Skip to main content

AI assistant

Sign in to chat with this filing

The assistant answers questions, extracts KPIs, and summarises risk factors directly from the filing text.

FGP Ltd Interim / Quarterly Report 2022

Nov 13, 2021

63629_rns_2021-11-13_7bc2f6ab-82f0-4cd9-916e-3c4032e6b915.pdf

Interim / Quarterly Report

Open in viewer

Opens in your device viewer

FGP LIMITED

CIN: L26100MH1962PLC012406

Registered Office - Commercial Union House, 9- Wallace Street, Fort, Mumbai - 400 001 Tel : 2207 0273/ 2201 5269; Email : [email protected]; Website : www.fgpltd.in

November 13, 2021

BSE LIMITED P. J. Towers, Dalal Street, Mumbai 400 021

Re: Security code: 500142

Sub:Disclosure under Regulation 30 read with Regulation 47(3) of the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015 – Newspaper publication

Dear Sir,

Pursuant to Regulation 30 read with Regulation 47(3) of the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015, we enclose herewith the newspaper clipping regarding Extract of the Unaudited Financial Results of the Company for the quarter and half year ended September 30, 2021, published today i.e. on Saturday, November 13, 2021 in Business Standard (English Newspaper) and Mumbai Lakshadeep (Marathi Newspaper).

Kindly take the same on record and acknowledge the receipt.

Thanking You.

Yours faithfully, For FGP Limited

Manish Tiwary 1:-cW

Company Secretary Encl.: As stated above > l

SHIVA CEMENT LIMITED

CIN: L26942OR1985PLC001557 Regd Office: Shiva Cement Limited, Telighana, PO: Birangatoli, Tehsil-Kutra, District-Sundargarh Odisha- 770018

Email - [email protected] Public Announcement for Delisting the Equity Shares

from the Calcutta Stock Exchange Limited Notice is hereby given that pursuant to Regulation 6 of Securities Exchange

Board of India (Delisted of Equity share) Regulation 2009 (Delisted Regulation) as amended from time to time, the Board of Directors of the Company in its meeting held on 26th October 2021 has approved inter-alia, a proposal for voluntary delisting of the Company's equity shares from the Calcutta Stock Exchange Limited ("CSE") (Scrip code:029983) as there has been no trading in the equity shares of the Company listed on the CSE for several years.

The Company is in the process of making necessary application for voluntary delisting of its equity shares from the CSE. The equity shares of the Company shall continue to remain listed on Bombay Stock Exchange Limited (BSE), having nationwide trading terminals.

Necessary and Object delisting:

There has been no trading in the equity shares of the Company listed on the CSE for several years and CSE does not have a nationwide trading terminal.

The Company intends to delist the equity shares of the Company from the CSE but the equity shares will continue to be listed on the Bombay Stock Exchange Limited (BSE), having nationwide trading terminals. The shareholders of the Company shall continue to avail the benefits of the listing and trading on BSE.

For Shiva Cement Limited Sd/- Place: Odisha Sneha Bindra Date: 12/11/2021 Company Secretary

FGP LIMITED V CIN:L26100MH1962PLC012406

Regd.Office: 9, Wallace Street, Fort, Mumbai-400001. Tel. No. (022) 22070273, 22015269

E-mail: [email protected] Website: www.fgpltd.in
Extract of Unaudited Financial Results For the Quarter and Half Year ended September 30, 2021
Quarter Ended Half Year Ended Year Ended
Sr.No. Particulars 30.09.2021 30.09.2020 ·m.nq_2021 30.09.2020 31.03.2021
Unaudited Unaudited Unaudited Unaudited Audited
2 Net Profit / {Loss) for the period {before
SI. Particulars
4 Net Profit / (Loss) for the period after tax
(after exceptional and extraordinary items) 11.04 (6.04) 17.68 (3.26) 0.26
5 Total Comprehensive Income for the
period [Comprising Profit/ {Loss) for the
period (after tax) and Comprehensive
Income (after tax) 11.04 (6.04) 17.68 (3.26) 0.13
6 Paid -up Equity Share Capital 1189.51 1189.51 1189.51 1189.51 1189.51 4 Total Comprehensive Income for the period
7 Reserves (excluding Revaluation Reserve)
as shown in the Balance Sheet - - - - (892.66) (Comprising Profil/(Loss) for the period (after tax)
8 Earnings Per Share (of Rs. 10/- each)
(for continuing and discontinued operations)
Basic: 0.09 (0.05) 0.15 (0.03) 0.00 6 Reserves (excluding Revaluation Reserve)as
Diluted: 0.09 (0.05) 0.15 (0.03) 0.00 shown in the Audited Balance Sheet of the
Extract of Unaudited Financial Results For the Quarter and Half Year ended September 30, 2021fin Lakhs except EPS ~EL Revathi Equipment Limited
Quarter Ended Half Year Ended Year Ended Regd. Office: Pollachi Road, Malumachampatti Post, Coimbatore - 641 050. Phone: +91-4226655111
Sr.No. Particulars 30.09.2021 30.09.2020 ·m.nq_2021 30.09.2020 31.03.2021 REVATHI EQUIPMENT LIMITED CIN NO:L29120TZ1977PLC000780
Unaudited Unaudited Unaudited Unaudited Audited
1 Total Income from operations 29.68 15.21 51.67 35.94 89.97 STATEMENT OF UNAUDITED FINANCIAL RESULTS FOR THE QUARTER AND SIX MONTHS ENDED SEPTEMBER 30, 2021 (Rs. in Lakhs)
2 Net Profit / {Loss) for the period {before
tax, exceptional and extraordinary items) 11.04 (6.04) 17.68 (3.26) 0.26 STANDALONE CONSOLIDATED
3 Net Profrt / (Loss) for the period before tax auarter Ended Half Year Ended Year Ended Duarte r Ended Half Year Ended Year Ended
(after exceptional and extraordinary items) 11.04 (6.04) 17.68 (3.26) 0.26 SI. Particulars
4 Net Profit / (Loss) for the period after tax No. 2021 2020 2020 30th Sept. 30th June 30th Sept. 30th Sept. 30th Sept. 31st March 30th Sept. 30th June 30th Sept. 30th Sept. 30th Sept. 31st March 2020 2021 2020
(after exceptional and extraordinary items) 11.04 (6.04) 17.68 (3.26) 0.26 2021 2021 2021(Unaudited) (Unaudited) (Unaudited) (Unaudited) (Unaudited) (Audited) (Unaudited) (Unaudited) (Unaudited) (Unaudited (Unaudited) (Audited) 2021 2021 2021
5 Total Comprehensive Income for the
period [Comprising Profit/ {Loss) for the 1 Total Income from Operations (net) 3,850.66 837.88 1,094.26 4,688.54 3,322.11 8,626.15 5,531.11 3,371.42 1,965.23 8,902.54 5,251.53 13,798.81
period (after tax) and ComprehensiveIncome (after tax) 11.04 (6.04) 17.68 (3.26) 0.13 2 Net Profil/(Loss) for the period before tax 773.59 (171.80) 125.93 601.79 686.13 1,643.14 898.80 50.27 (87.65) 949.08 547.67 712.36
6 Paid -up Equity Share Capital 1189.51 1189.51 1189.51 1189.51 1189.51 3 Net Profil/(Loss) for the period after tax 601.39 (198.63) 106.86 402.76 494.16 1,166.80 506.13 44.71 (124.77) 550.85 328.44 260.80
7 Reserves (excluding Revaluation Reserve) 4 Total Comprehensive Income for the period
as shown in the Balance Sheet - - - - (892.66) (Comprising Profil/(Loss) for the period (after tax)
8 Earnings Per Share (of Rs. 10/- each) and other Comprehensive Income (after tax) 600.95 (199.07) 108.78 401.88 498.00 1,165.04 499.98 57.44 (105.62) 557.42 367.24 238.81
(for continuing and discontinued operations) 5 Equity Share Capital 306.70 306.70 306.70 306.70 306.70 306.70 306.70 306.70 306.70 306.70 306.70 306.70
Basic: 0.09 (0.05) 0.15 (0.03) 0.00 6 Reserves (excluding Revaluation Reserve)as
Diluted: 0.09 (0.05) 0.15 (0.03) 0.00 shown in the Audited Balance Sheet of the
Notes: previous year 17962.37 17983.43
1 The above results have been reviewed by the Audit Committee and approved by the Board of Directors at 7 Earnings per equity share 19.61 (6.48) 3.48 13.13 16.11 38.04 16.50 1.46 (4.07) 17.96 10.71 8.50
their respective meetings held on November 12, 2021. The Statutory Auditors of the Company have
conducted a 'Limited Review' of the results for the quarter and half year ended September 30, 2021. Note: The above is an extract of the detailed format of Quarterly I Annual Financial Results filed with the Stock Exchanges under Regulation 33 of the SEBI (Listing and Other Disclosure Requirements)
2 The Company operates in only one reportable business segment i.e., Business Centre. Regulations,2015. The full format of the Quarterly and Annual Financial Results are available on the websites of the Stock Exchanges www.nseindia.com and www.bseindia .com and in company's
3 The above is an extract of the detailed format of unaudited Quarterly and Half Yearly Financial Results filed website www.revathi.in.
with the BSE Limited under Regulation 33 of the SEBI (Listing Obligations and Disclosure Requirements) for and on behalf of the Board
Regulations, 2015. The full format of the said Results is available on the Bombay Stock Exchange website Abhishek Dalmia
www.bseindia.com and onthe Company's website on www.fgpltd.in. Date : 12th November 2021 Executive Chairman
On Behalf of the Board of Directors Place : New Delhi DIN: 00011958

ZEE MEDIA CORPORATION LIMITED

Registered Office: 14th Floor,'!>. Wing, Marathon Futurex, NM Joshi Marg, Lower Parel, Mumbai - 400 013 Corporate Office: FC - 9, Sector 16A, Naida - 201 301 (U.P.) Tel: 0120 -7153000 CIN: L921OOMH1999PLC121506, E-Mail: [email protected] Website: www.zeemedia.in

INFORMATION REGARDING POSTAL BALLOT/ E-VOTING

Pursuant to Section(s) 108 and 110 and all other applicable provisions, if any, of the Companies Act, 2013 and rules made thereunder, read with applicable guidelines/circulars issued by Ministry of Corporate Affairs ("MCA Circulars") and Securities and Exchange Board of India ("SEBI"), the Members of the Company, may kindly note that Zee Media Corporation Limited (the "Company") is proposing to seek consent of the Members by way of Postal Ballot process / Voting by Electronics means ("Postal Ballot"), to transact the business(es) set out in the Postal Ballot Notice ("Notice"), which will be sent to the members in due course. In accordance with the MCA Circulars and other applicable regulatory provisions, electronic copy/version of the Notice along with procedure & instructions for a-voting will be sent to only those members whose email IDs are registered with the Company/Depository Participants (DP). To enable participation in the e-voting process by those shareholders to whom the Notice could not be dispatched, the company has made proper arrangements with their Registrar and Transfer Agent of the Company for registration of e-mail addresses, in terms of relevant MCA Circulars. The process for registration of e-mail addresses is as under:-

(i) For Temporary Registration:

Place : Mumbai Dated :November 12 2021 H.N.Singh Rajpoot Chairman DIN:00080836

Pursuant to relevant circulars the shareholders including physical shareholders who have not registered their email address and in consequence the notice could not be serviced to them, may temporarily get their email registered with the company's Registrar and Transfer Agents viz. Link lntime India Private Limited by clicking the link: https://linkintime.co.in/emailreg/email\_register.html and thereafter following the registration process as guided therein. Post successful registration of the email, the shareholder would get the soft copy of the Postal Ballot Notice and procedure for e-voting along with User ID and password to enable e-voting. In case of queries relating to the registration of E-mail addresses, shareholders, may write to [email protected] and for a-voting related queries they may write to National Securities Depository Limited (NSDL) at [email protected].

(ii) For Permanent Registration for Demat Shareholders: For permanent registration of e-mail addresses, the Members are requested to register their email address, in respect of demat holdings with the respective Depository Participant (DP) by following

the procedures prescribed by the Depository Participant. The Company will provide facility to its Members to exercise their right to vote by electronic means only. The manner, instructions & other information relating to a-voting process (including the manner in which Members holding shares in physical form or who have not registered their e-mail address can casttheir vote through e-voting), will form part of the Postal Ballot Notice. The said Notice will also be available at the Investor Section on the website of the Company viz. www.zeemedia.in and also on the Website of the Stock Exchange(s) i.e. BSE Limited and National Stock Exchange of India Limited at www.bseindia.com and www.nseindia.com, respectively. The said Notice will also be available on the website of NSDL at www.evoting.nsdl.com.

For Zee Media Corporation Limited

Sd/- Ranjit Srivastava Place: Naida Company Secretary & Compliance Officer

Date: November 12, 2021 Membership No: A18577

On Behalf of the Board of Directors For FGP Limited

Sd/-

~ ASHOK LEYLAND

Aapki Jeet. Hamari Jeet.

ASHOK LEYLAND LIMITED

Regd. Office :1, Sardar Patel Road, Guindy, Chennai - 600 032; Ph:+91 44 2220 6000, Fax:+91 44 2220 6001; CIN: L34101TN1948PLC000105; Website: www.ashokleyland.com: Email id: [email protected]

EXTRACT OF STANDALONE AND CONSOLIDATED UNAUDITED FINANCIAL RESULTS FOR THE QUARTER AND SIX MONTHS ENDED SEPTEMBER 30, 2021 (r in Crores)

Standalone Consolidated
SI. Quarter Ended Six Months EndedYear Ended Quarter Ended Six Months Ended Year Ended
No Particulars 30.09.2021 30.09.2020 30.09.2021 30.09.2020 31.03.2021 30.09.2021 30.09.2020 30.09.2021 30.09.2020 31.03.2021
Unaudited Unaudited Audited Unaudited Unaudited Audited
1 Total Income from operations 4,457.85 2,836.58 7,408.84 3,487.45 15,301.45 5,562.47 3,852.84 9,650.36 5,357.82 19,454.10
2 (Loss) before exceptional items and tax (115.73) (156.10) (496.66) (704.23) (399.86) (84.55) (77.40) (406.50) (602.80) (143.16)
3 (Loss) before tax (115.50) (157.80) (498.11) (707.60) (411.91) (84.32) (79.10) (407.95) (606.17) (67.08)
4 (Loss) for the period/ year (83.01) (146.67) (365.30) (535.47) (313.68) (83.55) (96.23) (335.73) (485.05) (69.60)
5 Total comprehensive (Loss) / Income for theperiod/ year [ comprising (Loss)/ Profit for theperiod / year (after tax) and OtherComprehensive Income/ (Loss) (after tax) ] (81.54) (137.61) (364.32) (534.33) (305.81) 5.27 (167.81) (284.44) (399.60) 233.16
6 Paid-up equity share capital 293.55 293.55 293.55 293,55 293,55 293,55 293.55 293,55 293.55 293,55
7 Other equity 6,145.60 6,445.83 6,145.60 6,445.83 6,683.65 7,178.01 6,992.05 7,178.01 6,992.05 7,568.47
8 (Loss) per equity share (of Re.1/- each) (notannualised)
a) Basic (0.28) (0.50) (1.24) (1.82) (1.07) (0.36) (0.42) (1.29) (1.81) (0.56)
b) Diluted (0.28) (0.50) (1.24) (1.82) (1.07) (0.36) (0.42) (1.29) (1.81) (0.56)

Notes:

(1) The above is an extract of the detailed format of financial results for the quarter and six months ended September 30, 2021 filed with the Stock Exchanges under Regulation 33 and Regulation 52 of the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015 as amended from time to time. The full format of the financial results for the quarter and six months ended September 30, 2021 are available on the Stock Exchange websites (www.nseindia.com and www.bseindia.com) and on the Company's website (www.ashokleyland.com).

(2) The figures forthe previous periods have been reclassified/ regrouped wherever necessary. On behalf of the Board of Directors

Place : Chennai VIPIN SONDHI

Date : November 12, 2021 Visit us at : www.ashokleyland.com Managing Director & CEO

HINDUJA GROUP

Nucleus Software Exports Limited

CIN: L74899DL 1989PLC034594 Registered Office: 33-35, Thyagraj Nagar Market, New Delhi - 110003

NOCLEOS Tel : +91 - 120 - 4031400; Fax : +91 - 120 - 4031672 SOFTWARE Email : [email protected], Website: www.nucleussoftware.com

EXTRACT OF INTERIM FINANCIAL RESULTS OF NUCLEUS SOFTWARE EXPORTS LIMITED FOR THE QUARTER AND SIX MONTHS ENDED 30 SEPTEMBER 2021

Notes:

(Amount in Rupees Lacs)
CONSOLIDATED STANDALONE
Quarter ended For the six months ended Quarter ended For the six months ended
SL.No. Particulars 30 September2021 30 September2020 30 September2021 30 September2020 30 September2021 30 September2020 30 September2021 30 September2020
Unaudited Unaudited Unaudited Unaudited Audited Audited Audited Audited
Total income from operations (net) 11,412 13,699 22,256 26,534 10,195 12,129 19,802 23,428
2 Net Profit/ (Loss) for the period (before Tax,Exceptional and Extraordinary items) 1,095 3,890 2,006 8,533 1,066 3,601 1,960 8,124
3 Net Profit/ (Loss) for the period before Tax(after Exceptional and Extraordinary items) 1,095 3,890 2,006 8,533 1,066 3,601 1,960 8,124
4 Net Profit/ (Loss) for the period after Tax(after Exceptional and Extraordinary items) 858 2,945 1,458 6,578 851 2,716 1,456 6,271
5 Total Comprehensive Income for the period[Comprising Profit/ (loss) for the period (after tax) andOther Comprehensive Income (after tax)] 711 2,896 995 6,768 746 2,683 990 6,434
6 Equity Share Capital 2,904 2,904 2,904 2,904 2,904 2,904 2,904 2,904
7 Reserves
8 Earnings Per Share - (of Rs. 10/- each)(for continuing and discontinued operations)(Not annualised for quarters)
Basic (INR) 2.95 10.14 5.02 22.65 2.93 9.35 5.01 21.59
Diluted (INR) 2.95 10.14 5.02 22.65 2.93 9.35 5.01 21.59
  • 1 The above is an extract of the detailed format of Quarterly Financial Results filed with the Stock Exchanges under Regulation 33 of the SEBI (Listing and other Disclosure Requirements) Regulations, 2015. The full format of the Quarterly Financial Results are available on the Stock Exchange websites of BSE and NSE at www.bseindia.com and www.nseindia.com respectively and on Company's website at www.nucleussoftware.com.
  • 2 The above interim financial results were reviewed by the Audit Committee and approved by the Board of Directors at their respective meetings held on 12 November 2021. The financial results are prepared in accordance with the Indian Accounting Standards (Ind AS) as prescribed under section 133 of the Companies Act, 2013 read with the relevant rules issued thereunder.
  • 3 The Auditors have carried out an audit of the standalone interim financial results of Nucleus Software Exports Limited ('the Company' or 'the Holding Company') and a limited review of the consolidated interim financial results of the Company and its subsidiaries (the Holding Company and its subsidiaries together referred to as 'the Nucleus Software Group' or "the Group") for the quarter and six months ended 30 September 2021. The Auditors have issued unmodified reports on these financial results.
  • 4 The Company in its Board meeting held on 24th September 2021 has approved the buyback of 22,67,400 Equity Shares (maximum buy back shares) comprising 7.81 % of the total paid up equity share capital of the Company at a "Maximum Buyback Price" price of Rs. 700/- per Equity Share payable in cash for an aggregate amount not exceeding Rs. 158.72 Crore which is the "Maximum Buyback Offer Size", excluding transaction costs and taxes.
  • 5 In view of the pandemic relating to COVID-19, the Group has considered internal and external information and has performed an analysis based on current estimates while assessing the provision towards employee benefits and recoverability of right-of-use assets, trade receivables, investments and other current and financial assets, for any possible impact on the Standalone and Consolidated Interim Financial Results. The Group has also assessed the impact of this whole situation on its capital and financial resources, profitability, liquidity position, internal financial reporting controls etc. and is of the view that based on its present assessment this situation does not materially impact these Interim Standalone and Consolidated financial results. However, the actual impact of COVID-19 on these interim financial results may differ from that estimated due to unforeseen circumstances and the Group will continue to closely monitor any material changes to future economic conditions.
  • 6 On 30th May 2021, the Group experienced an information security incident involving a ransomware attack and engaged an external cyber security consultant (referred to as "consultant") for cyber incident response services. The IT Infrastructure services team of the Group along with the consultant contained the impact of cyber incident and restored normal business operations. The Group also worked with the consultant to establish the root cause of the incident and has taken various cyber security initiatives for enhancing the cyber security processes and controls. Customer queries and clarifications related to cyber incident have also been addressed satisfactorily. The Group has not received any litigation claims from any of its customers and does not expect any such claim or litigation to come in near future.

Corporate Office: Naida Date : 12 November 2021

By Order of the Board For Nucleus Software Exports Limited Sd/- PARAG BHISE CEO & Whole-time Director

Notes:

Place · Mumhai

Date: 12th November, 2021

बालगोपाल कमर्शियल लिमिटेडसीआयएन: एल५११०९एमएच१९८२पीएलसी३६८६१०
फ्लॅट क्र.बी-००२, डिमॅक्स वेगा, उपाध्याय कंपाऊंड, पम्प हाऊस,
जिजामाता रोड, अंधेरी (पृ.), मुंबई-४०००९३.
३० सप्टेंबर, २०२१ रोजी संपलेल्या तिमाही व अर्धवर्षाकरिता
अलेखापरिक्षित वित्तीय निष्कर्षाचा अहवाल
(रक्कम रु. हजारात)
तपशील संपलेली संपलेले संपलेले
तिमाही अर्धवर्ष संबंधित ३ महिने
890.09.9078 30.09.7078 30.09.7070
कार्यचलनातून एकूण उत्पन्न (निव्वळ) 38543.63 88.909.83 २८२५५.२५
कालावधीकरिता निव्वळ नफा/(तोटा) (कर, अपवादात्मक
आणि/किंवा विशेष साधारण बाबनंतर) ११५०७.२७ २९१२४.२३ 55.5083
करपूर्व कालावधीकरिता निव्वळ नफा/(तोटा)
(अपवादात्मक आणि/किंवा विशेष साधारण बाबनंतर) ११५०७.२७ २९१२४.२३ 55.5083
करानंतर कालावधीकरिता निव्वळ नफा/(तोटा)
(अपवादात्मक आणि/किंवा विशेष साधारण बाबनंतर) ११३९९.२१ २७९१७.९० ७२५७.१२
कालावधीकरिता एकुण सर्वकष उत्पन्न (कालावधीकरिता
सर्वंकष नफा/(तोटा)(करानंतर) आणि इतर सर्वंकष
उत्पन्न (करानंतर)) ११३९९.२१ २७९१७.९० ७२५७.१२
समभाग भांडवल १६५१००.०० १६५१००.०० १६५१००.००
उत्पन्न प्रतिभाग(दर्शनी मूल्य रू.१० प्रत्येकी)
(खंडीत व अखंडीत कार्यचलनासाठी)
मुळ 93.0 93.9 0.88
सौमिकत 93.0 93.9 0.88
टिप: सेबी (लिस्टिंग ॲण्ड अदर डिस्क्लोजर रिकायरमेंट्स) रेग्युलेशन २०१५ च्या नियम ३३ अन्वये
स्टॉक एक्सचेंजसह सादर करण्यात आलेली त्रैमासिक वित्तीय निष्कर्षाचे सविस्तर नमृन्यातील उतारा
आहे. त्रैमासिक वित्तीय निष्कर्षाचे संपूर्ण नमुना स्टॉक एक्सचेंजच्या व कंपनीच्या वेबसाईटवर उपलब्ध
आहे.
बालगोपाल कमर्शियल लिमिटेड
सही/-
विकामा मंत्रती विजय व्यवसायमात्रं सातव
ठिकाण: मंबई विजय लालताप्रसाद यादव
दिनांक: १२.११.२०२१ व्यवस्थापकीय संचालक
VOLTAIRE LEASING & FINANCE LIMITED
Registered Office: 79, Bhagyodaya Building, 3rd Floor,
Nagindas Master Road, Fort, Mumbai -400 023
CIN - L74110MH1984PLC033920, Email: [email protected], Web: www.volfltd.com
Statement of Un-Audited Financial Results for the Quarter & Half Year ended 30th Sept 2021₹ in Lakhs
Sr.No. Particulars Quarterended30 th Sept2021 Quarterended30 th Sept2020 Half Yearended30 th Sept2021 YearEnded31 st March2021
Un-Audited Audited
$\mathbf{1}$ Total Income from Operations (Net) 25.87 43.55 50.30 123.54
$\overline{\phantom{a}}$ Net Profit / (Loss) for the period (before Tax,Exceptional and/or Extraordinary items 0.04 5.79 10.22 7.82
3 Net Profit / (Loss) for the period before tax(after Exceptional and/or Extraordinary items 0.04 5.79 10.22 7.82
4 Net Profit / (Loss) for the period after tax(after Exceptional and/or Extraordinary items 0.55 4.68 8.42 6.28
5 Total Comprehensive Income for theperiod [Comprising Profit / (Loss)for the period (after tax) and OtherComprehensive Income (after tax)] 0.55 4.68 8.42 (20.36)
6 Paid-up Equity Share Capital(Face Value of Rs. 10/- each) 411.800 411.800 411.800 411.800
$\overline{7}$ Other Equity 1,521.53 1,513.107
8 Earning Per Share(before Extra-Ordinary items) of₹ 10/- each (for continuing anddiscontinued operations)
(i) a) Basic 0.01 0.11 0.20 (0.49)
b) Diluted 0.01 0.11 0.20 (0.49)

otes :. The above is an extract of the detailed format of Standalone Un-Audited Financial Results fo The quarter ended 30th Sept 2021 filed with the Stock Exchange/s under the quarter ended 30th Sept 2021 filed with the Stock Exchange/s under Regulation 33 of the function space and 20th Sept 2021. The full format of

For Voltaire Leasing & Finance Limite $S/d$

Alok Kr. Behe

Managing Directo

ate: Wambarate: November 11, 2021

.Place : Mumbai

जाहीर सूचना

आमचे अशिलाच्या वतीने, संभाव्य खरेदीदार या नात्याने आम्ही खालील अनुसुचीत सविस्तरपणे नमुद केलेर्ल मालमत्तेबाबत मेसर्स टेंपलक्राफ्ट रियल्टी एलएलपी यांच्या अधिकाराची चौकशी करीत आहोत (यापुढे सदर .मालमत्ता म्हणून संदर्भ)

जर कोणा व्यक्तीस किंवा संस्थेस, विद्यमान भाडेपट्टाधारक यांना सदर मालमत्ता आणि/किंवा भागावर वारसाहक्क शेअर, विक्री, तारण, भाडेपट्टा, मालकी हक्क, परवाना, वहिवाट, बक्षीस, सदस्यत्व ताबा किंवा अन्य इतर .प्रकार कोणताही दावा किंवा अधिकार असल्यास त्यांनी सदर सूचना प्रकाशन तारखेपासून चौदा (१४) दिवसात खालील स्वाक्षरीकर्ताकडे सर्व आवश्यक दस्तावेजांसह त्यांचे शेअर्स किंवा दावा सादर करावेत. अन्यथा अश दाव्यांच्या संदर्भाशिवाय सदर मालमत्तेबाबतचे पुढील व्यवहार/हस्तांतर पुर्ण केले जाईल आणि अशा व्यक्तींचे दावा त्याग केले आहेत असे समजले जाईल आणि आमच्या अशिलांवर बंधनकारक असणार नाही.

VGRATEX GRATEX INDUSTRIES LIMITED Regd office: 109, Kakad Udyog Bhavan, off. L J Road, Mahim, Mumbai - 400016Website : www.gratex.in / Email : [email protected]

Tel: (022) 62992121/ 24392321 CIN: L21093MH1984PLC032248

EXTRACT OF THE UNAUDITED STANDALONE FINANCIAL RESULTS FOR THE QUARTER AND HALF YEAR ENDED ON 30TH SEPTEMBER, 2021

Rs. In Lacs
Particulars Quarterended30.09.2021(Unaudited) Half Yearended30.09.2021(Unaudited) Quarterended30.06.2021(Unaudited) (Unaudited) Half Yearended30.09.2020 Yearended31.03.2021(Audited)
Total Income From Operations (Net) 73.01 116.50 43.49 71.86 187.02
Net Profit for the period (before Tax, Exceptionalitems and / or Extraordinary items) 6.27 4.47 $-1.80$ 1.40 378
Net Profit for the period before Tax(after Exceptional items and / or Extraordinary items) 6.27 4.47 $-1.80$ 1.40 3.78
Net Profit for the period after Tax (after Exceptionalitems and / or Extraordinary items) 5.17 3.37 $-1.80$ 1.40 229
Total Comprehensive Income for the period after Tax 5.17 3.37 $-1.80$ 1.40 345
Equity Share Capital 303.48 303.48 303.48 303.48 303.48
Reserves (excluding Revaluation Reserve asshown in the Balance Sheet of previous year) 8.90 8.90 8.90 5.45 8.90
Earnings Per Share (before and afterextraordinary items) (Face value of Rs. 10/-each)
(a) Basic (Rs.) 0.17 0.11 $-0.06$ 0.05 0.08
(b) Diluted (Rs.) 0.17 0.11 $-0.06$ 0.05 0.08

The above results have been reviewed by the Audit Committee and approved by the Board of Directors at their meeting held on 12th November, 2021

The above is an extract of the detailed format of the Results for Quarter and half vear ended on 30 th The above is an extract or the detailed tormat of the results for Quarter and nail year endeal on 3.0 the SERIDisclosure Requirements) Regulations, 2015. The full format of the SERI (Listing Obligations andDisclosure Req on the Company's website www.gratex.in For and on behalf of the Board of Director

Sd/ Mr. Karan Sharm Managing DirectorDIN: 00117188

HAZOOR MULTI PROJECTS LIMITED
सीआयएन: एल९९९९एमएच१९९२पीएलसी२६९८१३HMPLनोंदणीकृत कार्यालय: ६०१–ए, रामजी हाऊस प्रिमायसेस कोसोलि., ३०, जांभुळवाडी,जे.एस.एस. रोड, मुंबई-४००००२. दर.:२२०००५२५, ई-मेल:[email protected],वेबसाईट:www.hazoormultiproject.com
३० सप्टेंबर, २०२१ रोजी संपलेल्या तिमाही व अर्धवर्षाकरिता अलेखापरिक्षितवित्तीय निष्कर्षाचा अहवाल
(रु.लाखात, ईपीएस व्यतिरिक्त)
तपशील संपलेलीतिमाही संघलेलेअर्धवर्ष संपलेलीतिमाही
30.09.2029 30.09.2029 30.09.2020
अलेखापरिक्षित अलेखापरिक्षित । अलेखापरिक्षित
कार्यचलनातून एकूण उत्पन्न *कालावधीकरिता निव्वळ नफा/(तोटा) 665656 9068.933 0.000
(कर, अपवादात्मक आणि/किंवा विशेष साधारण बाबपूर्व)करपूर्व कालावधीकरिता निव्वळ नफा/(तोटा) 46.423 96.348 $-2.3C4$
(अपवादात्मक आणि/किंवा विशेष साधारण बाबनंतर)करानंतर कालावधीकरिता निव्वळ नफा/(तोटा) 46.423 96.248 $-2.3C4$
(अपवादात्मक आणि/किंवा विशेष साधारण बाबनंतर)कालावधीकरिता एकूण सर्वकष उत्पन्न (कालावधीकरितासर्वकष नफा/(तोटा)(करानंतर) आणि इतर सर्वकष 46.423 96.248 $-2.3C4$
उत्पन्न (करानंतर)) 46.423 96.348 $-30.098$
समभाग भांडवलराखीव (पुनर्मूल्यांकीत राखीव वगळून) मागील वर्षाच्या लेखापरिक्षित/अलेखापरिक्षित ताळेबंदपत्रकात दिल्यानुसार **उत्पन्न प्रतिभाग (रू.१०/- प्रत्येकी)(अखंडीत व खंडीत कार्यचलनाकरिता) 9094.000 9094.000 9094.000
9. मळ 0.400 0.9 0 $-0.008$
२. सौमिकृत (रु.) 0.400 0.9 0 $-0.008$

कार्यचलनातून उत्पन्नात इतर उत्पन्न समाविष्ट नाही.

दिनांक: १२.११.२०२१

ठिकाण : मुंबई

° ३१ मार्च, २०२१ रोजी संपलेल्या वर्षाकरिता राखीव रु.१२१७.७१३ लाख होते आणि ३१ मार्च, २०२ रोजी रु.१२०१.३११ लाख होते. टिप:

-१. सेबी (लिस्टिंग ॲण्ड अदर डिस्क्लोजर रिक्वायरमेंट्स) रेग्युलेशन २०१५ च्या नियम ३३ अन्वये स्टॉकएक्सचेंजसह सादर करण्यात आलेली त्रैमासिक/वर्षाकरिता वित्तीय निष्कर्षाचे सविस्तर नमुन्यातील उतारा आहे. र राज्य कार्य कार्य कार्य कार्य कार्या कार्य कार्य का स्वान्त मान्य कार्य कार्य कार्य कार्य कार्य कार्य कार्यस्टॉक एक्सचेंजेसच्या WWW.bseindia.com वेबसाईटवर उपलब्ध आहे.

वरील वित्तीय निष्कर्षांचे लेखासमितीद्वारे पुनर्विलोकन व शिफारस करण्यात आले आणि १२ नोव्हेंबर, २०२१ रोजीझालेल्या संचालक मंडळाच्या सभेत मान्य करून नोंदपटावर घेण्यात आले.

.सेबी (लिस्टिंग ॲण्ड अदर डिस्क्लोजर रिक्वायरमेंट्स) रेग्युलेशन २०१५ च्या नियम ३३ अन्वये आवश्यकतेप्रमा कंपनीच्या लेखापरिक्षकांनी मर्यादित पुनर्विलोकन केले आहे

हझर मल्टी प्रोजेक्टस लिमिटेडकरित

व्यवस्थापकीय संचालक

डीआयएन:०१६५७३१

By Order of the Board

For JAINEX AAMCOL LIMITEDSd/-(MOHANLAL KOTHARI)MANAGING DIRECTOR

DIN - 01486305

सही / सुहास सुधाकर जोशी

MR VIJAYKUMAR SAHA is the member o THE TRIVENT NAGAR SARASWAT having address at Vaiseht Pada No. 2Kurar Village, Malad (East), Mumbai 400 Nural valuate, watal clearly, within at 400Digital part of the society.Digital part of the societyThe society hereby invites claims andobjections from the heir or heirs or other claimants/objector or objectors to issue o duplicate share certificate bearing No. B/8 and member's register No.36 having fivefully paid up shares from 185 to 190 having Rs 50/-each dated 26/01/1993 ir the capital/property of the society within aperiod of 15 days from the publication of this notice, with copies of sucl documents and other proofs in support o his/her/their claims/ objections for issue of duplicate share certificate in the name of deceased in the capital /property of the society. If no claims/ objections are received within the period prescribe above, the society shall be free to deal withthe shares and interest of the deceased member in the capital/property of th society in such manner as is provide under the bye-laws of the society. Theclaims/ objections, if any, received by the society for the issue of the duplicate share certificate the name of deceased membe in the capital/property of the society shal be dealt with in the manner provided unde the bye-laws of the society. A copy of the registered bye-laws of the society is available for inspection by the claimants,bbjectors, in the office of the society/ with the secretary of the society between10.00 a.m. to 6.00 p.m. from the date of publication of the notice till the date of expiry of its period. For and on behalf of The Triveni Nagar Saraswati Co-operative Housing Society Ltd. Date: 13/11/2021 $Sd/$ Hon. Secretary Place: Mumbai

NOTICE

मंबई लक्षदीप - १ १

THE VICTORIA MILLS LIMITED Regd. office : Victoria House, Pandurang Budhkar Marg, Lower Parel, Mumbai 400013CIN : L17110MH1913PLC0000357, Tel No.: 24971192/93, Fax No.: 24971194

EMIT ID: [email protected], Website : www.victoriamills.inEXTRACT OF CONSOLIDATED UNAUDITED FINANCIAL RESULTS FOR THE QUARTERAND HALF YEAR ENDED 30.09.2021 (Rs.in lakhs)

Particulars QuarterEnded30/09/2021 SixMonthsended30/09/2021 QuarterEnded30/06/2021
Unaudited Unaudited Unaudited
Total Income from operation (Net) 29.61 43.95 14.33
Net Profit /(Loss) for the period (before Tax, (38.18) (69.44) (31.26)
Exceptional and/or Extraordinary Items)
Net Profit /(Loss) for the period before Tax, (38.18) (69.44) (31.26)
(after Exceptional and/or Extraordinary Items)
Net Profit /(Loss) for the period after Tax. (38.18) (69.44) (31.26)
(after Exceptional and/or Extraordinary Items)
Total Comprehensive Income for the period 186.06 365.70 179.64
(Comprising Profit/Loss and Other Comprehensive
ncome for the period)
Equity share Capital 98.56 98.56 98.56
Reserves (excluding Revaluation Reserves
as shown in the Balance sheet of previous year) 5169.25
Earnings Per Share (of Rs 100/-each)
(for continuing and discontinued operations)
Basica) (38.74) (70.45) (31.72)
h) Diluted (3874) 70 45) (31 72)

Note: The above is an extract of the detailed format of Quarterly Financial Results filed with the Stock Exchange under Regulation 33 of the SEBI (Listing and Other Disclosure Requirements) Regulations, 2015. The full format of the Quarterly Financial Results are available on the Stock Exchange website,wwwbseindia.com, and on the Company website,www.victoriamills.in The specified items of the standalone financials results of the Company are given below:

Particulars QuarterEnded30/09/2021Unaudited SixMonthsended30/09/2021Unaudited QuarterEnded30/06/2021Unaudited
Revenue from continuing operations 24.67 34.13 9.46
Profit before tax from continuing operations (42.53) (77.93) (35.40)
Profit before tax from discontinued operations
Net profit after tax from continuing operations (42.53) (77.93) (35.40)
Net profit after tax from discontinuing operationsNet profit after tax from continuing operations and
discontinued operations (42.53) (77.93) (35.40)
The above Unaudited Financial Results for the quarter and six month ended September30th 2021 have been reviewed by the Audit Committee in its meeting held on November12th 2021 and approved by the Board of Directors in its meeting held on November 12th 2021.The Statutory Auditors have conducted the Limited Review of the same.
FOR THE VICTORIA MILLS LTD Sd/-
Date: 12.11.2021Place: Mumbai (ADITYA MANGALDAS)MANAGING DIRECTORDIN NO 00032233
TRIO MERCANTILE & TRADING LTD.
-- -- ------------------------------------------- -- -- --

Trio 613/B, Mangal Aarambh, Near Mc. Donalds, Kora Kendra, Off.S.V. Road, Borivali (W), Mumbai - 400092. Email Id: [email protected] Website: www.triomercantile.comTel No. 28335999/28335998, CIN : L51909MH2002PLC136975

STATEMENT OF THE UNAUDITED FINANCIAL RESULTS FOR THE QUARTER

AND HALF YEAR ENDED ON 30th SEPTEMBER 2021(₹in Lakhs)
Particulars QuarterEnded Half YearEnded YearEnded
30.09.2021 30.09.2021 31.03.2021
Unaudited Unaudited Audited
Total Income from Operations 90.456 153.830 660.225
Net Profit/(Loss) for the period (before Tax,
Exceptional and/or Extraordinary items) 2.864 18.101 (36.937)
Net Profit/(Loss) for the period before Tax
(after Exceptional and/or Extraordinary items) 2.864 18.101 (136.937)
Net Profit/(Loss) for the period after tax
(after Exceptional and/or Extraordinary items) 2.024 12.661 (137.037)
Total Comprehensive Income for the period
[Comprising Profit/(Loss) for the period (after tax)
and Other Comprehensive Income (after tax)]
Equity Share Capital 1358.732 1358.732 1358.732
Reserves (excluding Revaluation Reserve as
shown in the Balance Sheet of previous year)
Reserves (excluding Revaluation Reserve as
shown in the Balance Sheet of previous year) 1115.158
Earning Per Share (of Rs.10/-each)
(for continuing and discountinued operations)
Basic: 0.003 0.019 (0.202)
Diluted: 0.003 0.019 (0.202)
Note: The above is an extract of the detailed format of Quarterly/Annual Financial Results filed with the
Stock Exchanges under Regulation 33 of the SEBI (Listing and Other Disclosure Requirements)
Regulations, 2015. The full format of the Quarterly / Annual Financial Results are available on the website
of the Stock Exchange(s) and the listed entity viz www.bseindia.com and www.triomercantile.com.
For Trio Mercantile & Trading Ltd Sd/-
Place: Mumbai (Deepak Mehta)
Date: 12th November, 2021 DirectorDIN: 00046696
e $\sim$ $\sim$ $\sim$

मुकट पाईप्स लिमिटेड

नोंदणीकृत कार्यालयः फ्लॅंट क्र.३९, पराग अपार्टमेंट्स, ७वा मजला, जे.पी.रोड, वर्सोवा, अंधेरी (पश्चिम), मुंबई-४०००६१. CIN:L27200MH1987PLC044407दूर.:०१७६२-२२५०४०, फॅक्स:०१७६२-२२२३९०, वेबसाईट:www.mukatpipes.com, ई-मेल:mukatpi

३० सप्टेंबर, २०२१ रोजी संपलेल्या तिमाही व अर्धवर्षाकरिता अलेखापरिक्षित वित्तीय निष्कर्षाचा अहवाल

(सदर मालमत्तेचे वर्णन)

युनिट क्रमांक १८०२, टॉवर ए, क्षेत्रफळ सुमारे १०,०४९ चौरस फूट कारपेट क्षेत्र मोजणारे परिसर, १८व्या मजल्यावर १५,४६४ चौरस फूट आकारणीयोग्य क्षेत्रफळ (युनिट म्हणून ज्ञात) आणि १५ कार पार्किंगच्य जागा वापरण्याचा अनन्य अधिकार ९ नियमित कार पार्किंग क्र.२६८ ते २७५ आणि ३०१ आणि ६ मेकॅनिकर कार पार्किंग जागा ज्यामध्ये क्र. ३८५-ए आणि बी, ३८६-ए आणि बी, ३८७-ए आणि बी सर्व इमारतीच्य पी–0 स्तरावर (कार पार्क्स म्हणून ज्ञात) आहेत. पेनिनसुला बिझनेस पार्क म्हणून ज्ञात इमारत (इमारत म्हणून ज्ञात) येथील मालमत्तेचे सर्व भाग व खंड. सीएस क्रमांक २४३ मधील लोअर परेल विभागातील क्षेत्रफळ सुमारे ३५,०९७ चौरस मीटर म्हणजे २९,३४५.५४ चौरस मीटर आहे, त्यापैकी २,१४५.२६ चौरस यार्डस म्हणजे १,७९३.६६ चौरस मीटर क्षेत्रफळ कमी आहे. आता क्षेत्रफळ सुमारे ३२,९५१.७८ चौरस यार्डस म्हणजे मीटरच्या समतुल्य २७,५५१.७० चौरस मीटर, गणपतराव कदम मार्ग, लोअर परेल, मुंबई ४०० ०१३ नोंदणी जिल्हा मुंबई येथे स्थित जमिनीवर बांधलेल्या इमारतीमधील युनिट आणि कार पार्क्स यांना एकत्रितपणे परिसर म्हणून संबोधले जाते. .नेन – व्यवस्थापकीय भागीदा

ाज दिनांकीत १३ नोव्हेंबर, २०२१ धिरज जै

डी एम असोसिएटस् १०७, १ला मजला, विकास इमारत, ११, एनजीएन वैद्य मार्ग, फोर्ट, मुंबई–४००००१.

शिवॲग्रीको इम्प्लेमेन्टस् लिमिटेड
सीआयएन:एल२८९१०एमएच१९७९पीएलसी०२१२१२नोंदणीकृत कार्यालय: ए-१, तळमजला, आदिनाथ अपार्ट., २८१, ताडदेव रोड, मुंबई-४००००७.दर.:२३८९३०२२/२३, ई-मेल:[email protected],वेबसाईट:www.shivagrico.com३० सप्टेंबर, २०२१ रोजी संपलेल्या तिमाहीकरिता एकमेवअलेखापरिक्षित वित्तीय निष्कर्षाचा अहवाल(सिक्युरिटीज ॲण्ड एक्सचेंज बोर्ड ऑफ इंडिया (लिस्टिंग ऑब्लिगेशन्स ॲण्ड डिस्क्लोजर
रिक्वायरमेंट्स) रेग्युलेशन्स २०१५ च्या नियम ४७(१)(ब) नुसार)
(रु.लाखात)
संपलेलीतिमाही संपलेलीतिमाही संपलेलीतिमाही संपलेलेअर्धवर्ष संपलेलेअर्थवर्ष संपलेलेਰਥੰ
तपशील 30.09.99अलेखापरिक्षित 30.05.99अलेखापरिक्षित 30.09.90अलेखापरिक्षित 30.09.99अलेखापरिक्षित 30.09.90अलेखापरिक्षित 39.03.99लेखापरिक्षित
एक ण उत्पन्न 85.63.68 888.88 8085.89 २६१८.२८ १५७४.४७ 90.3938
कालावधीकरिता निव्वळ नफा/(तोटा)(कर, अपवादात्मक आणि/किंवा विशेषसाधारण बाबपूर्व) 80.98 80.39 48.90 2,43 ९.६२ 35.35
करपूर्व कालावधीकरिता निव्वळ नफा/(तोटा)(अपवादात्मक आणि/किंवा विशेषसाधारण बाबनंतर) 80.48 80.39 48.80 86.46 ९.६२ 38.35
करानंतर कालावधीकरिता निव्वळ नफा/(तोटा) (अपवादात्मक आणि/किंवाविशेष साधारण बाबनंतर) 89.08 २२.२२ 83.88 ५१.२६ 8.80 8.80
कालावधीकरिता एकूण सर्वकष उत्पन्न(कालावधीकरिता नफा/(तोटा)(करानंतर)व इतर सर्वंकष उत्पन्न (करानंतर)) $\theta$ $\theta$ $\theta$ $\mathbf{0}$ $\mathbf{0}$ ९.९९
समभाग भांडवल 408.35 408.35 408.35 408.35 408.35 408.35
मागील वर्षांच्या लेखापरिक्षित ताळेबंदपत्रकात दिल्याप्रमाणे राखीव(पुनर्मुल्यांकित राखिव वगळुन) 0 0 0 0 $\mathbf{0}$ ११९.२६
उत्पन्न प्रतिभाग (विशेष साधाराणबाबपूर्व व नंतर) (मूळ व सौमिकत)सेबी (लिम्टिंग ॲण्ड अंदर डिस्कलोजर रिकायरमेंट्स) रेखलेशन २०१५ च्या नियम ३३ अन्वये स्टॉक एक्सचेंजमंड 0.46 0.88 33.0 8.03 0.87 0.30

(बीएसई लिमिटेड) सादर करण्यात आलेली ३० सप्टेंबर, २०२१ रोजी संपलेल्या कालावधीकरिता त्रैमासिकवित्तीय निष्कर्षाचे सविस्तर नमुन्यातील उतारा आहे. त्रैमासिक वित्तीय निष्कर्षाचे संपूर्ण नमुना कंपनीच्या www.shivagrico.com वेबसाईटवर गुतवणूकदार विभागाअंतर्गत आणि बीएसई लिमिटेडच्या www.bseindia.com वेबसाईटवर उपलब्ध आहे.

शिवॲग्रीको इम्प्लेमेन्टस् लिमिटेडकरिता
सही / – I
काण : मंबई हेमंत व्ही. राणावत
नाक : ११.११.२०२१ कार्यकारी संचालक
JAINEX AAMCOL LIMITED
Regd. Office: 405/406, Sharda Chamber, 15 Sir V. T. Marg, New Marine Lines, Mumbai - 400 020.
Statement of Standalone Unaudited Financial Results for the Quarter and Six months ended 30-09-2021 CIN: L74999MH1947PLC005695 RS. IN LACS
Sr.Quarter endedSix months ended Year ended
No Particulars 30-Sep-21 30-Jun-21 30-Sep-20 30-Sep-2030-Sep-21 31-Mar-21
Unaudited &Reviewed Unaudited &Reviewed Unaudited &Reviewed Unaudited &Reviewed Unaudited &Reviewed Audited
Income from operations
(a) Net Sales / Income from operations 510 375 305 885 397 1,200
(b) Other operating income 0 0 $\Omega$
$\overline{2}$ Total Income from operations (net)Expenses 510 375 306 885 398 1,202
(a) Cost of materials consumed 103 111 57 214 83 272
(b) Purchase of stock in trade 0 0 0 $\theta$ $\Omega$ 0
(c) Changes in inventories of finished goods, work-in-progress andstock-in-trade 33 (36) 22 (3) 20 9
(d) Employees benefits expense 134 121 94 255 161 421
(e) Finance cost 14 $\boldsymbol{9}$ 6 23 13 45
(f) Depreciation and amortisation expense(g) Other Expenses 28126 28107 2880 56233 57122 114333
Total Expenses 438 340 287 778 456 1194
3 Profit/(Loss) before Exceptional and extraordinary
items and tax (1-2) 72 35 19 107 (58) 8
45 Exceptional itemsProfit / (Loss) before extraordinary items and tax (3-4) $\overline{0}$72 Ō35 $\overline{0}$19 $\overline{0}$107 Ō(58) $\overline{0}$8
6 Extraordinary items 'n Ō 0 Ō Ω 0
$\overline{7}$ Profit/(Loss) before tax (5 - 6) 72 35 19 107 (58) 8
8 Tax Expenses (including Deferred Tax) $\overline{21}$ $\overline{9}$ $\overline{5}$ $\overline{30}$ (17) $\overline{(4)}$
(1) Current Tax - Adjustment (MAT)(2) Deferred Tax (Net) 1320 69 5 1929 $\theta$(17) 1(4)
(3) Mat Credit reinstatement / lapse
(4) MAT Credit Entitlement / Adjustment/ C/f (12) (6) (18) (1)
910 Net Profit/(Loss) for the period (7 +/- 8)Other Comprehensive Income 510 260 $\overline{14}$0 77$\overline{\mathbf{0}}$ (41)Ō $\overline{12}$$\overline{\mathbf{0}}$
A (i) Items that will not be reclassified to profit or loss 0 $\overline{0}$ $\Omega$ $\overline{0}$ $\overline{0}$ 0
(ii) Income tax relating to items that will not be reclassified
to profit or loss $\overline{0}$ $\overline{0}$ $\overline{0}$ $\overline{0}$
B (i) Items that will be reclassified to profit or loss(ii) Income tax relating to items that will be reclassified 0 0 0 0 0 0
to profit or loss $\Omega$ 0 0 $\Omega$ $\Omega$ 0
11 Total Comprehensive Income for the period/year (9+10)
(Comprising Profit and Other Comprehensive income for
12 the period)Paid-up equity share capital (Face Value of Rs.10/- each) 51150 26150 14150 77150 (41)150 12150
13 Other Equity (shown annually) 220
14 Earnings Per Share (of Rs. 10/- each)
(a) Basic in Rs. 3.39 175 0.89 5 14 (2.75) 0.77
$\overline{15}$ (b) Diluted in Rs.Net Worth 3.39 1.75 0.89 5.14432 (2.75) 0.77355
16 Net Debt Equity Ratio (no. of times) 1.40 1.82
17 Debt Service Coverage Ratio (no. of times) 48.76 42.44
18 Interest Service Coverage Ratio (no. of times)19 Total Borrowings 6.99605 1.18645
NOTES:The outbreak of corona virus (COVID-19) pandemic globally and in India is causing significant disturbance and slowdown of economic activity. TheCompany's operations and revenue were impacted due to COVID-19. However, it has no further significant impact with respect to COVID-19pandemic and has shown improvement and during the quarter and half year ended September 30, 2021.2. The company's main product lines are in gear cutting tools which contributes over 89% (pervious year 90%) of its revenue. The contribution fromthe balance operation is mostly involving common processes and uses of same machineries of main product lines and thus the company'soperation is considered as a single segment.3. The unaudited financial results prepared in accordance with Indian Accounting Standards (Ind AS) for the quarter and six month ended September30, 2021 have been reviewed by the Audit Committee and approved by the Board of Directors of the Company at its meeting held on November12th, 2021. The same have also been subject to Limited Review by the Statutory Auditors.4. The company has no subsidiary, joint ventures or associates, hence consolidation of results are not required.5. Figures for the previous periods have been regrouped / re-classified to conform to the classification of the current period.6. Net worth as per section 2(57) of Companies Act, 2013 Equity represents Equity Share Capital and Other Equity.7. Debt - Equity Ratio = Total Borrowings including unsecured loans divided by Equity.8. DSCR = Profit before interest and exceptional items divided by (interest expenses together with principal repayments of long - term debt excluding
  1. ISCR = Profit before interest and exceptional items divided by interest expense.10. Total Debt represents Current Borrowings, Non-Current Borrowings and Current maturities of Non-Current Bor

Place: MumbaiDate: 12-11-2021

क. 30.09.29 30.06.29 30.09.20 30.09.29 30.09.20 39.03.29
$\mathbf{q}$ कार्यचलनातून एकूण उत्पन्न (निव्वळ) 943.89 929.88 980.48 2 2.30 30.08 594.34
कालावधीकरिता निव्वळ नफा/(तोटा) (कर, अपवादात्मक आणि/किंवा
विशेष साधारण बाबनंतर#) (94.03) (0.38) 90.02 (33.80) (4.94) (8.85)
3 करपूर्व कालावधीकरिता निव्वळ नफा/(तोटा) (अपवादात्मक आणि/किंवा
विशेष साधारण बाबनंतर#) (99.03) (0.38) 90.02 (33.80) (4.94) (8.85)
8 करानंतर कालावधीकरिता निव्वळ नफा/(तोटा) (अपवादात्मक आणि/किंवा
विशेष साधारण बाबनंतर#) (99.03) (0.38) 90.02 (33.80) (4.94) (8.85)
कालावधीकरिता एकूण सर्वकष उत्पन्न (कालावधीकरिता सर्वकष नफा/(तोटा)(करानंतर)
आणि इतर सर्वकष उत्पन्न (करानंतर)) (99.03) (0.38) 90.02 (33.80) (4.94) (9.83)
$\xi$ भरणा केलेले समभाग भांडवल (दर्शनी मूल्य रू.५/– प्रत्येकी) 489.40 489.40 489.40 499.40 489.40 489.40
$\theta$ राखीव (पूनर्मूल्यांकित राखीव वगळून) (9203.00)
उत्पन्न प्रतिभाग (दर्शनी मूल्य रू.५) - प्रत्येकी) (खंडीत व अखंडीत कार्यचलनासाठी)
मूळ (0.93) $(0.0\xi)$ 0.94 (0.98) (0.08) (0.0c)
सौमिकृत (0.93) $(0.0\xi)$ 0.94 (0.98) (0.08) (0.0C)
टिप:
१. सेबी (लिस्टिंग ॲण्ड अदर डिस्क्लोजर रिक्वायरमेंट्स) रेग्युलेशन २०१५ च्या नियम ३३ अन्वये स्टॉक एक्सचेंजसह सादर करण्यात आलेली त्रैमासिक वित्तीय
निष्कर्षाचे सविस्तर नमुन्यातील उतारा आहे. त्रैमासिक वित्तीय निष्कर्षाचे संपूर्ण नमुना कंपनीच्या www.mukatpipes.com वेबसाईटवर आणि बीएसई स्टॉक
एक्सचेंजच्या www.bseindia.com वेबसाईटवर उपलब्ध आहे.
२. ३०.०९.२०२१ रोजी संपलेल्या तिमाही व अर्धवर्षाकरिताचे वरील अलेखापरिक्षित वित्तीय निष्कर्षाचे लेखासमितीद्वारे पुनर्विलोकन करण्यात आले आणि १२.११.२०२१
रोजी झालेल्या संचालक मंडळाच्या सभेत मान्य करून नोंद पटावर घेण्यात आले.
४. #– अपवादात्मक आणि/किंवा विशेष साधारण बाब लागू असेल तेथे इंड–एएस रूल्स/एएस रूल्स नुसार नफा व तोटा अहवालात तजवीज करण्यात आले.
मुकट पाईप्स लिमिटेडकरिता
सही $/ -$
(रुपिंदर सिंग अहलुवालिया)
अध्यक्ष ।

डीआयएन-०१२३९४८३|

एफजीपी लिमिटेड

सीआयएन:एल२६१००एमएच१९६२पीएलसी०१२४०६ नोंदणीकृत कार्यालय: ९, वॉलेस स्ट्रीट, फोर्ट, मुंबई-४००००१. दू.:०२२-२२०७०२७३, २२०१५२६९

वेबसाईट:www.fgpltd.in ई-मेल:[email protected]

३० सप्टेंबर, २०२१ रोजी संपलेल्या तिमाही व अर्धवर्षाकरीता अलेखापरिक्षीत एकमेव वित्तीय निष्कर्षाचा अहवाल

(रु.लाखात)

संपलेली तिमाही संपलेली तिमाही संपलेले अर्धवर्ष संपलेले अर्धवर्ष संपलेले वर्ष
अ. तपशील 30.09.2029 30.09.2020 30.09.2029 30.09.2020 39.03.2029
क. अलेखापरिक्षित अलेखापरिक्षित अलेखापरिक्षित अलेखापरिक्षित लेखापरिक्षित
٩. कार्यंचलनातून एकूण उत्पन्न २९.६८ 94.29 49.80 34.98 C9.90
2. इतर उत्पन्न 99.08 (6.08) 90.8C (3.35) 0.35
ς. कालावधीकरिता निव्वळ नफा/(तोटा)(कर, अपवादात्मक आणि/किंवा
विशेष साधारण बाबपूर्व) 99.08 (6.08) 90.8C (3.35) $0.3\xi$
3. करपूर्व कालावधीकरिता निव्वळ नफा/(तोटा) (अपवादात्मक
आणि/किंवा विशेष साधारण बाबनंतर) 99.08 (6.08) 910.86 (3.35) $0.3\xi$
8. करानंतर कालावधीकरिता निव्वळ नफा/(तोटा) (अपवादात्मक
आणि/किंवा विशेष साधारण बाबनंतर) 99.08 (6.08) $90.8$ C (3.35) 0.93
Ч. कालावधीकरिता एकूण सर्वंकष उत्पन्न (कालावधीकरिता सर्वकष
नफा/(तोटा) आणि इतर सर्वकष उत्पन्न (करानंतर)) (6.08) (१५.०१) (3.35) (४६.२५) (१२४.२५)
ξ. भरणा केलेले समभाग भांडवल 9968.49 9968.49 9968.49 9968.49 9968.49
$\theta$ . राखीव (पूर्नमूल्यांकित राखीव वगळून) मागील वर्षाच्या लेखापरिक्षित
ताळेबंदपत्रकात दिल्यानुसार $(c$ ९२.६६)
उत्पन्न प्रतिभाग (रू. १०/ - प्रती) (अखंडीत व खंडीत कार्यचलनाकरिता)
मूळ 0.08 (0.04) 0.99 (0.03) 0.00
सौमिकृत 0.08 (0.04) 0.99 (0.03) 0.00
$F_{\text{diff}}$

.- वरील निष्कर्षाचे लेखासमितीद्वारे पुनर्विलोकन करण्यात आले आणि १२ नोव्हेंबर, २०२१ रोजी झालेल्या समेत संचालक मंडळाद्वारे मान्य करण्यात आले. ३० सप्टेंबर,- २०२१ रोजी संपलेल्या तिमाही व अर्धवर्षाकरिता निष्कर्षाचे लेखापरिक्

कंपनी एकमेव व्यवसाय विभाग अर्थात बिझनेस सेन्टरमध्ये कार्यरत आहे.

ठिकाण: मुंबई

दिनांक: १२.११.२०२१

दिनांकः १२.११.२०२१ ठिकाणः राजपुरा

३. सेबी (लिस्टिंग ऑब्लिगेशन्स ॲण्ड डिस्क्लोजर रिक्वायरमेंट्स) रेणुलेशन, २०१५ च्या नियम ३३ अन्यये स्टॉक एक्सचेजकडे सादर करण्यात आलेली त्रैमासिक वअर्धवार्षिक अलेखापरिक्षित वित्तीय निष्कर्षाचे सविस्तर नमुन्यातील उतारा आहे स्टॉक एक्सचेंजच्या www.bseindia.com वेबसाईटवर उपलब्ध आहे.

संचालक मंडळाच्या वतीने व करिता
एफजीपी लिमिटेडकरिता
एच.एम. सिंग राजपत
अध्यक्ष (डीआयएन:०००८०८३६)