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Kernex Microsystems (India) Ltd. Annual Report 2020

Jul 31, 2020

60654_rns_2020-07-31_a2873a42-f38b-4607-85ca-34d673f42fce.pdf

Annual Report

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KERNEX MICROSYSTEMS (INDIA) LTD.

(An ISO 9001:2015 Certified Company) CIN: L30007TG1991PLC013211

Tel: +91 90300 17501 +91 90300 17502 e-mail: [email protected] website: www.kernex.in

Registered Office: 'TECHNOPOLIS', Plot No. 38(Part) to 41, Hardware Technology Park, TSIIC Layout, Imarath Kanch, Raviryal (V), Maheswaram (M), R.R. (Dist.), Hyderabad - 501 510. Telangana. India.

KMIL:SE:PP:20-21:040

31st July'2020.

To To
The Listing / Compliance Department The Listing / Compliance Department
BSE Limited National Stock Exchange of India Ltd
Phiroze Jeejeebhoy Towers Plot No.C/1, G Block, Exchange Plaza
Dalal Street Bandra - Kurla Complex, Bandra (E)
Mumbai - 400 001 Mumbai - 400 051
BSE Scrip Code: 532686 NSE Symbol: KERNEX

Sub:- Publication of Audited financial results.

Sir/Madam,

Please find enclosed news paper publication of Audited Standalone and Consolidated Financial Results of the Company for the year ended March 31, 2020 published in newspapers on 31.07.2020 in the Financial Express and Nava Telangana (Local Daily).

Kindly take the above information on record and acknowledge.

Thanking you,

Yours faithfully For KERNEX MICROSYSTEMS (INDIA) LIMITED

M B Narayana Raju Whole-Time Director DIN: 07993925

FINANCIAL EXPRESS

23

KERNEX MICROSYSTEMS (INDIA) LTD.(AN ISO 9001 : 2015 CERTIFIED COMPANY CIN:L30007TG1991PLC013211)

Regd. and Corporate Office: Plot No.38 (part) to 41, Hardware Park, TSIIC Layout, Survey No.1/1, Kancha Imarat, Raviryal Village, Maheswaram Mandal, Ranga Reddy Dist, Hyderabad - 501 510.

Extract of Standalone & Consolidated Audited Financial Results For the Quarter and Year ended 31st March, 2020.

SI. Standalone Consolidated
No. PARTICULARS Quarter ended Year ended Year ended
31-03-2020 31-03-2019 31-03-2020 31-03-2019 31-03-2020 31-03-2019
Audited Audited Audited Audited Audited Audited
1. Total Income from operations 64.59 314.83 1,462.04 747.38 1,488.12 813.61
2. Net Profit / (Loss) for the period(before Tax, Exceptional and / or Extraordinary items) (328.96) (153.51) 802.68 520.66 333.07 (41.78)
3. Net Profit / (Loss) for the period before tax(after Exceptional and / or Extraordinary items) (328.96) (636.93) 802.68 (2,091.86) 340.46 (2, 157.58)
4. Net Profit / (Loss) for the period after tax(after Exceptional and / or Extraordinary items) (360.38) (605.26) 806.07 (2,067.27) 343.85 (2, 132.99)
5. Total Comprehensive income for the period [ Comprising Profit / (Loss) forthe period (after tax) and other comprehensive income (after tax) ] (360.65) (606.78) 805.80 (2,068.79) 342.23 (2, 134.51)
6. Equity share capital (Face value of Rs.10/- each) 1,249.97 1,249.97 1,249.97 1.249.97 1,249.97 1,249.97
7. Reserve (excluding Revaluation Reserve) as show in the AuditedBalance Sheet of the previous year $***$ $***$ 5,712.50 4,906.82 4,647.43 4,316.65
8. Earnings per share (before extraordinary items) (of Rs.10/- each)
(a). Basic (2, 88) (4.84) 6.45 (16.54) 2.75 (17.06)
(b). Diluted (2,88) (4.84) 6.45 (16.54) 2.75 (17.06)

Notes:

Place: Hyderabad

Date: 30-07-2020

KAMAL

CEMENT

Total income from operations (net)

Place: Digvijaygram Date: July 30, 2020

  1. The above results were reviewed and recommended by the Audit Committee and approved by the Board of Directors of the Company at their meeting held on 30th July, 2020.

  2. The above is an extract of detailed format of Quarterly/Annual Financial Results filed with the Stock Exchanges under regulation 33 of SEBI (Listing and Other Disclosure Requirements) Regulations, 2015. The full format of the Quarterly/Annual Financial Results are available on the Stock Exchange website.i.e, BSE Limited at www.bseindia.com and NSE Limited at www.nseindia.com and on Company' website: www.kernex.in

By order of the Board of Directors For KERNEX MICROSYSTEMS (INDIA) LIMITED

$Sd$ M.B. NARAYANA RAJU

Whole-Time Director

DIN - 07993925

SHREE DIGVIJAY CEMENT COMPANY LIMITED

Regd. Office: Digvijaygram 361140 (Gujarat)

8,860.79

12,941.04

Phone: 0288-2344272-75 Fax: 0288-2344092, Email: [email protected] CIN: L26940GJ1944PLC000749, Website: www.digvijaycement.com

STATEMENT OF UNAUDITED FINANCIAL RESULTS FOR THE QUARTER ENDED JUNE 30, 2020
(Rs. in lakhs)
Particulars Quarter ended For the year ended
30/06/2020 31/03/2020 30/06/2019 31/03/2020
Unaudited Audited Unaudited Audited

MONNET

MPDL LIMITED (FORMERLY MONNET PROJECT DEVELOPERS LIMITED) Corporate Office : MONNET HOUSE, 11 Masjid Moth, Greater Kailash Part II, New Delhi - 110048 Regd. Office: Plot No. 216, Sector - C, Urla Industrial Complex, Raipur - 493221 (Chhattisgarh) Tel. No. 011-29218542-46; Fax: 011-29218541; e-mail: [email protected] website: www.monnetgroup.com; CIN : L70102CT2002PLC015040

STATEMENT OF STANDALONE AND CONSOLIDATED AUDITED FINANCIAL RESULTS FOR THE QUARTER AND YEAR ENDED 31st MARCH, 2020 F in lokh aveant nor chara date

Standalone у ні каки ехсері рег знаге чатаConsolidated
SI. Particulars Quarter ended Year Ended Quarter ended Year Ended
No. 31.03.2020 31.12.2019 31.03.2019 31.03.2020 31.03.2019 31.03.2020 31.12.2019 31.03.2019 31.03.2020 31.03.2019
Audited Unaudited Audited Audited Audited Audited Unaudited Audited Audited Audited
Total Income from operations 105.13 461.14 0.00 566.27 0.00 105.13 461.14 0 566.27 0.00
2 Net Profit / (Loss) for the period (before Tax,Exceptional and/or Extraordinary items) (189.89) 62.98 (38.92) (230.06) (217.97) (189.89) 62.98 (38.92) (230.06) (217.97)
3 Net Profit / (Loss) for the period before tax(after Exceptional and/or Extraordinary items) (189.89) 62.98 (38.92) (230.06) (217.97) (189.89) 62.98 (38.92) (230.06) (217.97)
4 Net Profit / (Loss) for the period after tax(after Exceptional and/or Extraordinary items) (189.89) 62.98 (38.92) (230.06) (217.88) (43.92) (74.47) (34.95) (190.48) (200.18)
5 Total Comprehensive Income for the period[Comprising Profit / (Loss) for the period(after tax) and Other ComprehensiveIncome (after tax)] (189.89) 62.98 (38.92) (230.06) (217.88) (43.92) (74.47) (34.95) (190.48) (200.18)
6 Equity Share CapitalReserves (excluding Revaluation Reserve)as shown in the Audited Balance Sheet ofthe previous year 741.25 741.25 741.25٠ 741.254619.29 741.254849.35 741.25 741.25 741.25 741.254787.94 741.254978.41
8 Earnings Per Share (of Rs. 10/- each) (forcontinuing and discontinued operations) -Basic:Diluted: (2.56)(2.56) 0.850.85 (0.53)(0.53) (3.10)(3.10) (2.94)(2.94) (0.59)(0.59) (1.00)(1.00) (0.47)(0.47) (2.57)(2.57) (2.70)(2.70)

Notes:

1 The above financial statements have been reviewed by the Audit Committee in its meeting held on 30th July, 2020 and then approved by the Board of Directors in its meeting held on 30th July, 2020

7 The figures for the quarter year ended 31 March 2020 and 31 March, 2019 are the balancing figures between the audited figures for the full financial year and the reviewed year to date figures upto the third quarter of the relevant financial year.

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 Obligations and Disclosure Requirements) Regulations, 2015. The full format of the Quarterly and Annual Financial Results is available on the Stock Exchanges website (www.bseindia.com) and Company's website www.monnetgroup.com

For MPDL LIMITED (FORMERLY MONNET PROJECT DEVELOPERS LIMITED)

(Braham Dutt Bhardwaj)

Whole Time Director

Place: New Delhi Date: 30" July 2020

NAGPUR POWER AND INDUSTRIES LIMITED

CIN-L40100MH1996PLC104361

Registered Office: Nirmal, 20th floor, Nariman Point, Mumbai 400 021, Tel # +91 22 2202 3055/66 Fax# +91 22 2204 3162, Email: [email protected], Website: www.nagpurpowerind.com

EXTRACT OF AUDITED FINANCIAL RESULTS FOR THE QUARTER AND YEAR ENDED 31st march, 2020

Amount in Lakhs except earning per share
Sr. STANDALONE CONSOLIDATED
No. PARTICULARS Quarter ended31.03.2020(Audited) Year ended31.03.2020(Audited) 31.03.2019(Audited) Quarter ended Quarter ended31.03.2020(Audited) Year ended31.03.2020(Audited) Quarter ended31.03.2019(Audited)
Total income from operations (net) 0.06 14.88 14.99 773.11 3,082.93 1,252.58
$\overline{2}$ Net Profit /(Loss) for the period(before Tax and Exceptional items) 44.41 (2.49) (9.23) (68.85) (516.57) 132.97
3 Net Profit/(Loss) for the period(before tax and after Exceptional items) 44.41 (2.49) (9.23) (68.85) (516.57) 132.97
4 Net Profit/(Loss) for the period(after tax and after Exceptional items) 36.75 (10.15) (9.23) (76.51) (524.23) 132.97
5 Total Comprehensive Income for the period[Comprising Profit/(Loss) for the period(after tax) and Other ComprehensiveIncome (after tax)] (197.53) (249.29) (14.81) (298.49) (751.07) 115.55
6 Paid-up equity share capital(Face Value of Rs. 10/- per share) 1,309.55 1,309.55 1,309.55 1,309.55 1,309.55 1,309.55
7 Reserves and Surplus (excluding RevaluationReserve) as shown in the audited balancesheet of previous year × a. ×.
8 Earnings Per Share (of Rs. 10/- each)
Basic: 0.28 (0.08) (0.07) (0.58) (4.00) 1.02
Diluted: 0.28 (0.08) (0.07) (0.58) (4.00) 1.02
Profit / (loss) for the period 998.04 2,317.38 1,519.03 5,643.71
Total Comprehensive Income for the period
[Comprising Profit for the period (after tax) and other
Comprehensive Income (after tax)] 979.25 2,320.25 1,513.17 5,602.43
Equity Share Capital 14,137.50 14,137.50 14,137.50 14,137.50
Reserves (excluding Revaluation Reserve as shown
in the Balance Sheet of prevoius year) 13,502.52
Earnings Per share (of Rs.10/- each) (not annualised)
Basic earning per Share (In Rs.) 0.71 1.64 1.07 3.99
Diluted earning per Share (In Rs.) 0.69 1.63 1.07 3.96

The above is an extract of the detailed format of Statement of unaudited Financial Results filed with the Stock Exchanges under Regulation 33 of the SEBI (Listing and Other Disclosure Reguirements) Regulations, 2015. The detailed format of the Statement of unaudited Financial Results are available on the Stock Exchange websites at www.bseindia.com or www.nseindia.com or at company's website at www.digvijaycement.com

By order of the Board

47,209.29

For Shree Digvijay Cement Company Limited

12,033.46

$Sd$

K. K. Rajeev Nambiar

CEO & Managing Director $(DIN: 07313541)$

Regd.Office: Plot No.20, Sector-I, Survey No.64, 4th Floor, HUDA Techno Enclave, Hyderabad - 500 081, Telangana.Phone No.040-23119695 / 40349999 Fax.No.040-40349828.email: [email protected], www.viceroyhotels.in, CIN:L55101TG1965PLC001048VICEROY VICEROY HOTELS LIMITED
EXTRACT OF STANDALONE AND CONSOLIDATED AUDITED FINANCIAL RESULTS FORTHE QUARTER AND YEAR ENDED MARCH 31, 2020. (Rs. In Lakh
Sr.No. PARTICULARS QUARTERENDED31-03-2020Audited QUARTERENDED31-12-2019Unaudited STANDALONEQUARTERENDED31-03-2019Audited YEARENDED31-03-2020Audited YEARENDED31-03-2019Audited CONSOLIDATEDYEARENDED31-03-2020Audited YEARENDED31-03-201Audited
Total Income from Operations 1,954.34 2,655.48 2,388.94 8,836.95 8,853.17 12,696.69 12,551.5
$\overline{2}$ Net Profit / (Loss) for the period (beforeTax, Exceptional and/or Extraordinary items) (648.84) 26.96 (864.23) (724.58) (993.02) (1,514.41) (1,378.26)
3 Net Profit / (Loss) for the period before tax(after Exceptional and/or Extraordinary items) (648.84) 26.96 (864.23) (724.58) (993.02) (1,514.41) (1,378.26)
$\overline{4}$ Net Profit / (Loss) for the period after tax(after Exceptional and/or Extraordinary items) (697.70) (21.91) (927.33) (920.05) (1, 248.97) (1,685.62) (1,575.74)
5 Total Comprehensive Income for the period[Comprising Profit / (Loss) for the period(after tax) and Other ComprehensiveIncome (after tax)] (697.70) (21.91) (927.33) (920.05) (1, 248.97) (1,685.62) (1, 575.74)
6 Equity Share Capital 4,240.52 4,240.52 4,240.52 4,240.52 4,240.52 4,240.52 4,240.5
Reserves (excluding Revaluation Reserve)as shown in the Audited Balance Sheet ofthe previous year
8 Earnings Per Share (of Rs. 10/- each)Basic:Diluted: (1.65)(1.65) (0.05)(0.05) (2.19)(2.19) (2.17)(2.17) (2.95)(2.95) (3.98)(3.98) (3.72)(3.72)

Note:

The above is an extract of the detailed format of Audited Financial Results filed with the Bombay Stock Exchanges under Regulation 33 of the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015. The full format of the Audited Financial Results for the Quarter and Year ended 31" March, 2020 is available on the Bombay Stock Exchange website (www.bseindia.com) and on the Company's website (www.nagpurpowerind.com)

For NAGPUR POWER AND INDUSTRIES LIMITED10:12:00 이 아이들이 이 어머니 이야기를 제 아이를 하니 어떻습니다. 저 사람이 아이들이 어디서 어머니는 어머니께서 어머니는 어렵다.$Sd/-$
Place: MumbaiDate: 30"July 2020 Gautam KhandelwalExecutive Chairman(DIN: 00270717)

KIRLOSKAR OIL ENGINES LIMITED

A Kirloskar Group Company Registered Office : Laxmanrao Kirloskar Road, Khadki, Pune - 411003. CIN: L29120PN2009PLC133351

Enriching Lives

EXTRACT OF STANDALONE AND CONSOLIDATED UNAUDITED FINANCIAL RESULTS FOR THE QUARTER ENDED 30TH JUNE 2020

(As per format prescribed under Annexure I of SEBI Circular no. CIR/CFD/FAC/62/2016 dated 5 July 2016)

(₹ in Crores)

Net Profit / (Loss) for the period (before Standalone Consolidated
Tax, Exceptional and/or Extraordinary items) (648.84) 26.96 (864.23) (724.58) (993.02) $(1,514.41)$ $(1,378.26)$ SI.No. Particulars Quarter ending Year ending Quarter ending Year ending
Net Profit / (Loss) for the period before tax 30-06-2020 30-06-2019 31-03-2020 30-06-2020 30-06-2019 31-03-2020
(after Exceptional and/or Extraordinary items) (648.84) 26.96 (864.23) (724.58) (993.02) $(1,514.41)$ $(1,378.26)$ Unaudited Unaudited Audited Unaudited Unaudited Audited
Net Profit / (Loss) for the period after tax(after Exceptional and/or Extraordinary items) (697.70) (21.91) (927.33) (920.05) Total Income from Operations 320.44 763.65 2,877.48 422.33 901.03 3,379.45
Total Comprehensive Income for the period (1,248.97) $(1,685.62)$ $(1,575.74)$ 2 Net Profit / (Loss) for the period
[Comprising Profit / (Loss) for the period (before tax and Exceptional items) (14.97) 66.77 208.73 (9.24) 71.87 228.25
(after tax) and Other Comprehensive 3 Net Profit / (Loss) for the period
Income (after tax)] (697.70) (21.91) (927.33) (920.05) (1, 248.97) (1,685.62) (1, 575.74) before tax (after Exceptional items) (14.97) 66.77 225.22 (9.24) 71.87 244.74
Equity Share Capital 4,240.52 4,240.52 4,240.52 4,240.52 4,240.52 4,240.52 4,240.52 4 Net Profit / (Loss) for the period
Reserves (excluding Revaluation Reserve) after tax (after Exceptional items) (10.80) 44.11 170.38 (6.73) 47.13 187.89
as shown in the Audited Balance Sheet of 5 Total comprehensive Income for
the previous year the period [Comprising Profit/ (Loss)]
Earnings Per Share (of Rs. 10/- each) for the period (after tax) and Other
Basic: (1.65) (0.05) (2.19) (2.17) (2.95) (3.98) (3.72) Comprehensive Income (after tax)] (10.70) 44.04 168.44 (6.67) 47.06 185.75
Diluted: (1.65) (0.05) (2.19) (2.17) (2.95) (3.98) (3.72) 6 Paid-up equity share capital
(Face value of $\bar{z}$ 2 each) 28.92 28.92 28.92 28.92 28.92 28.92
NOTES:1. The above results have been approved by the Resolution Professional in the meeting held on 29.07.2020. The statutory auditors of the Reserves (excluding RevaluationReserve) as shown in the Audited --
company have carried out auditors report for the Quarter and year ended 31.03.2020. Balance Sheet 1,801.32 -- 1,716.24
2. The above is an extract of the detailed format of Quarterly/Annual Financial Results filed with the Stock Exchanges under Regulation 33of the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015. The full format of the Quarterly Financial Results are 8 Basic and diluted EPS (\bar{\tau})
available on the website of the Stock Exchange(s) and the listed entity. (www.nseindia.com, www.bseindia.com and on the company's (Face value of $\bar{z}$ 2 each)
website: www.viceroyhotels.in.) [not annualized] (0.75) 3.05 11.78 (0.48) 3.22 12.81
P. Prabhakar Reddy M Sreedhar Singh Devraj Govind RajPlace: HyderabadFormer CMDDate: 29-07-2020 CEO Former Director Resolution Professional in the matter ofRegn no.IBBI/IPA-003/IP-N00039/2017-18/10301, Email ID: [email protected] M/s Viceroy Hotels Ltd The above is an extract of the detailed format of Quarterly Financial Results filed with the Stock Exchanges under Regulation 33 othe SEBI (Listing and Other Disclosure Requirements) Regulations, 2015. The full format of the Quarterly Financial Results areavailable on the Stock Exchange websites (www.bseindia.com and www.nseindia.com) and on the Company's website(www.koel.co.in).2 Exceptional item consisted of profit on sale of property situated at MIDC Industrial Estate, Nagapur, Ahmednagar, Maharashtra.3 The above results for the quarter ended 30 June 2020 are reviewed and recommended by the Audit Committee and approved bythe Board of Directors of the Parent Company in their respective meetings held on 30 July 2020 and are subjected to a "LimitedReview" by the Statutory Auditors.
Date : 30 July 2020 Registered Office:Laxmanrao Kirloskar Road, Khadki, Pune - 411 003Place: Pune For KIRLOSKAR OIL ENGINES LIMITEDSdSANJEEV NIMKARManaging Director

• ముగ్గురిలో ఒక్కరి రక్తంలో విషపూరిత రసాయనం

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●యూఎన్ నివేదికలో వెల్లడి

స్యూయార్క్: ఆడుతూపాడుతూ సాగాల్సిన బాల్యం విష వలయంలో

నర్వదా జేమ్స్ అండ్ జూ నేల్లల లిమిటెడ్రిజిష్టర్ ఆఫీస్ : 3~6~291/4/0, 2వ అంతసు, హైదర్గూడ, హైదరాబాద్ – 500029Ph: +91-40-48506411; e-mail:[email protected];Website- www.narbadajewellery.com; CIN: L01222TG1992PLC01417331 మార్చ్, 2020తో ముగిసిన (తైమాసికం మరియు సంవత్సరానికిస్పాందొఅలోన్ ఆడిటిచేసిన ఆర్థిక ఫలితాల సారాంశం (br, v)
వివరాలు GaM35@debasti& zimMassసంవత్సరానికి ZinAfrid@id=hu=08 ముగినినసంవతబానికి
31.03.2020 31.03.2020 31.03.2019 31.03.2019
$ utilitate tool lines service 1153.22 5551.81 916.13 4069.76
$\bar{z}$ muzico trosi nao maultigo)tido, fatili modelo debda/der advertisphonik (booth) 62.43 327.15 67.55 200.19
я ills; 66ar6 wedgid IV66 065 ordu/(520) (fails weight abstable whereainhoe deliced i 62.43 327.15 67.55 200.19
4 ing stund mulgio trol: has now(520) (Σιήιβορούχλο Διδιάωθεν ωδηγιδωphon 80x94) 52.27 243.35 47.90 143.99
5 Položilů (766) Zedo Sági stratno(కాలవునధి కొరకు కంప్రెసింగ్ లాభం/సేపు) సన్నుతమవాత) మరియు ఇతర సమగ జలాయం (వన్నుAGONE 52.27 243.35 47.90 143.99
6 666 per tarodóu 1205.73 1205.73 994.24 994.24
γ గత సంవతచం చెబకు ఆరిటియేన వాటిన్, షీటిలోమాదినట్లుగా జనన ఈకింటే (రవ్వాబ్యూవేషన్ రింగూ)10cm/bidded 795.90 565.76
8 an algorit and the 10 - 24:05)జానసాగుతన్న & నిలిచిపోయిన అవరేషన్స్ కొరకు)--さんBary BS : 0.438.43 2.062.03 0.480.42 1.60131

Kástém

  1. పై ఆరీట్ఎేసిన అర్ధిక ఫలితాలు అడిట్ కమిటీచే సమీక్షించబడినవి మరియు 30 జులై, 2020న నిర్వహించబడిన సమావేశంలో బోర్డు ఆఫ్ මුවමුන් බෞර්ගරනර්ජයි.

  2. కంపెనీల వట్టం, 2013 యొక్క సెక్షన్ 188 క్రింద సర్దేశించిన కంపెనీస్ (జండియన్ అకౌంటింగ్ స్పెండర్స్) రూల్స్, 2015 (జఎన్డ్-ఎఎస్) మనియు ఇండియాలో సాధారణ అసుసరిస్తున్న ఇతర అకౌంటింగ్ అంశాలతో అనుసరించి ఆర్థిక ఫరితాలు సిద్ధం చేయబడినవి.

కె. సెబీ కెల్మింగ్ అక్షగేషన్స్ అండ్ టిగ్అర్లేజర్ రిక్టార్మెనింట్స్) రెగ్ములేషన్స్, 2016 యొక్క రెగ్ములేషన్ 33 క్రింద బిఎస్ఐతో దాఖలుదేయబడిన finha @drhs dobdin doddjerbs ups phone dint; Ddderdis brights frerodo is Ddorr adjd. 31 drby, 2020కో ముగిసిన - జైమాపిక మరియు సంవత్సరానికి అర్ధిక ఫలితాల పూర్తి వివరాలు స్పాక్ ఎక్సేంజీ వెబ్సిటీ: (www.bseindia.com) dibitis tickit zdati (www.narbadajewellery.com) a educati.

the ap sold early
సంజయ్ కుమార్ సంప
సినరణంగ్ దైరెక్టర్

చిక్కుకుంటున్నది. (పభుత్వాల నిర్లక్ష్యానికి చిన్నారులు బలౌతున్నారు. నీరు, గాలి కాలుష్యం ద్వారా చిన్నారుల రక్తంలోకి విషకణాలు (పవేశిస్తున్నాయనీ, (పపంచంలో (పతి ముగ్గురు పిల్లల్లో ఒక్కరు ఈ సమస్యతో బాధపడుతున్నవారేనని ఐక్యరాజ్యసమితి ఆందోళన వ్యక్తం చేసింది. ఈ మేరకు యూనిసెఫ్ ఒక నివేదికను వెలువరించింది. గురువారం ఈ సర్వే వివరాలను వెలడించింది. నివేదికలో పేర్కొన్న దాని బ్రకారం.. (పతి ముగ్గురి పిల్లలకు గానూ

The Deputy Registrar of

Chits/ Arbitrator Under

Chit Fund Act, Kakinada

File No. AACF No. 149 / 2019

Between:Usha Bala Chits Private Limited

(Foremerly known as Usha Bala Chits and Investments (P) Limited Rajahmundry, Represented by its

And Mulagada Venkata Naga Madhavi

Opponent No-4;Mulagada Trivikrama Rao, S/o. M.G.Rama Rao, Male, Age: 47 years, Private Employee, F.No. 1101, Mantri Celestia,

ි බිංහරි සහත් සිරලාබරේ සිංඛර් කර්ම రావలగిన బాకీ రూ. 12,85,268/- కొరకు పై నెంబర్ రావా దాఖలు చేసి వ్రవ్యారు. సరకు దావాలో 4వ అపోరెంట్ అయిన మీ యొక్క హాజరు నిమిత్తం ది 13-08-20205 868 சுவச மைந்தது నెంబర్ రావాలో మీకు అక్రేషణలు వున్నా యెదల ఆరోజు str & 13-08-20205 365 addition 11.00 Suoto hayo bage of 06, am రిజిస్టార్ వారి అఫీసు, కాకినాడ, తూంగోంజీల్లా వారి ఎదుట హాందై తెలియవరచవలెను. లేనియెదల మీ పరోక్షము నందు విచారించి తీర్యానించబడును.

By Order of Deputy Registrar of Chits,

Kakinada

Place: Hyderabad Date: 30-07-2020

Kakinada District Registrar Ofrfice

...Disputant

.Opponents

Asst. Manager/ Foreman

Nanakram Guda, Hyderabad.

M.Narasimha Rao

& Others

ఒక్కరి రక్తంలో న్యూరోట్యాక్సిన్ (సీసం) ఉందని యూఎన్ అంచనా వేసింది. ఇది అతిపెద్ద ఆరోగ్య సంక్షోభమని హెచ్చరించింది. కొన్ని (పారంభ లక్షణాలతో ఇది పిల్లల ఆరోగ్యంపై నెమ్మదిగా దీర్ఘకాలిక (పభావం చూపిస్తుందని తెలిపింది.

భవిష్యత్తులో పిల్లల్లో మూ(తపిండాల, హృ(దోగ సమస్యలకు దారితీసే అవకాశాలున్నాయని పేర్కొంది.

దక్షిణాసియా దేశాల్లో.. దిగువ, మధ్య ఆదాయ దేశాల్లో ఇది ఎక్కువగా ఉన్నదని పివరించింది. పారిశుధ్య నిర్వహణ సరిగా లేకపోవడం, తాగునీటి సరఫరాలో లోపాలు, అందులో రసాయనాలు (పమాదకరమైన స్థితిలో ఉండటం, కారు బ్యాటరీలు, వాహనాల ద్వారా వెలువడే పొగ కారణంగా పిల్లలు దీని బారినపడుతున్నారని తెలిపింది.

ఇది మునుపెన్నడూ చూడని సంక్షోభమనీ, దీనిని (పభుత్వాలు సమర్థవంతంగా ఎదుర్కోకపోతే భారీ మూల్యం చెల్లించుకోకతప్పదని యూనిసెఫ్ ఎగ్జిక్యూటివ్ డైరెక్టర్ హె(నిట్టా ఫొరె ఆందోళన వ్యక్తం చేశారు. అధికాదాయ దేశాల్లో ఈ సమస్య తక్కువగానే ఉన్నా.. అభివృద్ధి చెందుతున్న దేశాలు అత్యంత (పమాదంలో ఉన్నాయని ఆయన తెలిపారు. దీన్ని నివారించడానికి పారిశుధ్య నిర్వహణ సరిగ్గా ఉండాలనీ, కాలుష్యాన్ని తగ్గించేందుకు ఆ రంగంలో పెట్టుబడులు పెరగాలని ఫొరె సూచించారు.

OBJECTONE INFORMATION SYSTEMS LIMITED CIN No: L31300TG1996PLCO23119

Regd. Office: 8-3-988/34/7/2/1&2, Kamalapuri Colony, Srinagar Colony Main Road, Hyderabad - 500 073

Stand alone and Consolidated Statement of Audited Results for the Quarter and period ended 31-03-2020 Dunnee in Inne

Rupees in lacs
SI. Particulars STAND ALONE CONSOLIDATED
No. Quarter Ended Year to Date Year Ended Quarter Ended Year to Date Year Ended
31-03-2020 31-12-2019 31-03-2020 31-03-2019 31-03-2020 31-12-2019 31-03-2020 31-03-2019
(Refer Notes Below) (Audited) (Un-Audited) (Audited) (Audited) (Audited) (Unaudited) (Audited) (Audited)
Total Income from Operations 184.04 238.79 857.59 693.65 595.35 908.29 2807.55 2639.04
$\overline{\mathbf{2}}$ Net Profit / Loss for the period (before Tax, Exceptional items)and Extraordinary items) $-12.53$ 2.93 13.85 38.55 $-24.46$ 5.27 26.19 46.03
$\overline{\mathbf{3}}$ Net Profit / (Loss) for the period before tax(after Exceptionalitems and Extraordinary Items) $-12.53$ 2.93 13.85 38.55 $-24.46$ 5.27 26.19 46.03
4 Net Profit / (Loss) for the period (after Tax, Exceptional items)and Extraordinary items) $-7.26$ 2.85 14.86 40.97 $-17.46$ 4.95 25.35 47.33
5 Total Comprehensive Income for the period(Comprising Profit/Loss)for the period (after tax)and Other Comprehensive Income (after tax) $-7.26$ 2.85 14.86 40.97 $-17.46$ 4.95 25.35 47.33
6 Equity Share Capital 1051.19 1051.19 1051.19 1051.19 1051.19 1051.19 1051.19 1051.19
7 Reserves (excluding revaluation reserve) as shownin the Audited Balance Sheet of the previous year 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00
8 Earnings per equity share - (for Continuing anddiscontinued Operation)1.Basic2.Diluted $-0.0069$$-0.0069$ 0.00270.0027 0.140.14 0.390.39 $-0.0166$$-0.0166$ 0.00470.0047 0.240.24 0.450.45
Notes:1. The above is an extract of the detailed format of Audited Consolidated & Standalone Financial Results filed with the Stock Exchanges

under Regulation 33 of the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015.

  1. The full format of the Audited Financial Results are available on the Stock Exchange Website www.bseindia.com and on the

Company's website (www.objectinfo.com)The figures for the previous period/year have been regrouped/reclassified, wherever necessary

. By Order of the Board
For ObjectOne Information Systems Ltd
$Sd$ -
K. Ravi Shankar
Managing Director

Dt:14-7-2020

BAMBINO AGRO INDUSTRIES LIMITED ₿

CIN NO.L15440TG1983PLC004363 No.4E, Surya Towers, S.P. Road, Secunderabad - 500 003, Telephone No.040-44363332, Fax No +91-40-27816615, Email id [email protected]; Website:www.bambinoagro.com

THE QUARTER AND YEAR ENDED 31st MARCH 2020 Quarter Ended Quarter ended Rs.in lakhsYear ended
SI.No Particulars 31-03-2020Audited 31-03-2019Audited 31-03-2020Audited
Income from Operations 6121.70 6395.75 25239.46
2 Net Profit / (Loss) for the period (before Tax.Exceptional and / or Extraordinary items) 117.27 13.58 1138.22
3 Net Profit / (Loss) for the period before tax.(after Exceptional and /or Extraordinary items) 117.27 13.58 1138.22
4 Net Profit/(Loss) for the period after tax(after Exceptional and /or Extraordinary items) (23.99) (13.51) 831.84
5 Total Comprehensive Income for the period(Comprising Profit/Loss) for the period (after tax)and Other Comprehensive Income (after tax) (23.99) (13.51) 831.84
6 Equity Share Capital 800.88 800.88 800.88
Ÿ. Earnings Per Share (of Rs.10/- each) (not annualised):1. Basic2. Diluted (0.30)(0.30) (0.17)(0.17) 10.3910.39

Notes:

Place: Secunderabad

Date: 30-07-2020

The above is an extract of the detailed format of Audited Financial Results filed with the Stock Exchanges under Regulation 33 of the Securities and Exchange Board of India(Listing Obligations and Disclosure Requirements) Regulations, 2015. The full format of the Audited Financial Results is available on the websites of the Stock Exchanges i.e. www.bambinoagro.com.

For and on behalf of the Board of Directors of BAMBINO AGRO INDUSTRIES LIMITED $Sd/-$ M. KISHAN RAO CHAIRMAN & MANAGING DIRECTOR Din No.02425967

Regd. and Corporate Office: Plot No.38 (part) to 41, Hardware Park, TSIIC Layout, Survey No.1/1, Kancha Imarat, Raviryal

Village, Maheswaram Mandal, Ranga Reddy Dist, Hyderabad - 501 510.

Extract of Standalone & Consolidated Audited Financial Results For the Quarter and Year ended 31st March, 2020.

SI. PARTICULARS Standalone Consolidated
No. Quarter ended Year ended Year ended
$31 - 03 - 2019$$31 - 03 - 2020$ $31 - 03 - 2020$ 31-03-2019 31-03-2020 31-03-2019
Audited Audited Audited Audited Audited Audited
Total Income from operations 64.59 314.83 1,462.04 747.38 1,488.12 813.61
Net Profit / (Loss) for the period(before Tax, Exceptional and / or Extraordinary items) (328.96) (153.51) 802.68 520.66 333.07 (41.78)
з. Net Profit / (Loss) for the period before tax(after Exceptional and / or Extraordinary items) (328.96) (636.93) 802.68 (2,091.86) 340.46 (2, 157.58)
4. Net Profit / (Loss) for the period after tax(after Exceptional and / or Extraordinary items) (360.38) (605.26) 806.07 (2,067.27) 343.85 (2, 132.99)
5. Total Comprehensive income for the period [ Comprising Profit / (Loss) forthe period (after tax) and other comprehensive income (after tax) ] (360.65) (606.78) 805.80 (2,068.79) 342.23 (2, 134.51)
6. Equity share capital (Face value of Rs.10/- each) 1,249.97 1,249.97 1,249.97 1,249.97 1,249.97 1,249.97
Reserve (excluding Revaluation Reserve) as show in the AuditedBalance Sheet of the previous year $***$ 5,712.50 4,906.82 4,647.43 4,316.65
8. Earnings per share (before extraordinary items) (of Rs.10/- each)
(a). Basic (2,88) (4.84) 6.45 (16.54) 2.75 (17.06)
(b). Diluted (2,88) (4.84) 6.45 (16.54) 2.75 (17.06)

Notes:

  1. The above results were reviewed and recommended by the Audit Committee and approved by the Board of Directors of the Company at their meeting held on 30th July, 2020.

  2. The above is an extract of detailed format of Quarterly/Annual Financial Results filed with the Stock Exchanges under regulation 33 of SEBI (Listing and Other Disclosure Requirements) Regulations, 2015. The full format of the Quarterly/Annual Financial Results are available on the Stock Exchange website.i.e. BSE Limited at www.bseindia.com and NSE Limited at www.nseindia.com and on Company' website: www.kernex.in

By order of the Board of Directors For KERNEX MICROSYSTEMS (INDIA) LIMITED $Sd$ M.B. NARAYANA RAJU Whole-Time Director

DIN - 07993925

Place: Hyderabad Date : 30-07-2020

MADHUCON PROJECTS LIMITED

CIN: L74210TG1990PLC011114

Regd. Office: 1-7-70, Jublipura, Khammam-507 003, Telangana.

Extract of Audited Financial Results Standalone for the Quarter and Year Ended 31st March, 2020

QUARTER ENDED YEAR ENDED
SI. PARTICULARS STANDALONE
No. 31.03.2020Audited 31.12.2019Unaudited 31.03.2019Audited 31.03.2020Audited 31.03.2019Audited
Total Income from Operations 24,993.50 14,591.30 19,153.43 55,469.07 68,484.89
$\overline{2}$ Net Profit/(Loss) for the period Before Tax (before Tax,Exceptional and/ or Extraordinary Items) (339.49) (639.38) 1,528.71 (2.487.73) (601.69)
3 Net Profit/(Loss) for the period before tax(after Exceptional and/ or Extraordinary Items) (23,066.49) (639.38) 1,528.71 (25,214.73) (601.69)
4 Net Profit/(Loss) for the period after tax (after and/orExceptional and/or Extraordinary Items) (16, 392.27) (2, 546, 12) 3.189.43 (21.557.75) 1,860.71
5 Total Comprehensive income for the Period [ComprisingProfit / (Loss) for the period (after tax) and otherComprehensive income (after tax) 71.00 34.45 71.00 34.45
l6 Equity Share Capital 737.95 737.95 737.95 737.95 737.95
Reserves (excluding Revalution Reserve) as shownin the Audited Balance sheet of previous year
Earning per share (before extraordinary items) of Rs.1/- each)(a) Basic(b) Diluted (22.21)(22.21) (3.45)(3.45) 4.324.32 (29.21)(29.21) 2.522.52
Notes:The above is an extract of the detailed format for quarterly financial results for the Quarter and Year ended 31st March, 2020filed with the Stock Exchanges under Regulation 33 of the SEBI (Listing and Disclosure Requirements) Regulations, 2015. Thefull format of the quarterly financial results are available on the Stock Exchanges website (www.bseindia.com, www.nseindia.comand on the Company's website www.madhucon.com.) By Order of the BoardSd/- For MADHUCON PROJECTS LIMITED

N.SEETHAIAH

Managing DirectorDIN: 00784491

Anjani Foods Limited

Regd. Office: Vishnupur, B V Raju Marg, Bhimavaram, Andhra Pradesh - 534 202

$(50, 0.50)$

CIN: LOOSTUAP 1983PLC004003
31 మార్చ్, 2020తో ముగిసిన త్రైమాసికం & సంవత్సరానికి ఆర్థిక ఫలితాల సారాంశం

(සබ්බසට් සాර්ජිරෝසයින් මේ"රනීරේ බැංක්රි 21න මනින්රිරාඩ)

వివరాలు ಮುಗಿನಿನಿత్రమాసికం ಮುಗಿನಿನಿతైమాసికం ముగిసినతైమాసికం ముగిసినసంవత్సరం ముగినీనసంవత్సరం
31.03.2020(පයින්ධිවරධා) 31.12.2019(පයිනීජ්යාධර්) 31.03.2019(ස රි න්ධිර්රධ) 31.03.2020(ස ර් ක්රික්ඛ) 31.03.2019(a5a5b55)
ఆపరేషన్ల నుండి పూర్తి ఆదాయం (నికర) 651.47 753.85 578.29 2,754.47 2,331.90
$\overline{2}$ కాలవ్యవధి కొరకు నికర లాభం/(నష్టం) (పన్ను, మినహా యింపుగల మరియు/లేదాఅసాధారణ ఐటెంలకు ముందు) 2.07 23.41 (11.87) 48.95 13.40
3 పస్సుకు ముందు కాలవ్వపధి కొరకు నికర లాభం/(సష్టం) (మినహాయింపుగలమరియు/ లేదా అసాధారణ ఐచెంల తరువాత) 2.07 23.41 (11.87) 48.95 13.40
4 పన్ను తరువాత కాలవ్యవధి కొరకు నికర లాభం/(సష్టం) (మినహాయింపుగల మరియు/లేదా అసాధారణ ఐబెంల తరువాత) (5.51) 7.57 (8.33) 48.36 1.27
5 కాలవువధి కొరకు పూర్తి సమగ్ర ఆదాయం

(పన్ను తరువాత) 7.57 3.03 12.98 66.85 12.63 $6$ algoda siene are arresto 557.78 557.78 558.98 558.98 557.78 గత అకౌంటింగ్ సంవత్సరం యొక్క బ్యాలెన్స్ షీట్ ప్రకారం రివ్యాల్యినేషన్• రిజర్వులు మినహాయించి రిజర్వులు $\star$ $\overline{ }$ $8$ $\omega$ $\approx$ $\omega$ $\omega$ $\omega$ $\approx$ $\omega$ వాటా ఒక్కింటికి రాబడి (ఇపిఎస్) $(0.10)$ $0.14$ $(0.15)$ 0.87 $0.02$ $(a)$ and $(0.10)$ $0.14$ $(0.15)$ 0.87 0.02 (b) డైల్యూటెడ్ $9$ $\omega$ $\approx$ $\omega$ $\omega$ $\omega$ $\omega$ $\omega$ $\omega$ $\approx$ వాటా ఒక్కింటికి రాబడి (ఇపిఎస్) $(0.10)$ $0.14$ $(0.15)$ 0.87 0.02 $(a)$ and 0.02 $(b)$ $g$ $g$ $g$ $g$ $g$ $g$ $g$ $g$ $g$ $(0.10)$ $0.14$ $(0.15)$ 0.87 గమనిక: ెనికీ (లిస్టింగ్ అక్లిగేషన్స్ అండ్ డిస్ఓ్లోజర్ రిక్వైర్మెంట్స్) రెగ్యులేషన్స్, 2015 యొక్కరెగ్యులేషన్ 33 క్రింద స్టాక్ ఎక్చేంజితో దాఖలు చేయబడిన 31 మార్చ్, 2020తో ముగిసిన త్రైమాసికం మరియు ముగిసిన సంవత్సరానికి ఆర్థిక ఫలితాల యొక్క వివరణాత్మక ఫార్మాట్ యొక్క సారాంతం పై పేర్కొన్నవి. 31 మార్చ్, 2020తో ముగిసిన త్రైమాసికం మరియు ముగిసిన సంవత్సరానికి ఆర్థిక ఫలితాల పూర్తి వివరాలు స్టాక్ ఎక్సేంటి వేబ్సెట్: www.bseindia.com పై అందుబాటులో diodrom. బోర్క ఉత్తర్వుల మేరకు భైదేశం: హైదరాబాద్ ఆర్. రవిచంద్రన్ పూర్తికాలక జైరెక్టర్ JD: 30-07-2020

epaper.navatelangana.com

Place: Hyderabad

Date: 30-07-2020