२००४पीटीसी१४९७६९ तीचे नोंदणीकृत कार्यालय आहे - ऑफीस नं. बीडब्ल्यु-३०१०, भारत डायमंड बोर्स, वांद्रे (पूर्व), मुंबई शहर, महाराष्ट्र – ४०००५१, भारत) ...याचिकाकर्ती कंपनी/हस्तांतरिती कंपनी
कंपनी योजना याचिकेमधील हस्तांतरिती कंपनीच्या अंतिम सुनावणीची सूचना
सूचना घ्यावी की, इंडिगो ज्वेलरी (इंडिया) मॅन्यु. प्रायव्हेट लिमिटेड (हस्तांतरक कंपनी) च्या एस. विनोदकुमार डायमंडस प्रायव्हेट लिमिटेड (हस्तांतरिती कंपनी) शी व त्यांचे संबंधित भागधारक आणि धनको यांच्या एकत्रिकरणाच्या योजनेच्या मंजुरीसाठी कलम २३० ते २३२ आणि त्या अंतर्गत बनवलेल्या संबंधित नियमान्वयेची वरील कंपनी योजना याचिका याचिकाकर्ती कंपनी/हस्तांतरिती कंपनीने ०४ नोव्हेंबर, २०२० रोजी ई फाईल्ड केली होती आणि ती नामदार राष्ट्रीय कंपनी विधी न्यायाधिकरण, मुंबई खंडपीठाने १० नोव्हेंबर, २०२१ रोजी नोंदवन घेतली.
सदर याचिकेवर आता सोमवार, २९ नोव्हेंबर, २०२१ रोजी नामदार राष्ट्रीय कंपनी विधी न्यायाधिकरण, मुंबई खंडपीठासमोर अंतिम सुनावणी होणार आहे.
टीप : नामदार न्यायालयाकडून व्हिडिओ कॉन्फरन्सिंग सुविधेमार्फत सुनावणी घेतली जाते. कोणत्याही संबंधित व्यक्तीची सदर कंपनी योजना याचिकेला समर्थन देण्याची/विरोध करण्याची इच्छा असल्यास त्यांची त्यांचे अभिवेदन खंडपीठाला व त्यांच्या हेतुविषयीची सूचना त्यांच्या किंवा त्यांच्या वकिलांच्या सहीने लेखी स्वरुपात त्यांच्या नाव आणि पत्त्यानिशी याचिकाकर्त्यांचे समुपदेशक यांना अशा बेताने पाठवावी जेणे करून ती याचिकेच्या सुनावणीसाठी निर्धारित तारखेपूर्वी किमान २ दिवस अगोदर ०४ था मजला, एमटीएनएल -
रक्स्चेंज बिल्डिंग, जी.डी. सोमाणी मेमोरियल स्कुल जवळ, जी.डी. सोमाणी मार्ग कफ परेड, .
मुंबई – ४००००५, महाराष्ट्र येथे आणि आम्हाला खालील पत्त्यावर मिळेल. कोणत्याही संबंधित व्यक्तीची याचिकेला कुठे विरोध करण्याची इच्छा आहे, विरोधाची कारणे अशा सचनेसोबत सादर केली पाहिजेत.
याचिकेची एक प्रत ज्या कोणत्याही व्यक्तीला हवी असेल तीला निम्नस्वाक्षरीकार त्यासाठीचे विहित आकार प्रदान केल्यावर सोमवार ते शनिवार मध्ये स. १०.३० भाप्रवे ते सं. ६.३० भाप्रवे वेळेत पुरवतील.

NOTICE CUM ADDENDUM TO THE SCHEME INFORMATION DOCUMENT (SID) AND KEY INFORMATION MEMORANDUM (KIM) OF PARAG PARIKH FLEXI CAP FUND (THE SCHEME) OF PPFAS MUTUAL FUND
Notice is hereby given that the Board of PPFAS Asset Management Private Limited and PPFAS Trustee Company Private Limited have approved the change in exit load structure for Parag Parikh Flexi Cap Fund as given below:
The exit load in Parag Parikh Flexi Cap Fund shall stand revised as follows effective November 15, 2021 ("Effective Date")
| Existing Exit Load Structure | Revised Exit Load Structure |
|---|---|
| 2.00% if the investment is redeemed on or before 365 days from the date of allotment of units. |
In respect of each purchase / switch-in of Units, 10% of the units ("the limit") may be redeemed without any exit load from the date of allotment. |
| 1.00 % if the investment is redeemed after 365 days but on or before 730 days from the date of allotment of units. |
Any redemption or switch-out in excess of the limit shall be subject to the following exit load: |
| No Exit Load will be charged if investment is redeemed after 730 days from the date of allotment of units. |
2.00 % if the investment is redeemed on or before 365 days from the date of allotment of units. |
| No exit load will be charged, in case of switch transactions between Regular Plan and Direct Plan of the Scheme for existing as well as prospective investors. |
1.00 % if the investment is redeemed after 365 days but on or before 730 days from the date of allotment of units. |
| No Exit Load will be charged if investment is redeemed after 730 days from the date of allotment of units. |
|
| No exit load will be charged, in case of switch transactions between Regular Plan and Direct Plan of the Scheme for existing as well as prospective investors. |
|
| It is clarified that the redemptions/switches of Units will be considered on First-in-First-Out (FIFO) basis. The revised exit load structure as mentioned above shall be applicable prospectively, for all investments (including SIP/STP and SWP registered) from the effective date, and shall be in force till further notice. |
|
| The Trustee/AMC reserve the right to modify/introduce a load/fee/charge at any time in future on a prospective basis, subject to limits prescribed under the Regulations. |
All the other features, terms and conditions of the Scheme, as stated in the Scheme Information Document (SID) and the Key Information Memorandum (KIM) of the Scheme, read with the addenda issued from time to time remain unchanged.
This addendum forms an integral part of the SID and KIM of the aforesaid Scheme of PPFAS Mutual Fund, as applicable and amended from time to time
For PPFAS Asset Management Private Limited (Investment Manager to PPFAS Mutual Fund) $Sd/$
| Place: Mumbai | |
|---|---|
| Date: November 11, 2021 |
Name of Mutual Fund: PPFAS Mutual Fund
For more information please contact:
PPFAS Asset Management Private Limited (Investment Manager to PPFAS Mutual Fund) CIN No: - U65100MH2011PTC220623
Registered Office: - 81/82, 8th Floor, Sakhar Bhavan, Ramnath Goenka Marg, 230 Nariman Point, Mumbai - 400 021. INDIA. Tel.: 91 22 6140 6555 Fax: 91 22 6140 6590. E-mail: [email protected]. Website: www.amc.ppfas.com
MUTUAL FUND INVESTMENTS ARE SUBJECT TO MARKET RISKS, READ ALL SCHEME RELATED DOCUMENTS CAREFULLY.
आणि विभाग सह सर्व मार्ग हक्क. सीमाबध्द– पूर्व: थोडु; उत्तर: पीडब्ल्यूडी रोड; पश्चिम: टॉमी, थंकप्पन आणि अन्य यांची मिळकत; दक्षिण: परिमनाथ राजीवन यांची .
मेळकत. आयटम−२: श्री. शशिधरन उद्धतीले यांच्या नावे असलेली थवना कडवु, ओट्टाप्पुझा जंक्शन, पद्धिपुरम गाव, चेन्नम पद्धिपुरम, चेरथला तालुका, अलाप्पुझा जिल्हा येथील सर्व्हे क्र. १५४/१सी मधील ३८.०५ आरेस आणि सर्व्हे क्र. १५४/१ई मधील ९.७१ आरेस चे सर्वे ते भाग आणि विभाग सह सर्व मार्ग हक्क. सीमाबध्द पर्व: थोड: उत्तर: पीडब्ल्यडी रोड: पश्चिम: टॉमी. थंकप्पन आणि अन्य यांची मिळकत: दक्षिण: परिमनाथ राजीवन यांची मिळकत. आयटम-३: श्री. शशिधरन उळत्तील .
यांच्या नावे असलेली थवना कडवु, ओड्टापुझा जंक्शन, पछिपुरम गाव, चेन्नम पछिपुरम, चेरथला तालुका, अलाप्पुझा जिल्हा येथील सर्व्हे क्र. १५४/१सी मधील ३.२४ आरेस, सर्व्हे क्र. १५४/१बी मधील ०.८१ ओरेस आणि सर्व्हे क्र. १५४/१ए मधील ४.४५ आरेस चे सर्व ते भाग आणि विभाग सह सर्व मार्ग हक्क. सीमांबध्द– पूर्व: थोडु; उत्तर: पीडब्ल्यडी रोड: पश्चिम: टॉमी, थंकप्पन आणि अन्य यांची मिळकत: दक्षिण: परिमनाथ राजीवन यांची मिळकत.
आयटम–४: ेश्री. शशिधरन उल्लतील यांच्या नावे असलेली थवना कडवु, ओड्टाप्पुझा जंक्शन, पल्लिपुरमा चन चल्ला सालुमा, असुसाल, अलाप्पुझा जिल्हा येथील सर्व्हे क्र. १५४/१सी मधील १२.१५ आरेस, सर्व्हे क्र. १५४/१ए मधील १६.१९ आरेस चे सर्व ते भाग आणि विभाग सह सर्व मार्ग हक. सीमावध्द– पूर्व: थोडु; उत्तर: पीडब्ल्यडी रोड : पश्चिम: टॉमी. थंकप्पन आणि अन्य यांची मिळकत : दक्षिण: परिमनाथ राजीवन यांची मिळकत.
ठिकाण : एर्नाकुलम दिनांक: ०६ आणि ०८.११.२०२१
$\mathcal{D}$
DECCAN GOLD
(सही/-) प्राधिकृत अधिकारी दि करुर वैश्य बँक लिमिटेड
.
मनिष घिया अँड असोसिएटस त्र्यावसायिक कंपनी सेक्रेटरीज याचिकाकर्त्या कंपनीसाठी प्राधिकृत प्रतिनिधी ४, चंदन निवास (ओल्ड), १ ला मजला, एम.व्ही. रोड, अंधेरी (पू), मुंबई - ४०००६९ ठिकाण : मंबई दिनांक : १२ नोव्हेंबर, २०२१
जाहीर सूचना
डेक्कन गोल्ड माईन्स लिमिटेड नोंदणी. कार्यालय : दी परिनी क्रिसेन्झो, ८०३, ८ वा मजला, एमसीए ग्राऊंडसमोर, सी३८–सी३९, जी ब्लॉक, बांद्रा कुर्ला कॉम्प्लेक्स बाद्रा (पूर्व), मुंबई-४०० ०५१, फोन: ०२२ ३३०४०७९७, सीआयएनः एल५१९००एमएच१९८४पीएलसी०३४६६२
फॅक्स: ०२२-२६५३२४४०, ई-मेल: [email protected], वेबसाईट: www.deccangoldmines.com
३० सप्टेंबर, २०२१ रोजी संपलेली तिमाही आणि अर्ध वर्षाकरिता एकत्रित अलेखापरिक्षित वित्तीय निष्कर्षांचा उतारा
| एकत्रित | ||||||
|---|---|---|---|---|---|---|
| संपलेली तिमाही | संपलेले अर्ध वर्ष | संपलेले वर्ष | ||||
| तपशील | 990.09.9079 | 990,08.30.08 | 90.09.9070 | 990,09,907 | 0.09.9090 | 9909.909 |
| अलेखापरिक्षित | अलेखापरिक्षित | अलेखापरिक्षित | अलेखापरिक्षित | अलेखापरिक्षित | लेखापरिक्षित | |
| प्रवर्तनातून एकूण उत्पन्न | 0.003 | 330.0 | 880.0 | 0.068 | 0.082 | 388.0 |
| कालावधीसाठी निव्वळ नफा (+)/तोटा (-) (कर, अपवादात्मक आणि/किंवा अनन्यसाधारण बाबींपूर्वी) |
(5.36.3) | (9.592) | (89.68) | (88.065) | (86.68) | (33.889) |
| कालावधीसाठी करपूर्व निव्वळ नफा (+)/(तोटा) (–) (अपवादात्मक आणि/किंवा अनन्यसाधारण बाबींनंतर) |
$(\lambda \xi, \xi)$ | (9.592) | (89.68) | (8x.065) | (86.68) | (33.889) |
| कालावधीसाठी करोत्तर निव्वळ नफा (+)/(तोटा)(-) (अपवादात्मक आणि/किंवा अनन्यसाधारण बाबींनंतर) |
$(\delta, \delta, \delta)$ | (9.592) | (89.68) | (88.065) | (86.68) | (988.88) |
| कालावधीसाठी एकूण सर्वसमावेशक उत्पन्न (कालावधीसाठी नफा/तोटा (करोत्तर) आणि इतर सर्वसमावेशक उत्पन्न (करोत्तर) धरून) |
0.088 | 0.082 | 0.088 | 0.306 | ||
| समभाग भांडवल | ९३.३२७ | 93.376 | 83.386 | 83.386 | ९३.३२७ | ९३.३२७ |
| मागील वर्षाच्या लेखापरीक्षित ताळेबंदात दाखविल्याप्रमाणे राखीव (पुनर्मूल्यांकित राखीव वगळून) |
||||||
| प्रति भाग प्राप्ती (प्रत्येकी रु. १ /- चे) अखंडित आणि खंडित कामकाजासाठी | ||||||
| ए) मूलभूत | (5, 20, 0) | (9.00) | (0.83.0) | (0.848) | (50, 20) | (०.३४४) |
| बी) सौम्यिकृत | (১,১৯১) | (550.0) | (०.१३७) | (०.१५१) | (०.२०२) | (०.३४४) |
ब्रि.
| अलिप्त | ||||||
|---|---|---|---|---|---|---|
| संपलेली तिमाही | संपलेले अर्ध वर्ष | संपलेले वर्ष | ||||
| तपशील | 30.09.2029 | 30.06.7079 | 30.09.9070 | 30.09.7079 | 30.09.9090 | 39.03.2029 |
| अलेखापरिक्षित | अलेखापरिक्षित | अलेखापरिक्षित $\vert$ | अलेखापरिक्षित | । अलेखापरिक्षित , | लेखापरिक्षित | |
| उलाढाल | १.९१६ | २.७१५ | १.१०२ | 8.538 | २.२१० | 9.896 |
| करपूर्व नफा | (5.85) | (३७७.३) | (88.888) | (85.038) | (80.008) | (३०.३७०) |
| करोत्तर नफा | (६.४२५) | ( ३७७९) | (११.९४४) | (१३.०२१) | (80.008) | (३०.३७०) |
सी टीपा
Director
क्र
ए
बी
- वरील माहिती म्हणजे सेबी (लिस्टिंग ऑब्लिगेशन्स अँड डिस्क्लोजर रिक्वायरमेंटस) रेगुलेशन, २०१५ च्या रेगुलेशन ३३ अंतर्गत स्टॉक एक्सचेंजकडे सादर केलेल्या अलेखापरिक्षित वित्तीय निष्कर्षांच्या (एकत्रित आणि अलिप्त) तपशीलवार विवरणाचा एक उतारा आहे. तिमाही अलेखापरिक्षित वित्तीय निष्कर्षांचे (एकत्रित आणि अलिप्त) संपूर्ण विवरण स्टॉक एक्स्चेंजची वेबसाईट www.bseindia.com) आणि कंपनीची वेबसाईट (www.deccangoldmines.com) वर उपलब्ध आहे.
. मागील वर्षाची आकडेवारी ही त्यांना तुलनात्मक बनविण्यासाठी आवश्यक तेथे पुनर्गठीत/पुनर्रचित करण्यात आली आहे.
. वरील निष्कर्ष हे सेबी (लिस्टिंग ऑब्लिगेशन्स ॲण्ड डिस्क्लोजर रिक्वायसेंटस्) रेयुलेशन्स, २०१५ च्या रेयुलेशन ३३ नुसार११ नोव्हेंबर, २०२१ रोजी झालेल्या त्यांच्या बैठकीत लेखापरिक्षण समितीने पुनर्विलोकीत केले आणि शिफारस केले आणि संचालक मंडळाद्वारे मंजूर करण्यात आले.
| डेक्कन गोल्ड माईन्स लिमिटेड करिता │ | ┃ अशोक गार्डन्स को−अ | |
|---|---|---|
| सही/- | ||
| स्थळ : बंगळरू | एस. सूब्रमनियम | ┃ठिकाण : मंबई |
| दिनांक : ११ नोव्हेंबर, २०२१ | कार्यकारी संचालक, डीआयएन : ०६३८९१३८ | दिनांक : -/११/२०२ |
श्रीम. लक्ष्मी अनिरुध काँतावाला सह श्रीम गिता शैलेश कांतावाला या अशोक गार्डन्स .
सीएचएस लि. जिचा पत्ता टोकरसी जिवराज .
मार्ग, शिवडी, मुंबई-४०००१५ च्या सभासद आणि सोसायटीच्या इमारतीमधील फ्लॅट क्र. डी १५०१/१५०२ च्या धारक होत्या, यांचे ०९/०९/२०२१ रोजी निधन झाले. श्रीम. गिता शैलेश कांतावाला यांनी दिनांक ११/०१/२०१४ रोजीच्या श्रीम. लक्ष्मी अनिरुध कांतावाला यांच्या इच्छापत्राची प्रत .
सादर केली, त्याद्रारे श्रीम, लक्ष्मी अनिरुध कांतावाला यांनी नमद केले होते की. वरील सदर सापेक्ष फ्लॅट श्रीम. गिता शैलेश कांतावाला यांना प्रकांत केला आहे.
.
सोसायटी यादारे सोसायटीच्या भांडवल. मिळकतीमधील मयत सभासदाचे सदर शेअर्स आणि हितसंबंधाचे हस्तांतर होण्यास वारस किंवा वारसदार किंवा इतर दावेदार/आक्षेपदार किंवा अन्य दावेदारी/आक्षेप घेणारे यांच्याकडून दावे किंवा आक्षेप असल्यास ते सदर सूचनेच्या प्रसिध्दीपासून १५ (पंधरा) दिवसात सोसायटीच्या भांडवल/ ।
सिळकतीमधील मयत सभासदाच्या शेअर्स व हितसंबंधाच्या हस्तांतरणासाठी त्याच्या/ | तिच्या/त्यांच्या दाव्या/ आक्षेपांच्या पृष्ठ्यर्थ अशी कागदपत्रे आणि अन्य पुराव्यांच्या .
प्रतींसह मागवित आहे. वर दिलेल्या मुदतीत जर दावे/ आक्षेप प्राप्त झाले नाहीत, तर सोसायटीच्या उपविधीतील तरतूदीमधील दिलेल्या मार्गाने सोसायटीच्या भांडवल/ मिळकतीमधील मयत सभासदाचे शेअर्स व हितसंबंधाचे हस्तांतर करण्यास सोसायटी मोकळी असेल.
जर, सोसायटीच्या भांडवल/मिळकतीमधील मयत सभासदाच्या शेअर्स आणि ।
हितसंबंधाच्या हस्तांतरणास काही दावे/आक्षेप सोसायटीने प्राप्त केले तर, सोसायटीच्या उपविधीतील तरतुदीनुसार त्यावर सोसायटी कार्यवाही करेल. सोसायटीच्या नोंदणीकृत उपविधीची प्रत दावेदार/आक्षेपकांद्वारेँ निरीक्षणासाठी .
सोसायटीच्या कार्यालयात स. १०.०० ते दु. ४.०० दरम्यान सदर सूचना प्रसिध्दीच्या तारखेपासून तिच्या कालावधी समाप्तीच्या तारखेपर्यंत उपलब्ध आहे. गॅप. हाऊ. सोसा. लि. गा वतीने आणि करिता सही / – सन्मा. सचिव