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IDEAFORGE TECHNOLOGY LIMITED Interim / Quarterly Report 2024

May 16, 2024

61104_rns_2024-05-16_58e08c98-8e96-48e4-8332-d26af561881d.pdf

Interim / Quarterly Report

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www.ideaforgetech.com

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May 16, 2024

To,
BSE Limited
Phiroze Jeejeebhoy Towers, Dalal Street,
Fort, Mumbai – 400 001.
BSE Scrip Code:543932
To,
The National Stock Exchange of India Limited
“Exchange Plaza”, Bandra – Kurla Complex,
Bandra (EAST), Mumbai – 400 051
NSE SYMBOL: IDEAFORGE

Sub: Submission of newspaper copies of publication of Extract of statement of Audited (Standalone & Consolidated) Financial results for the quarter and year ended March 31, 2024.

Dear Sir/Ma’am,

In terms of Regulation 47 of the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015, the Company has published Extract of statement of Audited (Standalone & Consolidated) Financial results for the quarter and year ended March 31, 2024, which have been published in ‘Business Standard’ (all India Edition) in English Language & in ‘Pratahkal’ (Mumbai Edition) in Marathi Language dated May 16, 2024.

Please find attached the copies of the aforesaid advertisement.

You are requested to kindly take the same on your records.

Thanking you,

Yours truly,

For ideaForge Technology Limited

SONAM Digitally signed by SONAM DILIPKUMAR DILIPKUMAR GUPTA Date: 2024.05.16 12:46:23 GUPTA +05'30' Sonam Gupta Company Secretary Membership No. A53881

idea Forge Technology Limited (Formerly ideaForge Technology Private Limited) EL-146, T.T.C. Industrial Area, M.I.D.C. Mahape, Navi Mumbai - 400 710, Maharashtra (India) Ph.(O): +91 (22) 6787 1000 (F) +91 (22) 6787 1007 Email: [email protected] CIN No. U31401MH2007PLC167669

7 ~~<~~

MUMBAI | THURSDAY, 16 MAY 2024

~~. l~~

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ideaForge Technology Limited (Formerly known as ideaForge Technology Private Limited)
CIN: U31401MH2007PLC167669
Regd. Office: EL - 146, TTC Industrial Area, Electronic Zone, MIDC Industrial Area,
Mahape, Navi Mumbai, Maharashtra 400710
Website: www.ideaforgetech.com Email: [email protected] Telephone: +91 (22) 6787 1007
Statement of Audited Standalone Financial Results during the Quarter and Year ended 31 March 2024
(Amount in INR Millions, unless other wise stated)
Sr. Particulars Quarter ended Quarter ended Quarter ended 31 Year ended Year ended
No. 31 March 2024 31 December 2023 March 2023 31 March 2024 31 March 2023
(Audited) (Unaudited) (Unaudited) (Audited) (Audited)
1 Total Income from Operations 1,046.02 916.11 386.63 3,170.15 1,860.07
2 Profit before Exceptional item and Tax 164.65 212.70 (4.82) 645.13 407.95
3 Profit/(Loss) before Tax 164.65 212.70 (4.82) 645.13 407.95
4 Profit/(Loss) for the period 117.91 159.22 (54.22) 478.46 319.88
5 Total Comprehensive Income/(Loss) for the 117.43 158.82 (54.13) 475.79 319.76
period
6 Equity Share Capital 428.85 428.76 213.37 428.85 213.37
7 Other Equity as shown in the Audited Balance 6202.98 3,033.17
Sheet of previous year
8 Earnings Per Share ( of Rs.10/- each) (not
annualised)
Basic & Diluted after exceptional item 2.74 3.76 (1.45) 11.58 8.55
Basic & Diluted before exceptional item 2.69 3.66 (1.45) 11.39 8.12
Statement of Audited Consolidated Financial Results for the Quarter and Year Ended 31 March, 2024
(Amount in INR Millions, unless other wise stated)
Sr. Particulars Quarter ended Quarter ended Quarter ended 31 Year ended Year ended
No. 31 March 2024 31 December 2023 March 2023 31 March 2024 31 March 2023
(Audited) (Unaudited) (Unaudited) (Audited) (Audited)
1 Total Income from Operations 1,022.98 908.96 386.63 3,139.96 1,860.07
2 Profit before Exceptional item and Tax 141.40 201.47 (4.82) 610.68 407.95
3 Profit/(Loss) before Tax 141.40 201.47 (4.82) 610.68 407.95
4 Profit/(Loss) for the period 103.34 147.99 (54.22) 452.68 319.88
5 Total Comprehensive Income for the period 102.86 147.59 (54.13) 450.01 319.76
6 Equity Share Capital 428.85 428.76 213.37 428.85 213.37
7 Other Equity as shown in the Audited Balance 6177.07 3,033.17
Sheet of previous year
8 Earnings Per Share ( of Rs.10/- each) (not
annualised)
Basic & Diluted after exceptional item 2.40 3.49 (1.45) 10.96 8.55
Basic & Diluted before exceptional item 2.36 3.41 (1.45) 10.77 8.12
1. The above Audited consolidated financial results have been reviewed and recommended by the Audit Committee at its meeting held on 14 May, 2024. The
Board of Directors at its meeting held on 14 May, 2024 have approved the above results and taken them on record.
2. The above is an extract of the detailed format of Quarterly/ yearly Results filed with the Stock Exchanges under Regulation 33 of the SEBI (Listing Obligations
and Disclosure Requirements) Regulations, 2015. The full format of the Quarterly Results is available on the websites of the Stock Exchange (BSE/NSE) and
the Company.(www.ideaforgetech.com)
ideaForge Technology Limited
(Formerly known as ideaForge Technology Private Limited)
Ankit Mehta
Chief Executive Officer and Whole Time Director
Navi Mumbai, 14 May, 2024 DIN: 02108289
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s

Extract of Consolidated unaudited financial results for the quarter and six months ended 31 March 2024

(Rin millions) (Rin millions) (Rin millions) (Rin millions) (Rin millions)
No. Particulars Quarter ended Six months ended Year ended
31 March 31 March 31 March 30 September
2024
(Unaudited)
2023
(Unaudited)
2024
(Unaudited)
2023
(Audited)
1
2
3
4
5
6
7
Total revenue from operations
Proft for the period / year before tax
Proft for the period / year
Total Comprehensive Income for the period / year [Comprising of
proft and other comprehensive income/(loss) (after tax) for the
period / year]
Equity Share Capital
Reserves (excluding revaluation reserve) as shown in the audited
balance sheet (other equity)
Earnings Per Share (EPS) of`2 each (in Rupees)
- Basic and diluted EPS
not annualised exceptyear end EPS
57,499
10,880
8,029
7,652
712
22.55
48,578
6,494
4,718
3,714
712
13.26
1,05,751
17,663
13,086
12,793
712
36.76
1,95,538
26,397
19,619
18,340
712
1,30,159
55.09
Notes:
1
The specifed items of the standalone fnancial results of the Company for the quarter and six months ended 31 March 2024 are given below:
(Rin millions)
Particulars
Quarter ended
Six months ended
Year ended
31 March
31 March
31 March
30 September
2024
(Unaudited)
2023
(Unaudited)
2024
(Unaudited)
2023
(Audited)
Total revenue from operations
53,138
44,652
97,496
1,79,651
Proft for the period / year before tax
11,633
6,817
17,850
25,451
Proft for the period / year after tax
8,964
5,160
13,598
19,113
Total comprehensive income for the period / year
8,604
4,157
13,322
17,847
2
The above is an extract of the detailed format of Quarterly and Six monthly fnancial results fled with the Stock Exchanges under Regulation
33 of the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015. The full format of the Quarterly and Six monthly
Standalone and Consolidated fnancial results are available on the Stock Exchange websites(www.bseindia.comandwww.nseindia.com)
and on the Company’s website (www.siemens.co.in).
Particulars Quarter ended Six months ended Year ended
31 March 31 March 31 March 30 September
2024
(Unaudited)
2023
(Unaudited)
2024
(Unaudited)
2023
(Audited)
Total revenue from operations
Proft for the period / year before tax
Proft for the period / year after tax
Total comprehensive income for the period / year
53,138
11,633
8,964
8604
44,652
6,817
5,160
4157
97,496
17,850
13,598
13322
1,79,651
25,451
19,113
17847

,
,
,
,
The above is an extract of the detailed format of Quarterly and Six monthly fnancial results fled with the Stock Exchanges under Regulation
33 of the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015. The full format of the Quarterly and Six monthly
Standalone and Consolidated fnancial results are available on the Stock Exchange websites(www.bseindia.comandwww.nseindia.com)
and on the Company’s website (www.siemens.co.in).
..

Place : Mumbai Date : 14 May 2024 For Siemens Limited

Siemens Limited Registered office: Birla Aurora, Level 21, Plot No. 1080, Sunil Mathur Dr. Annie Besant Road, Worli, Mumbai - 400030 Corporate Identity Number: L28920MH1957PLC010839 Managing Director and Chief Executive Officer Tel.: +91 22 6251 7000; Fax: +91 22 2436 2404 Email / Contact: [email protected] / www.siemens.co.in/contact Website: www.siemens.co.in

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FRESHTROP FRUITS LIMITED CIN: L15400GJ1992PLC018365 Reg. Office: A 603, Shapath IV, S. G. Road, Ahmedabad – 380015 Tel: 079 40307050-57, E-mail: [email protected], Website: www.freshtrop.com

EXTRACT OF AUDITED FINANCIAL RESULTS FOR THE QUARTER / YEAR ENDED 31ST MARCH, 2024

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(Rs. in Lakhs)
Quarter Ended Year Ended
Particulars 31.03.2024 31.12.2023 31.03.2023 31.03.2024 31.03.2023
(Audited) (Audited) (Audited) (Audited) (Audited)
Totalincomefromoperations(net) 3,942.51 2,458.89 2,878.08 10,929.45 10,789.14
NetProfitfortheperiod(before taxandexceptionalitems) (59.95) (449.03) 406.28 (676.17) 544.50
NetProfitfortheperiodbefore tax(afterexceptional items) (59.95) (449.03) 406.28 (676.17) 544.50
NetProfitfortheperiodafter tax(afterexceptionalitems) (20.57) 4,725.34 687.75 5,995.06 846.35
TotalComprehensiveIncomefortheperiod (10.25) (8.16) (11.46) (16.89) 4.58
Profit/Lossfortheperiodaftercomprehensiveincome (30.82) 4,717.18 676.28 5,978.17 850.93
EquityShareCapital 989.49 989.49 989.49 989.49 989.49
Earning Per Share (Of Rs. 10 each) (after extraordinary
items)
Basic: (0.21) 47.76 6.95 60.59 8.55
Diluted: (0.21) 47.76 6.95 60.59 8.55
Notes:
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  • (1) The above is an extract of the detailed format of Financial Results for the quarter and year ended on 31.03.2024, filed with the Stock Exchange under Regulation 33 of the SEBI (Listing Obligation and Disclosure Requirements) Regulations, 2015. The full format of the Quarterly Financial Results are available on the website of the Stock Exchange i.e. www.bseindia.com and also on the Company's website www.freshtrop.com.The result have been prepared in accordance with the Indian Accounting Standards ("Ind AS")asprescribedundersection133oftheCompaniesAct,2013readwithrelevantrulesissuedthereunder.

  • (2) TheaboveresultswerereviewedbytheauditCommitteeandwereapprovedandtakenonrecordbytheBoardofDirectorsintheir meetingheldonMay15,2024

  • (3) Revenue From Operations includes Export Incentives.

  • (4) Due to disposal of Fresh Fruit unit, the Company has only one segment of activity and hence segment reporting is not applicable to theCompany.

  • (5) Due to disposal of Fresh Fruit unit, the financial results to the extent of Statement of Profit & Loss and its resulted impact on earnings per share and segment for the quarters ended March 31, 2023, and year ended March 31, 2023, have been restated by excluding figuresoffreshfruitunitwhichhavebeenincludedunderdiscontinuedoperationsforcomparisonpurposes.

  • (6) Previous Year's figures have been regrouped, reclassified wherever considered necessary.

For & on behalf of the Board of Directors Place: Ahmedabad Sd/- Date: 15.05.2024 Ashok Motiani Managing Director

NIRLO N LIMITED (CIN L17120MH1958PLC011045)

NIRLO N LIMITED
(CIN L17120MH1958PLC011045)
NIRLO N LIMITED
(CIN L17120MH1958PLC011045)
NIRLO N LIMITED
(CIN L17120MH1958PLC011045)
NIRLO N LIMITED
(CIN L17120MH1958PLC011045)
AUDITED FINANCIAL RESULTS FOR THE QUARTER AND YEAR ENDED 31ST MARCH, 2024
(in lakhs)<br>**Sr.**<br>**No.**<br>**Particulars**<br>**Quarter ended**<br>**Year ended**<br>**31-Mar-24 31-Dec-23 31-Mar-23 31-Mar-24 31-Mar-23**<br>**Audited**<br>**(Refer Note 3)**<br>**Unaudited**<br>**Audited**<br>**(Refer Note 3)**<br>**Audited**<br>**Audited**<br>1 **Income:**<br>(a)Revenue from operations<br>15,336.04 15,208.60 14,812.11 60,311.98 57,264.80<br>(b) Other income<br>99.28<br>123.95<br>35.65<br>423.56<br>296.08<br>**Total income**<br>**15,435.32 15,332.55 14,847.76 60,735.54 57,560.88**<br>2 **Expenses:**<br>(a) Employee benefits expense<br>128.99<br>131.80<br>110.25<br>535.93<br>502.11<br>(b) Finance costs<br>3,267.29<br>3,040.75<br>2,932.74 12,349.13 12,568.10<br>(c) Depreciation and amortisation<br>expenses (Refer Note 6)<br>1,463.20<br>1,404.97<br>1,490.73<br>5,641.64 10,277.58<br>(d) Property management expenses<br>1,547.14<br>1,353.85<br>1,407.28<br>5,266.18<br>4,459.55<br>(e) Other expenses<br>1,489.84<br>1,743.56<br>1,634.24<br>6,789.33<br>6,499.86<br>**Total expenses**<br>**7,896.45**<br>**7,674.93**<br>**7,575.24 30,582.21 34,307.20**<br>3 **Profit before tax (1-2)**<br>**7,538.87**<br>**7,657.62**<br>**7,272.52 30,153.33 23,253.68**<br>4 **Tax expense**<br>(a) Current tax<br>1,317.20<br>1,337.94<br>1,270.97<br>5,268.40<br>4,062.88<br>(b) Deferred tax<br>1,103.67<br>1,108.45<br>1,030.15<br>4,329.31<br>3,399.12<br>**Total tax expense**<br>**2,420.87**<br>**2,446.39**<br>**2,301.12**<br>**9,597.71**<br>**7,462.00**<br>5 **Profit after tax (3-4)**<br>**5,118.00**<br>**5,211.23**<br>**4,971.40 20,555.62 15,791.68**<br>6 **Other comprehensive income**<br>Items that will not be reclassified to profit<br>and loss (net of tax)<br>0.17<br>-<br>21.45<br>0.17<br>21.45<br>7 **Total comprehensive income (5+6)**<br>**5,118.17**<br>**5,211.23**<br>**4,992.85 20,555.79 15,813.13**<br>8 Paid-up equity share capital<br>(Face value of10/-per share)
9,011.80
9,011.80
9,011.80
9,011.80
9,011.80
9 Other Equity
28,293.24 31,168.15
10 Earnings per share (EPS) of**10/- each**<br>**(not annualised)**<br>(a) Basic ()
5.68
5.78
5.52
22.81
17.52
(b) Diluted ()<br>**5.68**<br>**5.78**<br>**5.52**<br>**22.81**<br>**17.52**<br>**See accompanying notes to the financial results**<br>AUDITED STATEMENT OF CASH FLOWS FOR THE YEAR ENDED MARCH 31, 2024<br>( INR in lakhs)<br>**Particulars**<br>**Year ended**<br>**March 31, 2024**<br>**Year ended**<br>**March 31, 2023**<br>**Cash Flow from operating activities :**<br>**Profit before tax**<br>**30,153.33**<br>**23,253.68**<br>Adjustmentsfor :<br>Depreciationand amortisationexpense<br>5,641.64<br>10,277.58<br>Amortisationof marketingfees<br>1,897.73<br>1,950.99<br>Loss / (gain) onassets sold / discarded<br>-<br>19.23<br>Lease equalisation income<br>491.56<br>(2,555.76)<br>Rental income ondiscounting ofsecurity deposit<br>(2,181.49)<br>(1,782.50)<br>Finance cost (net of capitalisation)<br>12,349.13<br>10,999.59<br>Interest income<br>(412.11)<br>(274.44)<br>**47,939.79**<br>**41,888.37**<br>**Working Capital Adjustments :**<br>**(Increase) / Decrease in assets :**<br>Trade receivables<br>(34.64)<br>29.41<br>Other current & non current financial asset<br>(14.77)<br>3.26<br>Other current & non current asset<br>(180.50)<br>162.63<br>**Increase / (Decrease) in liabilities :**<br>Trade payables<br>(331.75)<br>(890.67)<br>Other current & non current financial liabilities<br>(1,643.08)<br>1,395.20<br>Other current & non current liabilities<br>2,236.76<br>612.87<br>Provisions<br>7.38<br>(2.87)<br>**Net Cash Flow from / (used) in operations**<br>**47,979.19**<br>**43,198.20**<br>Income taxes paid<br>(5,502.93)<br>(5,535.16)<br>**Net Cash Flow from / (used) in operating activities**<br>**42,476.26**<br>**37,663.04**<br>**Cash flows from investing activities**<br>Purchase of property, plant and equipments and investment properties<br>including capital work in progress<br>(5,495.00)<br>(8,511.36)<br>Proceeds from sale of property, plant and equipments and investment<br>properties<br>-<br>59.06<br>Interest received<br>412.11<br>267.44<br>Bank balance not considered as cash and cash equivalent<br>-<br>(860.57)<br>Investments in fixed deposits (net)<br>15.00<br>-<br>**Net Cash Flow from / (used) in investing activities**<br>**(5,067.88)**<br>**(9,045.43)**<br>**Cash Flows from financing activities**<br>Proceeds from non current borrowings<br>-<br>1,14,552.46<br>Repayment of non current borrowings<br>-<br>(1,17,839.07)<br>Dividend paid<br>(23,430.70)<br>(23,430.70)<br>Interest and other borrowings cost including interest capitalized<br>(10,310.00)<br>(9,799.82)<br>**Net Cash Flow from / (used) in financing activities**<br>**(33,740.70)**<br>**(36,517.13)**<br>**Net increase (decrease) in cash and cash equivalents**<br>**3,667.68**<br>**(7,899.52)**<br>Cash and cash equivalents as at April 1 (Opening Balance)<br>1,725.49<br>9,625.01<br>**Cash and cash equivalents as at March 31 (Closing Balance)**<br>**5,393.17**<br>**1,725.49**<br>**Notes :**<br>1.The results of the quarter and year ended March 31, 2024 were reviewed by the Audit Committee and<br>approved by the Board of Directors of the Company at its meeting held on May 15, 2024.<br>2 The Company has determined “licensing of investment properties” as a reportable segment as evaluated by<br>the chief operating decision makers for allocation of resources and assessing the performance. There are<br>no other reportable segment as per Ind AS 108-Operating Segment. Accordingly, no segment information<br>has been disclosed.<br>3 The figures for quarters ended March 31, 2024 and March 31, 2023 are the balancing figures between<br>audited figures in respect of full financial years and unaudited published year to date figures upto December<br>31 which were subject to limited review.<br>4 The shareholders of the Company in their meeting held on September 15, 2023 approved the final dividend<br>of11 per share aggregating to9,912.98 Lakhs for the financial year 2022-23. The said dividend was paid<br>on September 22, 2023. Further, the board of directors in its meeting held on February 12, 2024 approved<br>interim dividend of 15 per share aggregating to 13,517.71 lakhs to its equity shareholders. The said<br>dividend was paid on February 23, 2024.<br>5 The board of directors have recommended final dividend of11 per share aggregating to9,912.98 Lakhs<br>for the financial year 2023-24 subject to the approval of the shareholders in the ensuing Annual General<br>Meeting.<br>6 The Company has changed its method of depreciation from written down value method to straight-line<br>method w. e. f. October 1, 2022. Accordingly, depreciation is lower and net profit before tax is higher by<br> 2,409.15 lakhs and4,817.03 lakhs for the quarter and year ended March 31, 2023 respectively.<br>For and on behalf of the Board of Directors<br>NIRLON LIMITED<br>Sd/-<br>**RAHUL V. SAGAR**<br>**Place :**Mumbai<br>Executive Director & CEO<br>**Date :**May 15, 2024<br>DIN : 388980<br>(in lakhs)
Particulars
As at 31-Mar-24
As at 31-Mar-23
Audited
Audited
ASSETS
Non-current assets
(a)Property, plant and equipments
42.60
43.94
(b)Capital work-in-progress
261.67
604.99
(c)Investmentproperties
1,90,953.54
1,93,177.13
(d)Financial assets
(i)Other financial assets
958.02
965.20
(e)Non-current tax assets(net)
2,842.81
1,293.82
(f)Other non-current assets
9,738.98
10,059.87
Total non-current assets
2,04,797.62
2,06,144.95
Current assets
(a)Financial assets
(i)Trade receivables
319.80
285.15
(ii)Cash and cash equivalents
5,393.17
1,725.49
(iii)Bank balances other than(ii)above
702.05
574.17
(iv)Other financial assets
287.36
265.41
(b)Other current assets
1,121.87
1,127.04
Total current assets
7,824.25
3,977.26
Total assets
2,12,621.87
2,10,122.21
EQUITY AND LIABILITIES
Equity
(a)Equityshare capital
9,011.80
9,011.80
(b)Other equity
28,293.24
31,168.15
Total equity
37,305.04
40,179.95
LIABILITIES
Non-current liabilities
(a)Financial liabilities
(i)Borrowings
1,14,557.75
1,14,502.23
(ii)Other financial liabilities
16,895.53
14,698.98
(b)Provisions
30.84
26.65
(c)Deferred tax liabilities(net)
19,631.99
15,302.61
(d)Other non current liabilities
4,741.60
5,215.32
Total non-current liabilities
1,55,857.71
1,49,745.79
Current liabilities
(a)Financial liabilities
(i) Trade payables
Total outstanding dues of micro enterprises and
small enterprises
15.94
58.33
Total outstanding dues of trade payable other than
micro enterprises and small enterprises
1,318.52
1,607.89
(ii)Other financial liabilities
13,783.64
16,035.71
(b)Other current liabilities
2,990.63
2,461.63
(c)Provisions
14.81
11.79
(d)Current tax liabilities(net)
1,335.58
21.12
Total current liabilities
19,459.12
20,196.47
Total liabilities
1,75,316.83
1,69,942.26
Total equity and liabilities
2,12,621.87
2,10,122.21
See accompanying notes to the financial results
STATEMENT OF ASSETS AND LIABILITIES

Registered Offce: Pahadi Village, off the Western Express Highway, Goregaon (East), Mumbai 400 063.
Tele No.: + 91 (022) 4028 1919/ 2685 2257/58/59Fax No.: + 91 (022) 4028 1940 Email: [email protected], Website: www.nirlonltd.com
Particulars Year ended
March 31, 2024
Year ended
March 31, 2023
Cash Flow from operating activities :
Profit before tax 30,153.33 23,253.68
Adjustmentsfor :
Depreciationand amortisationexpense 5,641.64 10,277.58
Amortisationof marketingfees 1,897.73 1,950.99
Loss / (gain) onassets sold / discarded - 19.23
Lease equalisation income 491.56 (2,555.76)
Rental income ondiscounting ofsecurity deposit (2,181.49) (1,782.50)
Finance cost (net of capitalisation) 12,349.13 10,999.59
Interest income (412.11) (274.44)
47,939.79 41,888.37
Working Capital Adjustments :
(Increase) / Decrease in assets :

Trade receivables
(34.64) 29.41
Other current & non current financial asset (14.77) 3.26
Other current & non current asset (180.50) 162.63
Increase / (Decrease) in liabilities :
Trade payables (331.75) (890.67)
Other current & non current financial liabilities (1,643.08) 1,395.20
Other current & non current liabilities 2,236.76 612.87
Provisions 7.38 (2.87)
Net Cash Flow from / (used) in operations 47,979.19 43,198.20
Income taxes paid (5,502.93) (5,535.16)
Net Cash Flow from / (used) in operating activities 42,476.26 37,663.04
Cash flows from investing activities
Purchase of property, plant and equipments and investment properties
including capital work in progress
(5,495.00) (8,511.36)
Proceeds from sale of property, plant and equipments and investment
properties
- 59.06
Interest received 412.11 267.44
Bank balance not considered as cash and cash equivalent - (860.57)
Investments in fixed deposits (net) 15.00 -
Net Cash Flow from / (used) in investing activities (5,067.88) (9,045.43)
Cash Flows from financing activities
Proceeds from non current borrowings - 1,14,552.46
Repayment of non current borrowings - (1,17,839.07)
Dividend paid (23,430.70) (23,430.70)
Interest and other borrowings cost including interest capitalized (10,310.00) (9,799.82)
Net Cash Flow from / (used) in financing activities (33,740.70) (36,517.13)
Net increase (decrease) in cash and cash equivalents 3,667.68 (7,899.52)
Cash and cash equivalents as at April 1 (Opening Balance) 1,725.49 9,625.01
Cash and cash equivalents as at March 31 (Closing Balance) 5,393.17 1,725.49
Rameshwar Media

मुंबई, गुरुवार दि. १६ मे २०२४

www. pratahkal.com

==> picture [82 x 17] intentionally omitted <==

मुस्लिमांशी नाते घट्ट असल्ाचे म्हणणाऱ्ा नरेंद्र मोदींचे पुन्हा मु्लिीम द्ेषावरच भाषण: नाना पटोलिे मुंबई, िद. १५ (प्रििििधी) : मोदी महणाले की, पंतप्रधान नरेंद्र मोदी काँग्ेस काहीही तथ् नाही. पंतप्रधान पदािरील घाटकोपर भागात कालच होवडिंग आहे असे असेल तर ्ा पक्षांची एिढी वचंता करण्ाची उडाली आहे, ्ा वभतीपोटी ते काहीही बोलत आहेत. सरकारने कधीच कोणाला धम्म विचारला पक्षाच्ा जावहरनाम्ािर सातत्ाने व्कतींनी काहीतरी ताळतंत्र ठेिून बोलािे दुघ्मटनेत १४ नागररकांचा बळी गेला आहे, नरेंद्र मोदी ्ांना का् गरज आहे? िासतविक पाहता काँग्ेसचे दुकान बंद होण्ाची वचंता करण्ापेक्षा नरेंद्र नाही ि धमा्मच्ा नािािर ्ोजनाही वबनबुडाचे आरोप करत आहेत. मुसलीमांना अशी अपेक्षा असते पण आरएसएसच्ा मुंबईकरांसाठी हा एक मोठा धकका आहे भारती् जनता पक्षाचा लोकसभा वनिडणुकीत दारूण मोदी ्ांनी त्ांची ि भाजपाच्ा पराभिाची वचंता राबिल्ा नाहीत. मुसलीमांशी आपले नाते संपत्ी िाटणार हे काँग्ेसच्ा जाहीरनाम्ात खोटे पसरिण्ाच्ा वशकिणीतून नरेंद्र परंतु भाजपा ि नरेंद्र मोदी ्ांना ्ा घटनेचे पराभि होत आहे ्ा वचंतेने नरेंद्र मोदी ्ांची झोप करािी, असेही नाना पटोले महणाले. घट्ट आहे ि मतांसाठी आपण काम करत कुठेच नाही हे सपष्ट असतानाही नरेंद्र मोदी ्ापेक्षा िेगळे काही बोलू शकतील काहीही गांवभ््म नाही, ज्ा घाटकोपर नाही असे सांगणाऱ्ा पंतप्रधान नरेंद्र मोदी मोदी पुनहा पुनहा काँग्ेस मुसलीमांना संपत्ी असे िाटत नाही. भागात ही घटना घडली त्ाच भागातून R>mÊmo jo{ÌH$mm©b~r-37, dmJio B§S>ñQ´>rb BñQo>Q>, R>mÊmo (n) 400 604. ्ांनी आज पुनहा जाहीर सभेत राम मंवदर ि िाटणार असा अपप्रचार करत आहेत. काँग्ेसिर मुसलीम तुष्टीकरणाचे देशाचे पंतप्रधान नरेंद्र मोदी ्ांचा रोड शो Xya. : 022-25829406, 25823040 मुसलीम द्ेषािर भर देऊन लोकांची आरक्षणाच्ा मुद्दािरही पंतप्रधान नरेंद्र आरोप करणाऱ्ा नरेंद्र मोदी ्ांच्ा होतो हे संताप आणणारे आहे ्ातून B©-ob :\°$Šg : 022-25829731 [email protected] वदशाभूल करण्ाचा केविलिाणा पकेला, आता देशातील जनता नरेंद्र रतन मोदी ्ांनी काँग्ेसिर केलेले आरोप धादांत खोटे आहेत. भाजपाने आंध्र प्रदेशात चंद्राबाबू ना्डू ्ांच्ा तेलुगु देसमशी ्ुती केली आहे. पंतप्रधान नरेंद्र मोदी ि भाजपाची असंिेदनशीलता वदसून ्ेते, असेही नाना _w»H$mm©b: bmoH$_§Jb, 1501, {ímdmOrZJa nwÊmo 5_mJÊmr gyMZm मोदींच्ा थोपेबाजीला बळी पडणार नाही, आरक्षणाला आरएसएस ि भाजपाचाच ्ाच तेलुगु देसमने हज ्ात्रेसाठी १ लाख पटोले महणाले. grŠw{aQ>mPoímZ A°ÝS> {aH$ÝñQ´>ŠímZ Am°\$ \$mZmÝímrAb AgoQ²>g A°ÝS> EÝ\$mog©_o¨Q> Am°\$ grŠw{aQ>r B§Q>aoñQ> A°ŠQ>, 2002 (ga\¡$gr H$mXm) m§Àm AZwÀNo>X 13(2) ghdmMZ grŠw{aQ>r B§Q>aoñQ> (EÝ\$mog©_o¨Q>) {Z, 2002 Àm {Z_ 3(1) A§VJ©V gyMZm) असे महाराष्ट्र प्रदेश काँग्ेस कवमटीचे विरोध आहे उघड असताना काँग्ेस एस. रुप्ांची मदत करण्ाचे आशिासन वदले काँग्ेस विरोधी पक्षही बनू शकणार ~±H$ Am°\$ _hmamï´> m§ ~~À~~mgh »mmbrb {ZXo©{ímV H$O©Xma m§Mo »mmVo EZnrE åhÊmyZ dJr©H¥$V H$aÊmV ~~A~~ mbo AmhoV, ~±Ho$Zo »mmbrb {ZXo©{ímV Vma»mog ga\¡$gr H$mÚmÀm AZwÀNo>X {X. 09.06.2023 13(2) A§VJ©V gyMZm Omar Ho$br hmoVr. gXa gyMZm »mmbrb {ZXo©{ímV H$O©Xma/ h_rXma m§Zm Ëm§Àm A§{V_ kmV nÎmda nmR>{dbr hmoVr Vr Ëm§Zm {_imbr Zmhr Amho, अध्क्ष नाना पटोले ्ांनी महटले आहे. एस., एस.टी. ि ओबीसींचे आरक्षण आहे हे मोदींना कसे चालते? असा सिाल नाही, उद्धि ठाकरेंची वशिसेना ि शरद काँग्ेस प्रदेशाध्क्ष नाना पटोले पुढे काढून मुसलीमांना देणार ्ा आरोपात पटोले ्ांनी केला आहे. पिार ्ांचा राष्ट्रिादी काँग्ेस पक्ष नकली gXa Omhra gyMZm gd© g§~§{YVm§Zm _m{hVrH${aVm n«{gÕ> H$aÊmV Ambr hmoVr. »mmbrb {ZXo©{ímV H$O©Xma/ h_rXma m§Zm AmdmhZ H$aÊmV oVo H$r, Ëm§Zr ~±H$ Am°\$ _hmamï´> m§Zm hr gyMZm n«{gÕ> PmëmÀ`m Vma»monmgyZ 60 {Xdgm§V »mmbrb Z_yX

आहे असे असेल तर ्ा पक्षांची एिढी वचंता करण्ाची उडाली आहे, ्ा वभतीपोटी ते काहीही बोलत आहेत. नरेंद्र मोदी ्ांना का् गरज आहे? िासतविक पाहता काँग्ेसचे दुकान बंद होण्ाची वचंता करण्ापेक्षा नरेंद्र भारती् जनता पक्षाचा लोकसभा वनिडणुकीत दारूण मोदी ्ांनी त्ांची ि भाजपाच्ा पराभिाची वचंता पराभि होत आहे ्ा वचंतेने नरेंद्र मोदी ्ांची झोप करािी, असेही नाना पटोले महणाले.

||B©-ob : [email protected]
_w»Hmm©b: bmoH_§Jb, 1501, {ímdmOrZJa nwÊmo 5<br>_mJÊmr gyMZm|B©-_ob : **[email protected]**<br>_w» Hmm©b : bmoH
§Jb, 1501, {ímdmOrZJa nwÊmo 5
mJÊmr gyMZm||
|---|---|---|---|
||{X. 09.06.2023
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comdwww.bseindia.comda CnbãY Amho d H§nZrMr do~gmBQwww.valiantlabs.inda CnbãY Amho.
  1. {X. 31 ‘mM©, 2024 amoOr AIoa {V‘mhr d df© AIoaH$[aVm darb {dÎmr¶ Ahdmb boIm g{‘Vr ×mao nmhʶmV Ambm Amho d {X. 14 ‘o, 2024 amoOr ˶m§À¶m g^o‘ܶo g§MmbH$ ‘§S>im×mao ‘§Oya Ho$bm Amho.

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