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Hind Rectifiers Ltd. Interim / Quarterly Report 2022

Nov 12, 2022

62363_rns_2022-11-12_6858f3b5-f2d6-441c-b670-ef38e7136432.pdf

Interim / Quarterly Report

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Ref. No. HIRECT/SEC/2022-2023/42 November 12, 2022

Phiroz Jeejeebhoy Towers, Bandra Kurla Complex, 400 001 Maharashtra

BSE Limited National Stock Exchange of India Limited Rotunda Building, "Exchange Plaza" 5 Floor, C-1, Block 'G' Dalal Street, Mumbai Bandra (East) Mumbai 400 051

Security Code No.: 504036 Symbol: HIRECT Type of Security: Equity

Sub: Newspaper Publications - Unaudited Financial Results 30.09.2022

Dear Sir/ Madam,

Please find enclosed herewith copies of the advertisement with respect to the Unaudited Financial Results for the quarter and six months ended September 30, 2022, published in The Free Press Journal and Navshakti on November 12, 2022.

Kindly acknowledge and take the same on record.

Thanking you,

Yours Faithfully,

For Hind Redfifi rs Limited

Meenakshi Anchlia (Company Secretary & Compliance Officer)

Encl: As above

THE FREE PRESS JOURNAL www.freepressjournal.in MUMBAI | SATURDAY | NOVEMBER 12, 2022

Ekta CHS Ltd.,Sector-9 ,Vashi,Navi Mumbai.

This is to bring to notice to bonafide members of Ekta CHS Ltd., JN-1 Type Building No.1 To 18 situated at Plot No-5, Sector -9, Vashi, Navi Mumbai-400703 that as per our redevelopment agreement, we have started collecting all relevant documents and issuing rental & Deposit Cheques towards the flats. All members who have not completed the formality of submitting relevant documents & collecting Rent/Deposit cheques are requested to do so immediately from society office situated at JN2-15/A-5, Mahalaxmi Apt. Owner's Association, Sector 10, Vashi, Navi Mumbai-400703 Chairman / secretary.

(Ekta CHS Ltd)

Branch: Gigaplex, 3rd Floor, APPENDIX IV [Rule 8(1) A AXIS BANK LTD. Mugalsan Road, TTC Industrial Area, Possession Notice Airoli, Navi Mumbai-400708. (For Immovable Property

Registered Office:- "Trishul", 3" Floor, Opp Samartheshwa
Near Law Garden Ellisbridge, Ahmedabad - 380006 Whereas, the undersigned being the Authorised Officer of the Axis Bank Ltd., Under the Securitisation and Reconstruction of Financial Assets and Enforcement of Security Interest Act 2002 and in exercise of nowers conferred under section 13(12) read with Rule 3 of the Security Interest (Enforcement) Rules, 2002, issued a Demand Notice dated 27/01/2021 calling upon the
Borrower/Mortgagor, viz. 1) Bhagirtahi Trans Corpo Pvt. Ltd, 2) Mr.
Manohar Sakpal, 3) Mrs. Manali Sakpal, 4) Mr. Sagar Sakpal to repay the amount mentioned in the notice being Rs. 1,91,83,067/- (Rupees One Crore
Ninety One Lakh Eighty Three Thousand Sixty Seven only) as on 30/12/2020 (includes interest applied till 31/05/2020) together with furthe interest thereon at the contractual rate plus all costs, charges and
expenses till date of payment within 60 days from the date of the said notice. The Borrower/Guarantors having failed to repay the amount, notice i hereby given to the Borrower/Guarantors/Mortgagor and the public in general that the undersigned has taken Physical Possession of the property described herein below in exercise of powers conferred on him under section 13(4) of the Act read with Rule 6 & 8 of the Security Interest (Enforcement) Rules, 2002 on this 09/11/2022.

The Borrower/Guarantors/Mortgagor in particular and the public in
general are hereby cautioned not to deal with the property and any Jealings with the property shall be subject to the charge of the Axis Ban Ltd. for an amount of Rs. 1,91,83,067/- (Rupees One Crore Ninety One
Lakh Eighty Three Thousand Sixty Seven only) as on 30/12/2020 (includes interest applied till 31/05/2020) together with further interest thereon at the contractual rate plus all costs, charges and expenses till date of payment

The Borrower's attention is invited to the provisions of Sub Section (8) of
Section 13 of the SARFAESI Act, 2002 in respect of time available, to edeem the secured assets

Schedule of the Property

All the Piece and Parcel of the Property Address at Shop No. 03, On
Basement, Ground and First Floor, Admeasuring 90.23 Sq Mtrs (carpet Area) In The Building Known As "Espee Tower" Bearing S. No. 26 H. No. 1 (p) and S. No. 27, H. No. 2 (p), CTS No. 79, 79/1 To 30, Village Magathane Taluka Borivali, Mumbai Suburban, Authorized Officer

Date: 09/11/2022 Place : Borivali

APPENDIX IV [See rule $8(1)$ ] Axis Bank Ltd.

POSSESSION NOTICE (for immovable property)

Whereas

The Authorized Officer of INDIABULLS HOUSING FINANCE LIMITED under th Securitisation and Reconstruction of Financial Assets and Enforcement of Security Interest Act, 2002 and in exercise of powers conferred under Section 13 (12) read with Rule 3 of the Security Interest (Enforcement) Rules, 2002 issued Demand Notice dated 15.12.2021 calling upon the Borrower(s) SANTOSH BAJIRAO GAIKWAD, BABASAHEB BAJIRAO GAIKWAD AND HEEMABAI BAJIRAO GAIKWAD to repay the amount mentioned in the Notice being Rs. 17,73,867.77 (Rupees Seventeen Lakhs Seventy Three Thousand Eight Hundred Sixty Seven and Paise Seventy Seven Only) against Loan Account No. S049OXXIII-02 (Earlier Loan Account No HHLVSH00482966 of IHFL) as on 24.11.2021 and interest thereon within 60 days from the date of receipt of the said Notice. Earlier the IHFL has assigned all its rights, title and interest of the above loan account in favor of Indiabulls Asset Reconstruction Company Ltd. as Trustee of Indiabulls ARC-XXIII, Trust by way of an Assignment Agreement dated 31.12.2021. Further the Indiabulls Asset Reconstruction Company Ltd. as Trustee of Indiabulls ARC-XXIII, Trust has assigned all its rights, title and interest of the above loar account in favor of ASSETS CARE & RECONSTRUCTION ENTERPRISE LTD. ("ACRE") by way of an Assignment Agreement dated 29.06.2022.

The Borrower(s) having failed to repay the amount, Notice is hereby given to the Borrower(s) and the public in general that the undersigned has taken symbolic possession of the property described herein below in exercise of powers conferred on him under Sub-Section (4) of Section 13 of the Act read with Rule 8 of the Security Interest (Enforcement) Rules, 2002 on 07.11.2022.

The Borrower(s) in particular and the public in general is hereby cautioned not to deal with the property and any dealings with the property will be subject to the charge of ASSETS CARE & RECONSTRUCTION ENTERPRISE LTD, for an amount of Rs. 17,73,867.77 (Rupees Seventeen Lakhs Seventy Three Thousand Eight Hundred Sixty Seven and Paise Seventy Seven Only) as on 24.11.2021 and interest thereon

The Borrowers' attention is invited to provisions of Sub-Section (8) of Section 13 of the Act in respect of time available, to redeem the Secured Assets.

and notice send by HDB Financial Services Limited (the "Company") requesting the borrows to clear his/her/their dues as per the documents in respect of the below mentioned loar

signed/accepted by the borrower(s) (such documents, collectively "loan agreeement") and igneurance between the untrowerly lourn documents, conecutively lourn agreement promined therefore defaulted in terms thereof. The Company has in excercise of its rights as a pledgee
decided to enforce the pledge and there

pledged to the company as security for the loan for the purpose of selling the same and realizing/recovering the dues owned by the borrower(s) to the company. The auction will

Limited from 11.00 am onwards on the date and branches mentioned in the below table:

27/02/202

22/06/2021

22/02/202

:3/06/202

.1/03/202

20/12/202

02/06/202:

18/04/202

25/02/202

29/04/2023

$17/01/2022$

02/03/2021 $25/01/2022$

$12/05/2022$

The auction shall be conducted on an "AS IS WHERE" and "AS IS WHAT IT" basis and th Company is not making and shall not make any representation or warranties as regard-
the quality, purity, caratage, weight or valuation of the said gold ornaments. It shall be the sole and absolute responsibility of the potential purchaser to verify, examine and and solution to planting purity, caratage, weight or valuation of the said gold
contained by the quality, purity, caratage, weight or valuation of the said gold
ornaments prior to placing their bid and for such purpose it above, the gold ornaments whether with or without expert advice 45 minutes prior to the time stipulated for the conduct of the auction. All the bid shall be subjected to such ninimum reserve price as the company may deem fit to fix in this regards. The auctior process and sale (if any) pursuant to such auction shall be subjected to such further term

If the borrower(s) mentioned above pays the amount due to the Company in terms of

the undersigned authorized officer of the company, either to postpone or to cancel the auction proceeding without prior notice and without assigning any reason thereof and to
reject any or all the bids or offer without assigning any reason for the same.

the loan agreement in his individual loan account in full before the auction as mentic ne tour agreement in instructuation tour account in our other has been to the pledged ornaments securing the said loan may be withdrawn from the said lobok. The pledged ornaments securing the said loan may be withdrawn fro

16/07/202

14/06/20

tioned local branch of HDB Financial Service

Date of Loan Overdue Branch Name Amount F

13445
12875

30900

7030

1017

73875

6670

27244

20587

8630

27304

20806

8478

11200

35256

29994

18500

4335

12600

18295 Ahmednagar

102295 | Aurangabad

Aurangabad
Aurangabad-Station Road

Aurangabad Station Road

Aurangabad Station Road

Gondia

Jalna

Kalyan-Lalchow

Nagpur

Nagpur-Bajaj Nagar

Pune-Kothrud

Pune-Pimpri

Pune-Shivaji

Nagar

Pune-Shivaji Nagar

Sangli 13480 Ulhasnagar

Ulhasnagar

Wardha

Authorised Office

(HDB Financial Services Ltd)

Wardha

umbai-Tardeo

umbai-Tardec

nducted on 15-11-2022 at the below me

Shoeb Azam Khan

'ijay Arya

Tareque Ishteyag Syed

Pawan Rohidas Chava
Kishor Bhagwan Koka

Seema Rajaram Padamavar

Rushikesh Sanjay Bhalgavkai

Akshay Suresh Maccha

Radha Raman Banerjee

Govind Suresh Sangtan

Rohit Devanand Wankhede

Balu Maruti Salve

Nikhil Vijay Tigdi

Mahesh Patange

Dashrath Madhukar

Waghmare
Rahul Gorakh Borade

Jasaram Vajaji Choudhary

Indrajeet Ravindra Shinde

Imteyaz Chihutari Ansari

Mukta Hareshlal Sidhwani

Dinesh Madhukar Kamble

21897134 | Shital Mahadeorao Dhongade | 19/02/2022 |

and condition as the company may at sole discretion deem fit to impose

Loan No

2201652

1889451

15718715

21939031

15721156

15596241

10283156

22226446

16250008

15459109

23289081

21999976

23605819

21195413

14455853

21389810

24031235

Place: MAHARASHTRA

Date: 12-11-2022

2047548

Customer Name

DESCRIPTION OF THE IMMOVABLE PROPERTY

रलव हल्पलाइन 139 VAPL/4 I Place : Mumbal
HLV LIMITED
CIN No.: L55101MH1981PLC024097
Registered Office: The Leela, Sahar, Mumbai - 400 059;
Tel: 022-6691 1234; Fax: 022-6691 1458; Email: [email protected]; Website: www.hlvltd.com
Extract of Financial Results for the Quarter and
Half Year ended 30th September, 2022
(そ In Lakhs)
Quarter Quarter Half Year
Ended Ended Ended
Particulars 30-Sept-22 30-Sept-21 30-Sept-22
Particulars 30-Sept-22 30-Sept-21 30-Sept-22
Unaudited Unaudited Unaudited
Total Income from operations (net) 3.676 1.656 7.632
Net Profit /(loss) for the period (before tax and exceptional items) (357) (987) (3,255)
Net Profit /(loss) before tax (after exceptional items) (357) (152) (4,251)
Net Profit /(loss) after tax (357) (152) (4,251)
Total comprehensive income for the year (372) (145) (3,949)
Equity share capital 13.185 13.185 13,185
Earnings per share (in Rs.) - Basic and diluted (0.05) (0.02) (0.66)
Notes

The above is an extract of the detailed format of quarterly financial results filed with the Stock Exchanges unde regulation 33 of the SEBI (Listing Obligations and Disclosure Requirements) Regulations 2015. The full format of the quarterly financial results are available on the websites of NSE and BSE at www.nseindia.cor and www.bseindia.com respectively and on Company's website at www.hlyltd.com

The financial results for the quarter and half-year ended 30th September, 2022 were reviewed by the Audi Committee of the Board and approved by the Board of Directors at their meeting held on 11th No 2022. The results have been reviewed by the Statutory Auditors of the Company.

Figures have been regrouped, rearranged or reclassified wherever necessary

Place: Mumbai

Date: 11th November, 2022

For and on behalf of the Board of Director

Dinesh Nair Co-Chairman & Managing Director For & On Behalf O

(Hon.secretary)

HIND RECTIFIERS LIMITED

Perfectly Engineered Power Conversion Systems

Lake Road, Bhandup (W), Mumbai - 400078. Email: [email protected] Tel.: +91-22-25696789

EXTRACT OF STANDALONE UNAUDITED FINANCIAL RESULTS FOR THE QUARTER AND HALF YEAR ENDED 30TH SEPT. 2022

(K IN LAKNS)
Quarter Ending Year to date Corresponding
Sr. PARTICULARS 30.09.2022 figures for the 3 months ended in
No. current period the previous year
ending 30.09.2021
30.09.2022
(Unaudited) (Unaudited) (Unaudited)
1 Total Income from Operations 7.763.84 15,027.90 10,212.47
2. Net Profit/(Loss) for the period (before Tax, (557.67) (878.52) 478.89
Exceptional and/or Extraordinary items)
3. Net Profit/(Loss) for the period before Tax (after (557.67) (878.52) 478.89
Exceptional and/or Extraordinary items)
4. Net Profit/(Loss) for the period after Tax (after (406.06) (633.14) 337.65
Exceptional and/or Extraordinary items)
5. Total Comprehensive Income for the period (398.93) (623.76) 323.02
[Comprising Profit / (Loss) for the period
(after Tax) and Other Comprehensive Income
(after tax)]
6. Equity Share Capital 331.27 331.27 331.27
7. Reserves (excluding Revaluation reserves) as
shown in the Balance Sheet of previous year
8. Earnings Per Share (of ₹ 2/- each)
(for continuing and discontinuing operations)
Basic (2.45) (3.82) 2.02
Diluted (2.44) (3.80) 2.02
Note: 1) The above results have been recommended by the Audit Committee and approved by the Board of
Directors of the Company at the meeting held on 11th November 2022. The Statutory Auditors

prs of the Company at the meeting held on 11th November, 2022. The Statutory Auditor have carried out the Limited Review of the financial results for the quarter and half vear ended 30th

advanced enzymes Advanced Enzyme Technologies Limited CIN: L24200MH1989PLC051018

Regd. Office and Corporate Office: Sun Magnetica, 5th Floor, LIC Service Road, Louiswadi, Thane - 400604, Maharashtra, India. Tel No : 91-22-41703220 Fax No: +91-22-25835159

Website: www.advancedenzymes.com, Email Id: [email protected] EXTRACT OF UNAUDITED CONSOLIDATED FINANCIAL RESULTS FOR QUARTER AND SIX MONTHS ENDED SEPTEMBER 30, 2022

(₹ in million except the Earnings per share)
Quarter Ended Six Months Ended Year Ended
Particulars Sep 30, 2022 June 30, 2022 Sep 30, 2021 Sep 30, 2022 Sep 30, 2021
(Unaudited) (Unaudited) (Unaudited) (Unaudited) (Unaudited)
Mar 31, 2022
(Audited)
Total income from operations 1,386.93 1.211.22 1.270.77 2.598.15 2.640.91 5.293.83
Net Profit / (Loss) for the period
(before tax, exceptional and/ or extraordinary items) 341.37 236.97 412.44 578.34 959.87 1,710.58
Net Profit / (Loss) for the period before tax
(after exceptional and/ or extraordinary items) 341.37 236.97 412.44 578.34 959.87 1,710.58
Net Profit / (Loss) for the period after tax
(after Exceptional and/or Extraordinary items) 262.61 175.81 302.70 438.42 699.89 1,237.99
Total Comprehensive Income for the period
[Comprising Profit / (Loss) for the period (after tax)
and Other Comprehensive Income (after tax)] 457.30 407.02 281.42 864.32 751.19 1.403.19
Equity Share Capital 223.64 223.61 223.56 223.64 223.56 223.60
Reserves excluding Revaluation Reserve as per
the last audited Balance Sheet 10,662.33
Earnings Per Share of ₹ 2 each (not annualised)
(for continuing and discontinued operations)
Basic 2.34 1.60 2.66 3.94 6.05 10.70
Dilutad 231 1.60 2.65 3 Q A 6 N 10 68

lotes The above is an extract of the detailed format of consolidated unaudited financial results of Advanced Enzyme Technologies Limited (th "Company" or the "Holding Company") and the financial results of the subsidiary companies, Advanced Bio-Agro Tech Limited (India) Advanced Enzytech Solutions Limited (India), JC Biotech Private Limited (India), Scitech Specialities Private Limited (India), Advanced Enzytech Solutions Limited (India), JC Biotech Private Limited (India), Scitech Specia Encymes Inc. (U.S.A.), Dynamic Enzymes, Inc. (U.S.A.), Advanced Enzymes (Malaysia) Sdn. Bhd. (Malaysia), Advanced Enzymes Europe
B.V. (Netherlands) and Evoxx Technologies GmbH (Germany). The Holding Company and its subsidi 2022 filed with the Stock Exchange under Regulation 33 of the SEBI (Listing Obligation and Disclosure Requirements) Regulations, 2015. The full format of quarterly results (standalone and consolidated) for the quarter and six months ended 30 September 2022 are available on the

Stock Exchange's website: www.bseindia.com and www.nseindia.com and on Company's website: www.advancedenzymes.com. ii) The above financial results of the Company were reviewed by the Audit Committee and thereafter approved by the Board of Directors at the

meeting held on 11 November 2022.

I (IV) The key standalone financial information are as under: I $\tau$ in million)
Quarter Ended Six Months Ended
Particulars Sep 30, 2022 June 30, 2022 Sep 30, 2021 Sep 30, 2022 Sep 30, 2021 Mar 31, 2022
(Unaudited) (Unaudited) (Unaudited) (Unaudited) (Unaudited)
(Audited)
Total income from operations 771.77 721.10 649.11 1.492.87 1.376.63 2.727.98
Profit before tax 184.11 102.76 172.45 286.89 423.31 720.72
Profit after tax 136.16 77.78 128.41 213.94 313.89 545.11
For Advanced Enzyme Technologies Limited By Order of the Board
Place: Thane
Date: 11 th November, 2022
M. M. Kabra
Wholetime Director
$DIN \cdot 00148294$

CHOWGULE STEAMSHIPS LIMITED

Registered Office: 503, 5th Floor, Gabmar Apartment, Vasco Da Gama, South Goa - 403802, India CIN: L63090GA1963PLC000002, Tel: (+91 22) 6620 2500; Fax:(+91 22) 6620 2545; Website: www.chowqulesteamships.co.in: E-mail: [email protected]

EXTRACT OF UNAUDITED STATEMENT OF STANDALONE & CONSOLIDATED FINANCIAL RESULTS
FOR THE QUARTER ENDED 30TH SEPTEMBER, 2022 (₹ in L $(7 \in \mathsf{In} \text{ Lacs})$

Year Ended
30.09.2022 30.06.2022 30 09.2021 30.09.2022 30.09.2021 31.03.2022
Unaudited Unaudited Unaudited Unaudited Unaudited Audited
114.37 106.96 111.24 221.33 257.05 412.07
33.79 28.46 52.40 62.25 130.18 (9,415.40)
34.42 27.69 39.19 62.11 97.43 (9,328.08)
34.42 27.69 39.27 62.11 97.51 (9,328.00)
3,630.84 3,630.84 3,630.84 3.630.84 3.630.84 3,630.84
$*0.09$ $*0.08$ $*0.11$ $*0.17$ $*0.27$ (25.69)
$*0.09$ $*0.08$ $*0.11$ $*0.17$ $*0.27$ (25.69)
Year Ended
30.09.2022 30.06.2022 30.09.2021 30.09.2022 30.09.2021 31.03.2022
Unaudited Unaudited Unaudited Unaudited Unaudited Audited
114.37 106.95 1,903.19 221.32 3,387.71 6,967.46
3.30 (55.18) 873.61 (51.88) 1.476.07 4.646.88
3.93 (55.95) 860.40 (52.02) 1.443.32 4,734.20
(301.59) (421.63) 874.64 (723.22) 1.346.49 4.443.51
3.630.84 3,630.84 3,630.84 3.630.84 3.630.84 3,630.84
$*(0.00)$ $*(0.15)$ $*2.37$ $*(0.14)$ $*3.98$ 13.04
$*(0.00)$ $*(0.15)$ $*2.37$ $*(0.14)$ $*3.98$ 13.04
Quarter Ended
Quarter Ended
STANDALONE
CONSOLIDATED
Half Year Ended
Half Year Ended
  1. The Statement of unaudited Assets and Liabilities, and Cash Flows are given in Annexure.

  2. The Company operates in only one business segment viz. Shipping. 3. Other Income Includes:

IC

FLAT NO. 001 ON GROUND FLOOR IN BUILDING NAMED AS "HERAMB PARK".
WING 'E', HAVING TOTAL CARPET AREA OF 27.21 SQ, MTRS., SITUATED AT
VILLAGE VALIVALI. TALUKA AMBERNATH. DISTRICT THANE. WITHIN THE
LIMITS OF KULGAON BADLAPUR MUNICIPAL COUNCIL, MAHARASTHRA.
Sd/-
Authorised Officer
Assets Care & Reconstruction Enterprise Ltd.
Date: 07.11.2022
Place: THANE
$(102$ TRUST)
September, 2022 under Regulation 33 of SEBI (Listing Obligation & Disclosure Reguirements)
Regulation, 2015.
2) The above is an extract of the detailed Financial results for the quarter and half year ended
30th September, 2022 filed with the Stock Exchanges under Regulation 33 of the SEBI (Listing
Obligations and Disclosure Requirements) Regulations, 2015. The full format for the said
Financial Results is available on the stock exchange websites (www.bseindia.com) and
(www.nseindia.com) and also on the Company's website www.hirect.com.
FOR HIND RECTIFIERS LIMITED
a) During the year ended 5 TSI March, 2022, One vessel was returned to its owner by terminating lease agreement. Oain ansing on termination is NS 3,020.24 laN is is included i
Other Income.
b) During the year ended 31st March, 2022, The Company's wholly owned subsidiary viz. Chowgule Steamships Overseas Limited has sold all the vessels and closed its
stepdown subsidiaries. Chowqule Steamships Overseas Limited does not have revenue generating ability and has huge accumulated losses. Therefore, its financials have not
been prepared on going concern basis. Considering the fact Chowgule Steamships Limited is not likely to recover its investment from its Wholly owned subsidiary, a provision
has been made for impairment of the said investments in Standalone Financial Statements of Rs. 9,549.59 lakhs as at 31st March, 2022.
$\mid$ 4. In the corresponding previous half year ended 30.09.2021 had revenue from operating vessel.
5. The consolidated financial results include results of its subsidiary as on 30th September, 2022 viz Chowgule Steamships Overseas Limited.
6. Previous year figures have been regrouped wherever necessary.
7. The above results as reviewed by the Audit Committee were approved and taken on record by the Board of Directors at its meeting held on 11th November, 2022.
8. The results for the Half Year ended 30th September, 2022 are available on the Company's Website at www.chowgulesteamships.co.in and the BSE Limited website at
www.bseindia.com/corporates.
Ground Floor, Zenith House, Keshavrao Khadye Marg,
HDB Financial Services Limited
Mahalaxmi, Mumbai - 400034
DB SURANGLES
Tel No.: +91 22 49116300
FINAL AUCTION CUM SALE NOTICE FOR GOLD ORNAMENTS
The borrower(s) (whose details are provided in the table herein below), in particular, and
the public, in general, are hereby informed that the below mentioned accounts are overdue,
an al Alera Islamorro de la comuna legislame legro nega propositival forma il testimate a legislamorro foratore
Place: Mumbai
SURAMYA NEVATIA
Dated: 11th November, 2022
MANAGING DIRECTOR & CEO
hirect.com
For and on behalf of Board of Directors of
Place: Goa
Chowgule Steamships Limited
Date: 11th November, 2022
Vijay Chowgule
Chairman

ATLANTA LIMITED

Regd. Off.: 504, Samarpan, New Link Road, Chakala, Near Mirador Hotel, Andheri (East), Mumbai - 400 099,
Website: www.atlantalimited.in; Phone: +91-22-28322715; Website: www.atlantalimited.in; CIN: L64200MH1984PLC031852

EXTRACT OF UNAUDITED FINANCIAL RESULTS FOR THE QUARTER & HALF YEAR ENDED ON SEPTEMBER 30, 2022

,, cunity
Standalone Consolidated
Sr. Particulars Quarter ended Half year ended Year ended Quarter ended Half year ended
No. 30/Sep/22 30/Jun/22 30/Sep/21 30/Sep/22 30/Sep/21 31/Mar/22 30/Sep/22 30/Jun/22 30/Sep/21 30/Sep/22 30/Sep/21 31/Mar/22
(Unaudited) (Unaudited) (Unaudited) (Unaudited) (Unaudited) (Audited) (Unaudited) (Unaudited) (Unaudited) (Unaudited) (Unaudited) (Audited)
Total Income from Operations (Net) 472.00 554.09 7,197.14 1.026.08 7.390.01 22.482.08 1.400.14 1.424.35 8.047.78 2,824.50 8,935.20 34.069.45
Net Profit/(Loss) for the period
(before tax, Exceptional and/or
Extraordinary Items)
(120.07) (167.88) 661.22 (287.96) 583.40 80.84 57.80 (262.23) (521.86) (204.43) (2,002.98) (27, 017.54)
Net Profit/(Loss) for the period before tax
(after Exceptional and/or
Extraordinary Items)
(120.07) (167.88) 661.22 (287.96) 583.40 (20, 141.64) 57.80 (262.23) (521.86) (204.43) (2,002.98) (39,066.68)
Net Profit/(Loss) for the period after tax
(after Exceptional and/or
Extraordinary Items)
(120.07) (167.88) 450.71 (287.96) 394.48 (19,791.63) 57.80 (262.23) (732.36) (204.43) (2, 191.90) (40, 247.36)
-5 Total Comprehensive Income for the
period (Comprising Profit/(Loss) for the
period (after tax) and Other
Comprehensive Income (after tax)
(120.07) (167.88) 450.71 (287.96) 394.48 (19,787.94) 57.80 (262.23) (732.36) (204.43) (2, 191.90) (40, 243.67)
6 Equity share capital 1,630.00 1,630.00 .630.00 ,630.00 .630.00 1,630.00 1,630.00 1,630.00 1,630.00 1.630.00 1,630.00 1,630.00
Reserves (excluding Revaluation Reserve)
as shown in the Balance Sheet of the
previous year ended March 31, 2022
25,432.15 (32,021.55)
8 Earnings Per Share in Rupees
(before extraordinary items)
(of ₹ 2/- each) Basic and Diluted:
(0.15) (0.21) 0.55 (0.35) 0.48 (24.28) 0.07 (0.32) (0.90) (0.25) (2.69) (49.38)
9
Nlataa:
Earnings Per Share in Rupees
(after extraordinary items)
(of ₹ 2/- each) Basic and Diluted:
(0.15) (0.21) 0.55 (0.35) 0.48 (24.28) 0.07 (0.32) (0.90) (0.25) (2.69) (49.38)

A

  1. The above is an extract of detailed format of the unaudited financial results for the quarter and half year ended on September 30, 2022 filed with the Stock Exchanges under Regulation 33 of the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015. The full format for the quarter ended unaudited financial results is available on the Stock Exchanges websites. (www.bseindia.com & www.nseindia.com) and also on the Company's website namely www.atlantalimited.in

  2. The unaudited financial results have been reviewed by the Audit Committee and approved by the Board of Directors at the meeting held on November 11, 2022.

FOR ATLANTA LIMITED

Place: Mumbai
Date: November 11,

2022

Rajhoo Bbarot Chairman

$(3)$ In I akhel

Regd. Office: E-4, M.I.D.C., Tarapur, Dist-Palghar, Maharashtra - 401506 CIN NO: L24114MH1992PLC067309

Extract of Unaudited Financial Results for the

Godilei engeg oom bepieninei zozz (Amount In Lakhs)
Quarter Ended 6 Moths Ended Quarter Ended Year Ended
Sr. Particulars 30-09-2022 30-09-2022 30-09-2021 31-03-2022
∣No. Unaudited Unaudited Unaudited Audited
$\vert$ 1 2 Total income from operations 14.33 89.83 253.83 862.26
Net Profit / (Loss) for the period (before tax
Exceptional and /or Extraordinary items) (47.10) (131.35) (40.06) (272.83)
$\ _3$ Net Profit / (Loss) for the period before tax
$\parallel$ (after Exceptional and / or Extraordinary items) (47.10) (131.35) (40.06) (272.83)
Net Profit / (Loss) for the period after tax
$\big\ _5$ (after Exceptional and / or Extraordinary items) (48.30) (132.00) (36.53) (250.34)
Total Comprehensive income for the period
(comprising profit /(Loss) for the period (after tax
and other comprehensive income (after tax) (48.30) (83.70) (35.72) (106.11)
ll6 Paid-up equity share capital
(face value of Rs. 10/- each) 600.00 600.00 600.00 600.00
ll7 Earnings per share (EPS) (not annualised)
(a) Basic (in Rs.) (0.81) (2.20) (0.61) (4.17)
(b) Diluted (in Rs.) (0.81) (2.20) (0.61) (4.17)
NOTES.

The above results have been reviewed and recommended by the Audit Committee in its meeting held or

November 11, 2022 and approved by the Board of Directors at its meeting held on November 11, 2022. The above is an extract of the detailsed format of the Quarterly/ Yearly Financial Results filed with Stock Exchange under Regulation 33 of the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015 The full format Quarterly Financial Results are available on the Stock Exchange webside. (www.bseindia.com and the Company webside (www.daikaffil.com)

Place: Mumbai
Date : 11.11.2022

For and on behalf of the Board
0.11

Director

Regd. Office: 306, Madhava, C-4, Bandra Kurla Complex,
$\boldsymbol{\Theta}$
Bandra (East), Mumbai-51.
Email: [email protected]
CIN NO: L65910MH1983PLC031230
EXTRACT OF THE UNAUDITED FINANCIAL RESULTS FOR THE QUARTER ENDED 30TH SEPTEMBER, 2022
Particulars 6 Months Ended
Year Ended
3 Months Ended
30/09/2022
Unaudited
30/06/2022
Unaudited
30/09/2021
Unaudited
30/09/2022
Unaudited
30/09/2021
Unaudited
31/03/2022
Audited
Total Income from Operations 1.85.714 11, 14, 479 1.85.714 23.47.053 47.63.107
Net Profit / (Loss) before Tax (30, 17, 222) (30, 56, 444) (17, 79, 583) (60, 73, 666) (32, 34, 738) (67, 48, 638)
Net Profit / (Loss) after Tax (30, 17, 222) (30, 56, 444) (17, 79, 583) (60, 73, 666) (32, 34, 738) (67, 48, 638)
Total Comprehensive income
for the period (Comprising
profit/ (Loss) for the period
(after tax) and other
Comprehensive income
(after tax)
(30, 17, 222) (30, 56, 444) (17, 79, 583) (60, 73, 666) (32, 34, 738) (67, 48, 638)
Equity Share Capital (FV Rs.10/-
each)
2,40,32,800 2,40,32,800 2,40,32,800 2,40,32,800 2,40,32,800 2,40,32,800
Basic & Diluted EPS (FV Rs.10/
each)
(1.26) (1.27) (0.74) (2.53) (1.35) (2.81)

The above is an extract of the detailed format of Financial Results for the quarter and half year ended 30th September, 2022, filed with the Stock exchange under Regulation 33 of the SEBI (Listing Obligations and Disclosures Requirements) Regulations, 2015. The full format of the quarterly results is available on the Stock Exchange website www.bseindia.com and on company's website at www.jovrealty.in

For Jov Realty Limited
Sd/- Sd/-
lace: Mumbai Avinash Jadhav Bhavin Soni
ate: 10/11/2022 Chief Financial Officer Managing Director
Din No . 00132135

HINDALCO INDUSTRIES LIMITED

Regd. Office: Ahura Centre, 1st Floor, B - Wing, Mahakali Caves Road, Andheri (East), Mumbai 400 093. Tel No. 6691 7000 Fax No. 6691 7001 | Email: [email protected] | CIN No.: L27020MH1958PLC011238 Website: www.hindalco.com & www.adityabirla.com

सदर नोटीसद्वारे कैलास शिखर सहकारी गृहनिर्माण संस्था मर्या.,इमारत क्र.जेएन१/१९ ते४५ प्लॉट क्र.८ ,सेक्टर -९ ,वाशी नवी मुंबई -४००७०३ यांच्य सर्व अधिकृत/प्रमाणित सदस्यांच्या निदर्शनास आणून देत आहोत की,आपल्या पुनर्विकास करारानुसार आम्ही सर्व सदस्यांकडून पुनर्विकास संबधित आवश्यक असणारे सर्व दस्तऐवज संस्थेकडे जमा करून घेत आहोत आणि प्रत्येक सदस्यास /सदनिकाधारकास त्यांच्या पर्यायी निवास व्यवस्थेसाठी भाडे आणि अनामत रक्कमेचा धनादेश देत आहोत.ज्या सदस्यांनी अद्याप त्यांच्ये आवश्यक दस्तऐवज संस्थेकडे जमा केलेले नाहीत आणि भाडे/अनामत खकमेचे धनाटेश स्वीकारलेले नाहीत. त्यांनी सदर प्रक्रिया त्वरित.संस्थेचे नवीन कार्यालय - (जेएन -२/१५/ए -५,महालक्ष्मी अपार्टमेंट ओनर्स असोसिएशन,सेक्टर -१०,वाशी,नवी मुंबई ४००७०३) या ठिकाणी येवून पूर्ण करावी अशी विनंती करण्यात येत आहे. चेअरमन / सचिव (कैलास शिखर सहकारी गृहनिर्माण संस्था मर्या.)

कैलास शिखर सहकारी गृहनिर्माण संस्था मर्यादित.,सेक्टर -९,वाशी नवी मुंबई.

टेराफॉर्म मॅग्नम लिमिटेड
नोंद. कार्यालय : गोदरेज कॉलिसीअम. ए विंग. १३०१. १३ वा मजला. एव्हरार्ड नगरमागे. इस्टर्न एक्स्प्रेस हायवेलगत. सायन (पूर्व).
मुंबई-४०० ०२२. दुरध्वनी : +९१-(२२)-६२७०४९००; सीआयएनः एल६५९९०एमएच१९८२पीएलसी०४०६८४
वेबसाईट: www.terraformmagnum.com; ई-मेल: [email protected]
३० सप्टेंबर, २०२२ रोजी संपलेल्या तिमाहीकरिता अलेखापरिक्षित वित्तीय निष्कर्षांचा उतारा
(ईपीएस सोडून रु. लाखांत)
3T. तपशील संपलेली तिमाही संपलेले अर्ध वर्ष संपलेले वर्ष
क्र. 90.09.9099 30.08.30.08 $90.09.7078$ 30.09.2027 990,09,9028 98.03.9099
अलेखापरिक्षित अलेखापरिक्षित अलेखापरिक्षित अलेखापरिक्षित अलेखापरिक्षित लेखापरिक्षित
१. प्रवर्तनातून एकूण उत्पन्न 83.00 0.88 0.08 08.00 २.५६ १.८१
₹. कालावधीसाठी निव्वळ नफा / (तोटा)
(कर, अपवादात्मक आणि/किंवा
अनन्यसाधारण बार्बीपूर्वी) (80.503) (3x.3) (9, 9) (8680.80) (3,8) (20.28)
Э. कालावधीसाठी करपूर्व निव्वळ
नफा/(तोटा) (अपवादात्मक
आणि/किंवा अनन्यसाधारण बाबींनंतर) (86.503) (3x.3) (9, 9) (8680.80) (3,8) (20.28)
X. कालावधीमाठी करोत्तर निव्वळ
नफा/(तोटा) (अपवादात्मक
आणि/किंवा अनन्यसाधारण बाबींनंतर)
(8603.88) (3x.3) (9, 9) (8680.80) (2.04) (35.09)
Ч. कालावधीसाठी एकूण सर्वसमावेशक
उत्पन्न (कालावधीसाठी
नफा/(तोटा)(करोत्तर) आणि इतर
सर्वसामावेशक उत्पन्न (करोत्तर) धरुन) (8603.88) (3x.3) (9, 9) (8680.80) (2.04) (35.09)
$\epsilon$ . समभाग भांडवल 28.00 28.00 28.00 28.00 28.00 28.00
9. पुनर्मूल्यांकित राखीव वगळून इतर
इक्विटी (मागील वर्षाच्या ताळेबंदात
दाखवल्याप्रमाणे) $\circ$ $\circ$ $\circ$ $\circ$ $\circ$ (84.00)
$\mathcal{L}$ . प्रति समभाग प्राप्ती (प्रत्येकी रु. १०/ –
चे) (अखंडित आणि खंडित
कामकाजासाठी) (अवार्षिक)
– मूलभूत/सौम्यिकृत ईपीएस (x3.3.90) (2.5) (0.38) (948.33) (0.64) (2,5.5)
टिपा :

.
३० सप्टेंबर, २०२२ रोजी संपलेल्या तिमाही साठीचे वरील निष्कर्ष १० नोव्हेंबर, २०२२ रोजी झालेल्या त्यांच्या संबंधित बैठकांमध्ये लेखापरीक्षण समितीने पुनर्विलोकित करून शिफारस केली व कंपनीच्या संचालक मंडळाने त्यास मंजुरी दिली आणि ते वैधानिक लेखापरीक्षकांकडून मर्यादित पुनर्विलोकन अहवालाच्या अधीन होते.

राखानराजनगरुङ्गे नभावत नुनावरात्रमा अहवारात्या अवसर होते.
कंपनीचे ३०.०९.२०२२ रोजी संपलेल्या तिमाही साठीचे अलेखापरिक्षित वित्तीय निष्कर्ष कंपनीची वेबसाईट www.terraformmagnum.cor वर उपलब्ध आहेत तसेच बीएसई लि. वर देखील उपलब्ध आहेत.

.
मान्य केलेल्या मोबदल्यात कांदिवली (पूर्व) येथे स्थित व्यापारातील माल म्हणून धारण केलेल्या मिळकतीमधील तिच्या अधिकारांच्य अभिहस्तांकनासाठी २६ एप्रिल, २०१९ दिनांकीत अभिहस्तांकन विलेख कंपनीने केला. अभिहस्तांकिर्तीनी वेळोवेळी वेगवेगळ्या कसुरी केल्या. कंपनीने ताबडतोब सर्व देणी प्रदान करून संविदात्मक दायित्वाचे पालन करण्यासाठी अभिहस्तांकितींवर एक नोटीस बजावली. व्यवहा ्राप्त सामान्या साम्राज्ञान सम्मान्यान, कंपनीने वरील व्यवहाराशी संबंधित महसुल हिशोबात धरलेला नाही.
पूर्ण होण्याबाबत साशंकता असल्याने, कंपनीने वरील व्यवहाराशी संबंधित महसुल हिशोबात धरलेला नाही.


इतर खर्चामध्ये संयक्त विकास कराराच्या संपष्टात आणण्यासाठी लवाद निर्णयानसार केलेल्या प्रदानापोटी रु. १८.०० कोटींची रक्कम समावि जात.
वरील विवरणे कंपनी अधिनियम, २०१३ च्या कलम १३३ अंतर्गत विहित कंपनीज (इंडियन अकाऊंटिंग स्टॅंडर्डस्, रुल्स, २०१५ (इंड एएस)

ला अनुसरून आणि शक्य होई पर्यंत अन्य मान्यताप्राप्त लेखा पद्धती आणि धोरणे यास अनुसरून बनवली आहेत .
आवश्यकतेनुसार मागील कालावधींची आकडेवारी पुनर्गठीत/पुनर्रीचत केली आहे जेणे करून चालू कालावधीच्या सादरीकरणाशी सुसंग होईल.

संचालक मंडळाच्यावतीने आणि करित टेराफॉर्म मॅग्नम लिमिटे

व्यवस्थापकीय संचालक (डीआयएन - ०८६३५३३८)

उदय मोट


लाखातील आकडेवारी नजिकच्या दशांशात वर्ग केली.

ठिकाण : मुंबई
दिनांक : १० नोव्हेंबर, २०२२

All&FS | प्रायव्हेट इक्विटी आयएल ॲण्ड एफएस इन्व्हेस्टमेंट मॅनेजर्स लिमिटेड नोंदणीकृत कार्यालय : दी आयएल ॲण्ड एफएस फायनान्शिअल सेंटर, सी−२२, 'जी' ब्लॉक, वांद्रे−कुर्ला संकुल, वांद्रे (पूर्व), मुंबई−४०० ०५१. सीआयएन : एल६५९९९एमएच१९८६पीएलसी१४७९८१, वेबसाईट : www.iimlindia.com, दूर.: ०२२–२६५३३३३३, फॅक्स: ०२२–२६५३३०५६, ईमेल : investor.relatio ३० सप्टेंबर, २०२२ रोजी संपलेल्या तिमाही आणि अर्ध वर्षासाठी एकत्रित वित्तीय निष्कर्षांचा उतारा

(रु. लाखांत)
तपशिल संपलेली
तिमाही
संपलेली
तिमाही
संपलेली
तिमाही
संपलेले अर्ध
वर्ष
संपलेले अर्ध
वर्ष
संपलेले
वर्ष
३०.०९.२०२२
(अलेखापरिक्षित)
90.08.9099
(अलेखापरिक्षित)
890.09.9099
(अलेखापरिक्षित)
३०.०९.२०२२
(अलेखापरिक्षित)
३०.०९.२०२१
(अलेखापरिक्षित)
38.03.2022
(लेखापरिक्षित)
प्रवर्तनातून एकूण उत्पन्न (निव्वळ) १,९७८.७६ १,८५२.८९ 8,960.88 ३,८३१.६५ २,१६५.३६ 4,982.80
कालावधीसाठी निव्वळ नफा/(तोटा)
(कर आणि अपवादात्मक बाबींपूर्वी)
480.68 88.538 २१९.४५ 55.5003 ३०१.२२ १.५३१.१७
कालावधीसाठी करपूर्व निव्वळ
नफा/(तोटा) (अपवादात्मक
बाबींनंतर)
480.68 86.9.88 २१९.४५ 8.003.33 ३०१.२२ १.५३१.१७
कालावधी/वर्षासाठी करोत्तर निव्वळ
नफा/(तोटा) (अपवादात्मक बाबीनंतर)
883.68 २९४.४५ १२४.१२ 96.38 १३१.४६ १,३१६.३३
कालावधी/वर्षासाठी एकूण
सर्वसमावेशक उत्पन्न/(तोटा)
83.850 409.83 १०५.७५ 8.388.08 २१७.१२ 8,464.88
समभाग भांडवल 8.36.64 8.36.64 8.360.64 8.360.64 8,860.64 5, 260.64
प्रति समभाग प्राप्ती (दर्शनी मूल्य
रु. २/- प्रत्येकी)
मूलभूत आणि सौम्यिकृत
0.88 0.02 0.08 38.0 0.08 0.34
इतर इक्विटी १४,७९१.६३

HIND RECTIFIERS LIMITED

Perfectly Engineered Power Conversion Systems

Lake Road, Bhandup (W), Mumbai - 400078. Email: [email protected] Tel.: +91-22-25696789

EXTRACT OF STANDALONE UNAUDITED FINANCIAL RESULTS FOR

THE QUARTER AND HALF YEAR ENDED 30TH SEPT, 2022

(₹ in Lakhs)

Sr.
No.
PARTICULARS Quarter Eriumy
30.09.2022
rear to uate
figures for the
current period
ending
30.09.2022
Corresponding
3 months ended in
the previous year
30.09.2021
(Unaudited) (Unaudited) (Unaudited)
1 Total Income from Operations 7,763.84 15,027.90 10,212.47
2. Net Profit/(Loss) for the period (before Tax,
Exceptional and/or Extraordinary items)
(557.67) (878.52) 478.89
3. Net Profit/(Loss) for the period before Tax (after
Exceptional and/or Extraordinary items)
(557.67) (878.52) 478.89
4. Net Profit/(Loss) for the period after Tax (after
Exceptional and/or Extraordinary items)
(406.06) (633.14) 337.65
5. Total Comprehensive Income for the period
[Comprising Profit / (Loss) for the period
(after Tax) and Other Comprehensive Income
(after tax)]
(398.93) (623.76) 323.02
6. Equity Share Capital 331.27 331.27 331.27
7. Reserves (excluding Revaluation reserves) as
shown in the Balance Sheet of previous year
8. Earnings Per Share (of ₹ 2/- each)
(for continuing and discontinuing operations)
Basic
Diluted
(2.45)
(2.44)
(3.82)
(3.80)
2.02
2.02

Note: 1) The above results have been recommended by the Audit Committee and approved by the Board of Directors of the Company at the meeting held on 11th November, 2022. The Statutory Auditors have carried out the Limited Review of the financial results for the quarter and half year ended 30th September, 2022 under Regulation 33 of SEBI (Listing Obligation & Disclosure Requirements) Regulation, 2015.

2) The above is an extract of the detailed Financial results for the quarter and half year ended 30th September, 2022 filed with the Stock Exchanges under Regulation 33 of the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015. The full format for the said Financial Results is available on the stock exchange websites (www.bseindia.com) and (www.nseindia.com) and also on the Company's website www.hirect.com

FOR HIND RECTIFIERS LIMITED

Place: Mumbai Dated: 11th November, 2022

SURAMYA NEVATIA MANAGING DIRECTOR & CEO

hirect.com

टिपा :

  • (१) तुलनात्मक कालावधीसह ३० सप्टेंबर, २०२२ रोजी संपलेल्या तिमाही आणि अर्ध वर्षासाठी आयएल अँड एफएस इन्व्हेस्टमेंट मॅनेजर्स लिमिटेड (''होल्डिंग कंपनी'') तिच्या उपकंपन्या (होल्डिंग कंपनी आणि तिच्या उपकंपन्या एकत्रितपणे ''ग्रुप'' आहेत) आणि संयुक्तपणे नियंत्रित मंडळे यांचे वरील एकत्रित वित्तीय निष्कर्ष सेबी (लिस्टिंग ऑब्लिगेशन्स अँड डिस्क्लोजर रिक्वायरमेंटस) रेग्युलेशन्स, २०१५ च्या रेग्युलेशन ३३ च्या बाबतीत ११ नोव्हेंबर, २०२२ रोजी झालेल्या बैठकीत लेखापरीक्षण समितीने पुनर्विलोकीत केले आणि त्यानंतर कंपनीच्या संचालक मंडळाने ते मंजूर केले. ३० सप्टेंबर, २०२२ रोजी संपलेल्या तिमाही आणि अर्ध वर्षासाठीचे वित्तीय निष्कर्ष कंपनीच्या वैधानिक लेखापरीक्षकांनी मर्यादित पुनर्विलोकन करण्याच्या अधीन होते.
  • निगम व्यवहार मंत्रालय (एमसीए), भारत सरकारने त्यांच्या दिनांक १ ऑक्टोबर, २०१८ च्या पत्राद्वारे कंपनी अधिनियम, २०१३ च्या कलम २१२ (१) अंतर्गत इन्फ्रास्ट्रक्चर $(3)$ लिजींग अँड फायनान्शीअल सर्व्हिसेस लिमिटेड (आयएल अँड एफएस), होल्डींग कंपनी आणि तिच्या उपकंपन्या (कंपनी धरून) विरुद्ध सिरीयस फ्रॉड इन्व्हेस्टिगेशन ऑफिस (एसएफआयओ) कडून तपास सुरू केला आहे. तपास कार्य चालू आहे व ग्रुप तपास यंत्रणांशी पूर्ण सहकार्य करत आहे. ३ डिसेंबर, २०१८ रोजी एमसीए ने राष्ट्रीय कंपनी विधी न्यायाधिकरण (एनसीएलटी) च्या निर्देशांवरून आयएल ॲण्ड एफएसच्या विविध ग्रुप कंपन्यांना १ ऑक्टोबर, २०१८ रोजी त्यांनी दाखल केलेल्या याचिकेत उत्तरवादी म्हणून खटल्यात सामील केले आहे. (ज्यामध्ये कंपनी समाविष्ट आहेत). पुढे, कंपनी अधिनियम, २०१३ च्या कलम १३०(१) अंतर्गत एमसीएच्या अन्य याचिकेच्या आधारे, एनसीएलटीने १ जानेवारी, २०१९ रोजी आयएल अँड एफएस (अंतिम होल्डिंग कंपनी) आयएल अँड एफएस फायनान्शियल सर्व्हिसेस लिमिटेड ('आयएफआयएन' उपकंपनी) आणि आयएल अँड एफएस ट्रान्स्पोर्टेशन नेटवर्क्स लिमिटेड (''आयटीएनएल'' उपकंपनी) च्या मागील आर्थिक वर्षे २०१२-१३ ते आर्थिक वर्ष २०१७–१८ पर्यंतच्या लेखा पुस्तकांना पुन्हा उघडण्याचे आदेश दिले. ग्रुपला जेव्हा सध्याच्या समजुतीप्रमाणे, वरील बाबींचा वित्तीय निष्कर्षांवर मोठा परिणाम होईल असे वाटत नसले तरी, वरील घडामोडीचे जे काही परिणाम होतील ते केवळ उपरोक्त प्रकरण निकाली निघेल तेव्हाच समजेल आणि म्हणून ह्या टप्प्यावर ते ठरविता येत
  • (३) सध्याच्या निधीचा एक मोठा हिस्सा समुहाकडून सांभाळला/सल्ला दिला जाणारा/ची मुदत आधीच संपली आहे. ग्रुप कडून सांभाळला/सल्ला दिला जाणाऱ्या अन्य निधीची मुदत संपत चालली आहे. ज्यामुळे त्यानंतर कंपनीच्या शुल्क महसुलात लक्षणीय घट होणार आहे. व्यवस्थापनाची अपेक्षा आहे की, ३० सप्टेंबर, २०२२ रोजीस समुहाने धारण केलेल्या तरल मालमत्तांसह समुहाच्या भविष्यातील प्राप्ती समुहाची सांभाळला/सल्ला दिला जाणाऱ्या सध्याची आणि पुढील १२ महिन्यांत उद्भवणारी भविष्यातील दायित्वे निभावण्यास पुरेशी ठरेल.

दरम्यान, आयएल अँड एफएस संचालक मंडळ आयएल अँड एफएस ग्रुपच्या हितसंबंधीसाठी मूल्य राखून ठेवणे शक्य व्हावे म्हणून एका निराकरण योजनेवर काम करत आहे. इतर गोष्टींसह निराकरण योजनेमध्ये आयएल अँड एफएसच्या मालकीच्या मत्ता/व्यवसाय/कंपन्यांची विक्री अंतर्भूत आहे. आणि ह्या बाबतीत, आयएल अँड एफएस संचालक मंडळाने २१ डिसेंबर, २०१८ आणि २७ सप्टेंबर, २०१९ रोजी होल्डिंग कंपनी मधील तिच्या संपूर्ण हिश्श्याच्या विक्रीकरिता एक सार्वजनिक स्वारस्याची अभिव्यक्ती (ईओआय) निमंत्रित केली आहे. त्यानुसार, अशी हिस्सा विक्री पूर्ण होणे प्रलंबित असेपर्यंत नवे निधी उभारण्याच्या ग्रुपच्या योजनेला स्थगित ठेवले आहे. जेव्हा हिस्सा विक्री बाबत मोठी साशकता आहे. व्यवस्थापनाला विश्वास आहे की, हे वित्तीय निष्कर्ष बनवण्यासाठी वापरलेली कार्यरत संस्था म्हणूनची गृहितके योग्यच आहेत

  • वरील माहिती म्हणजेच सेबी (लिस्टींग अँड अदर डिस्क्लोजर रिक्वायरमेंटस्) रेग्युलेशन्स, २०१५ च्या रेग्युलेशन ३३ अंतर्गत स्टॉक एक्सचेंजकडे सादर केलेल्या वर्ष $(\times)$ समाप्तीच्या वित्तीय निष्कर्षांच्या तपशिलवार विवरणाचा एक उतारा आहे. अलेखापरिक्षित वित्तीय निष्कर्षांचे संपूर्ण विवरण स्टॉक एक्सचेंजची वेबसाईट http://www.nseindia.com/ आणि http://www.bseindia.com वर उपलब्ध आहे. ते कंपनीची वेबसाईट http://www.iimlindia.com/financials.aspx वर सुद्धा उपलब्ध आहे.
  • अलिप्त वित्तीय निष्कर्षांवरील अतिरिक्त माहिती खालीलप्रमाणे $(4)$
तपशिल संपलेली
तिमाही
३०.०९.२०२२
(अलेखापरिक्षित)
संपलेली
तिमाही
30.08.3022
(अलेखापरिक्षित)
संपलेली
तिमाही
30.09.9099
(अलेखापरिक्षित)
संपलेले अर्ध
वर्ष
३०.०९.२०२२
(अलेखापरिक्षित)
संपलेले अर्ध
वर्ष
30.09.9029
(अलेखापरिक्षित)
संपलेले
वर्ष
38.03.8022
(लेखापरिक्षित)
$\mathcal{S}$ . एकूण उत्पन्न 30.338 80.50 १२२.६८ ५७६.६८ २९०.२४ 38.888.86
२. कर पूर्व नफा २५६.७८ (१४६.३९) (७८.०५) ११०.३९ (२०८.५०) १,२०३.९८
₹. करोत्तर नफा २५८.८५ (888.80) (९४.२२) ११७.४५ (२१४.९२) १.२४९.६७
मुंबई, ११ नोव्हेंबर, २०२२ संचालक मंडळाच्या आदेशावरू
सही/-
चीफ एक्झिक्युटिव्ह ऑफिस

EXTRACT OF STATEMENT OF CONSOLIDATED UNAUDITED FINANCIAL RESULTS FOR THE QUARTER AND SIX MONTHS ENDED SEPTEMBER 30, 2022

₹ in Crore, except otherwise stated)
Particulars Quarter ended Six Months ended Year ended
30/09/2022 30/06/2022 30/09/2021 30/09/2022 30/09/2021 31/03/2022
(Unaudited) (Unaudited) (Unaudited) (Unaudited) (Unaudited) (Audited)
Revenue from Operations 56,176 58,018 47,665 1,14,194 89,023 1,95,059
Profit/ (Loss) before Exceptional Items and Tax 3,100 6,047 5,022 9,147 8,999 18,992
Profit/ (Loss) before Tax 3,100 6,088 5,042 9,188 9,595 19,574
Profit/ (Loss) for the Period from Continuing Operations 2,205 4,119 3.427 6,324 6,681 14,201
Profit/ (Loss) for the Period from Discontinued Operations (10) (477) (471)
Profit/ (Loss) for the Period 2,205 4,119 3,417 6,324 6,204 13,730
Total Comprehensive Income/ (Loss) for the Period 3,130 10,484 2,606 13,614 5,552 12,582
Paid-up Equity Share Capital (Net of Treasury Shares) 222 222 222 222 222 222
(Face value ₹ 1/- per share)
Other Equity 90,662 88,447 71,036 90,662 71,036 77,969
Earnings Per Share
Basic - Continuing Operations (₹) 9.92 18.52 15.41 28.44 30.04 63.85
Diluted - Continuing Operations (₹) 9.90 18.50 15.39 28.40 30.00 63.77
Basic - Discontinued Operations (₹) (0.05) (2.15) (2.12)
Diluted - Discontinued Operations (₹) (0.05) (2.15) (2.12)
Basic - Continuing and Discontinued Operations (₹) 9.92 18.52 15.36 28.44 27.89 61.73
Diluted - Continuing and Discontinued Operations (₹) 9.90 18.50 15.34 28.40 27.85 61.65

Notes:

(रु. लाखात)

  1. Revenue from Operations, Profit/ (Loss) before Tax, Profit/ (Loss) for the Period and Key Ratios on Standalone basis are given below:
(₹ in Crore, except otherwise stated)
Particulars Quarter ended Six Months ended Year ended
30/09/2022 30/06/2022 30/09/2021 30/09/2022 30/09/2021 31/03/2022
(Unaudited) (Unaudited) (Unaudited) (Unaudited) (Unaudited) (Audited)
(a). Revenue from Operations 18,382 19,518 17.290 37,900 30,588 67.653
(b). Profit/ (Loss) before Tax 796 2,277 2,434 3.073 3,842 8,457
(c). Profit/ (Loss) for the Period 548 1,448 1,608 1,996 2,518 5,507
(d). Other Equity 57,562 56,267 51,880 57,562 51,880 54,206
(e). Net worth 57.784 56,489 52.102 57.784 52,102 54,428
(f). Debt Equity Ratio (in times) 0.27 0.33 0.44 0.27 0.44 0.36
(g). Capital Redemption Reserve 102 102 102 102 102 102
(h). Debenture Redemption Reserve 375 1,425 1,425 1,500
(i). Debt Service Coverage Ratio (in times) 0.87 0.62 9.21 0.69 7.48 7.83
(i). Interest Service Coverage Ratio (in times) 5.03 9.19 9.61 7.15 7.96 8.27
  1. The above is an extract of the detailed format of Quarterly Financial Results filed with the Stock Exchanges under the SEBI (Listing Obligations and Disclosure Requirements) Regulation, 2015. The full format of the Quarterly Financial Results are available on the Stock Exchange websites, www.nseindia.com and www.bseindia.com, and on the Company's website, www.hindalco.com.

By and on behalf of the Board

Satish Pai

Managing Director

Place: Mumbai

Date: November 11, 2022

An Aditya Birla Group Company