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IITL PROJECTS LIMITED Earnings Release 2026

May 25, 2026

63967_rns_2026-05-25_a0ce6fc8-6a15-4d0f-98cc-2448a68e0851.pdf

Earnings Release

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IITL PROJECTS LIMITED

Date: May 25, 2026

To,

BSE Limited
Corporate Relationship Department
Phiroze Jeejeebhoy Towers,
Dalal Street,
Mumbai – 400001.

BSE Scrip Code: 531968

Sub: Regulation 47(1) of SEBI (Listing Obligations & Disclosures Requirements) Regulations, 2015

Dear Sir / Madam,

Pursuant to Regulation 47(1) of SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015, please find enclosed copies of the newspaper advertisement of the Audited Standalone Financial Results of the Company for the quarter and financial year ended March 31, 2026, published in Free Press Journal (English) and Navshakti (Marathi) newspapers on May 24, 2026.

Kindly acknowledge the receipt of the same.

Thanking you,

Yours faithfully,

For IITL Projects Limited

HARSHIDA
JAYANT
PARIKH

Digitally signed by
HARSHIDA JAYANT
PARIKH
Date: 2026.05.25
15:12:27 +05'30'

Ms. Harshida J. Parikh
Manager & Company Secretary

Encl: as above

Regd. Office: Office No. 101A. The Capital, Plot No. C-70, G Block, Bandra Kurla Complex, Bandra (East), Mumbai – 400 051.
Phone: (+91) 22-43250100, E-mail: [email protected], Web: www.iitlprojects.com
CIN: L01110MH1994PLC082421


www.freepressjournal.in

THE PRESIDENT'S LIBERTY

THE GARDEN

May 14, 2026 • THE FREE PRESS JOURNAL

IITL PROJECTS LIMITED

Regd. Office: 13014, P.O. Box 1, Dammur, P.O. Box 70, ITU, Jammu & Kashmir 1000 000, 000000, 000000, 000000, 000000, 000000, 000000

Email: [email protected], Web: www.rtherpess.com

STATEMENT OF AUDITED STANDALONE FINANCIAL RESULTS FOR THE QUARTER AND YEAR ENDED MARCH 31, 2026. (Tm Lathe)

No. Particulars Quarter Ended Year Ended
31-30,2016 Audited 31-31,2020 (Available) 31-32,2026 (Available) 31-30,2016 Audited 31-31,2020 (Available) 31-32,2026 (Available)
1 Total Income from Operations 40,777 43,33 28,49 60,41 120,43
2 Total Profit/Loans for the period before Ten Enrolment and six Enrolment terms 26,58 71,52 32,07 104,51 227,70
3 Net Profit/Loss for the period before Ten Enrolment and six Enrolment terms 26,42 71,52 3,538.92 104,51 3,180.10
4 Net Profit/Loss for the period after ten (after ten\sqrt{2}) years of financing (with 2% tax) to the period (after ten) and other comprehensive income (after tax) 79.47 50.90 3,001.71 125.25 2,147.12
5 Total Profit/Loss for the period after ten (after Ten and Six Months) and other comprehensive income (after tax) 485.09 408.00 498.00 949.09 486.09
6 Reserve including evaluation Reserve as per the United Nations Status (323.79) 3045.63
7 Earning per share (EPE): 3 days and 40 days (T) (from value, IT 10- per share) -0.39 1.27 79.16 2.51 60.09

Note: and (1) the detailed format of Financial Results for the quarter and year ended 31.03.2026 filed with the Stock Exchange under Regulation 30 of the ISBO Listing Obligations and Other Disclosure Requirements (Regulations, 2015, The full format of the Financial Results are available on the Stock Exchange website www.taxindia.com and on the Community website www.irbp.taxindia.com.)

The above results were reviewed by the Audit Committee and were produced at its respective meeting held on May 22, 2026

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SARTHAK GLOBAL LIMITED

Regd. Office: 40th French, Mary Wing, Talawil Chambers, Nantucket Point, Mankau, 38th MNDH, India.

Contact No.: 8821021765, Email: [email protected], website: www.sarthakglobal.com

EXTRACT OF AUDITED STANDALONE FINANCIAL RESULTS FOR THE QUARTER AND YEAR ENDED 31ST MARCH, 2026. (Tm Lathe except For Share Data)

No. Particulars Quarter Ended Year Ended
31-31,2020 31-31,2026 31-32,2026 31-31,2020 31-31,2026 31-32,2026
1 Total Income from Operations 407.37 43.64 284.68 601.76 120.49
2 Net Profit/Loss for the period before Ten Enrolment and Six Enrolment terms 40.29 -9.01 13.64 2.15 8.88
3 Net Profit/Loss for the period after ten (After Ten and Six Months) and other comprehensive income (after tax) 40.28 4.00 15.00 2.16 8.88
4 Net Profit/Loss for the period after ten (After Ten and Six Months) and other comprehensive income (after tax) -22.68 -6.00 16.32 1.00 3.00
5 Total Cost/Amounts (Assets for the period) (income)
6 Profit/Loss for the period after ten and Other (income)
7 Profit/Other (income) 300.00 300.00 300.00 300.00 300.00
8 Reserves (income) (income) (22.75) (125.81)

PRESIDENT'S LIBERTY

THE GARDEN

JULY 15, 2026

THE FREE PRESS JOURNAL

JULY 15, 2026

JULY 15, 2026

JULY 15, 2026

JULY 15, 2026

JULY 15, 2026

JULY 15, 2026

JULY 15, 2026

JULY 15, 2026

Date Year Ended Amount Rate Amount
1 1994 1,000.00 11.53 1,000.00
2 1995 1,000.00 11.53 1,000.00
3 1996 1,000.00 11.53 1,000.00
4 1997 1,000.00 11.53 1,000.00
5 1998 1,000.00 11.53 1,000.00
6 1999 1,000.00 11.53 1,000.00
7 1999 1,000.00 11.53 1,000.00
8 2000 1,000.00 11.53 1,000.00

EURO PANEL PRODUCTS LIMITED

Regd. Office: 32nd Floor, St. George, Talawil Chambers, Nantucket Point, Mankau, 38th MNDH, India.

Contact No.: 8821021765, Email: [email protected], website: www.europanelproduct.com

EXTRACT OF EXPRESS STANDALONE FINANCIAL RESULTS FOR THE QUARTER AND YEAR ENDED 31ST MARCH, 2026. (Tm Lathe except For Share Data)

No. Particulars Quarter Ended Year Ended
31-31,2020 31-31,2026 31-32,2026 31-31,2020 31-31,2026 31-32,2026
1 Total Income from Operations 1,76,205.64 1,05,437.48 1,44,780.26 5,49,343.14 4,03,082.07
2 Net Profit/Loss for the period before Ten Enrolment and Six Enrolment terms 1,224.62 3,087.40 5,223.62 23,809.09 12,037.03
3 Net Profit/Loss for the period after Ten Enrolment and Six Months (after Ten and Six Months) 1,224.62 3,087.40 5,223.62 23,809.09 12,037.03
4 Net Profit/Loss for the period after Ten (after Ten and Six Months) 1,224.62 3,087.40 5,223.62 23,809.09 12,037.03

PRESIDENT'S LIBERTY

THE GARDEN

JULY 15, 2026

THE FREE PRESS JOURNAL

JULY 15, 2026

JULY 15, 2026

JULY 15, 2026

JULY 15, 2026

JULY 15, 2026


चर्च 4 मिनिट
13 अक्टूबर 2023

झोडियाक क्लोविन कंपनी लिमिटेड

वैलनेट अवधारणा : माननीय संकाय, २०२२, पी २; डी 100 केवेड नेट, एमओ, ईयूई
२०२२.०३.२१११, १३:३०:००. नम्बर २०२२-२०२२
फैक्टरी : www.sodaworld.com 2 नेट: [email protected]

मूल्य

कंपनी के द्वारा लिमिटेड की कीमत पर २०२२.०३.२१११ से २०२२.०३.२१११ तक की राशि
कंपनी के द्वारा लिमिटेड की कीमत पर २०२२.०३.२१११ से २०२२.०३.२१११ तक की राशि
कंपनी के द्वारा लिमिटेड की कीमत पर २०२२.०३.२१११ से २०२२.०३.२१११ तक की राशि

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कंपनी के द्वारा लिमिटेड की कीमत पर २०२२.०३.२१११ से २०२२.०३.२१११ से २०२२.०३.२१११

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कंपनी के द्वारा लिमिटेड की कीमत पर २०२२.०३.२१११ से २०२२.०३.२१११

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कंपनी के द्वारा लिमिटेड की कीमत पर २०२२.०३.२१११ से २०२२.०३.२१११

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