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Marathon Nextgen Realty Ltd Regulatory Filings 2021

Aug 14, 2021

60508_rns_2021-08-14_4376935b-1761-449f-bd93-a64f964b72dc.pdf

Regulatory Filings

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Pa ] Regd. Address : Marathon Futurex, . Mafatlal Mills ————) MARATHON epee eer Marg, Lower Parel (W), umbai - ;

August 14, 2021

To To Dept. of Corporate Services Listing Department P. J. Towers, Dalal Street BKC, Bandra (E) Mumbai 400 001 Mumbai 400 051 Scrip Code: 503101 Symbol: MARATHON

BSE Limited National Stock Exchange of India Limited

Sub: Newspaper Advertisement of Extracts of Un-Audited Financial Results - First Quarter Ended on June 30, 2021

Pursuant to Regulation 47 of the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015, we enclose herewith the copies of Newspaper cuttings of the Un-Audited Financial Results - First Quarter Ended on June 30, 2021; as approved by the Board of Directors of the Company in its meeting held on August 12, 2021 published in "Business Standard" (English Newspaper) and "Mumbai Lakshadeep" (Marathi Newspaper) on August 14, 2021.

This is for your information and record.

Thanking you,

Yours truly,

For Marathon Nextgen Realty Limited

K. S. Raghavan Company Secretary & Compliance Officer Encl:. as above

Marathon Nextgen Realty Ltd. 702, Marathon Max, T= 49122 6724 8484/88 CIN: L65990MH1978PLC020080 Mulund-Goregaon Link Road, Mulund (W) WEB: www.marathon.in Mumbai 400080 E: [email protected] www.marathonnextgen.com

'Le Kridhan Infra Limited

Business Standard MUMBAI 14 AUGUST 2021
'Le Kridhan Infra Limited
\
a,
Regd Office: 203, Joshi Chambers, Ahmedabad Street,
Carnac Bunder, Masjid (East), Mumbai-400 009
STATEMENT OF UNAUDITED RESULTS FOR THE QUARTER ENDED 30TH JUNE, 2021
{Rs in Lacs)
Sr.
No.
Particulars Quarter ended STANDALONE CONSOLIDATED Quarter ended
Year
ended
Year
ended
30.6.2021 306.2020 [31.03.2021 306.2021 30.6.2020 31.03.2021
Unaudited Unaudited Audited Unaudited Unaudited Audited
7 [Total income from Operations 552 zo) 2,741 552] 20 2,744
Extraordinary items) 2_ Net Profit / (Loss) for the period (before Tax, Exceptional and/or "17 "55 "111 "21 -62 "140
3_ Net Profit/ (Loss) for the period before tax (after Exceptional and/or
Extraordinary items) including profit(loss) from associate
@_ Net Profit / (Loss) for the period after tax (after Exceptional and/or
"7 "55 "767 "21 62 B08
Extraordinary items)including profit(loss) from associate "18 "56 TTA "312-192 "2.227
(after to] including profit(loss) from associate
6 [Equity Share Capital
5_ Total Comprehensive Income for the period [Comprising Proft/
(Loss) for the period (after tax) and Other Comprehensive income
"18
1,896
"56
1,896
TTA
7898 1,896
"312 )-192
1,896
2aaT
1,896
7_[ Reserves (excluding Revaluation Reserve) as stiown in the Audited
Balance Sheet of the previous year 8 [Eamings Per Share (of Rs. 2/- each) (for continuing and 10,840 9,831
discontinued operations) 1, Basic "0.02 0.06 0.82 0.33] -0.20 235
2. Diluted Notes = 1.As informed earlier, the subsidiary Company at Singapore viz. Readymade Steel Singapore Pte. Ltd., is under liquidation process. Hence, due to 0.02 0.06] 0.82 0.33] -0.20 2.35
financials of the Company non-availability of the figures for the quarter ended 30th June, 2021, the same have not been considered for the purpose of the consolidated financial
results. Accordingly, the Consolidated figures for the Quarter ended 30th June, 2021 includes only the Indian subsidiary's figures. As already informed
in the eartier quarters, as a matter of prudence, the Company has, already impaired its investments and loans outstanding in the said subsidiary
Readymade Steel Singapore Pte. Ltd, in its standalone financials. In view of the same, there will be no material impact of the said liquidation on the
2 The above is an extract of the detailed format of quarterly Financial Results filed with the Stock Exchanges under Regulation 33 of the SEBI (Listing
and Other Disclosure Requirements) Regulations, 2015, The full format of the quarterly Financial Results are available on the Stock Exchange website
www bseindia.com & www.nseindia.com. and our Company's website www kridhan.com
Place : Mumbai
Date : 13-08-2021
For and on behalf of the Board of Directors
Kridhan Infra Limited
Anil Dhanpatlal Agrawal
Managing Director
Sd/-
DIN-00360114
GENCO
Maheresitra State Power Generation Co. Ltd
NOTICE-SRN-38
Following Tenders are published on https://eprocurement.mahagenco.in
No. Sr. E-Tender No. Subject EMD/Estimated
1 210MW/CHP/ Annual years contract for cleaning & allied works of Rs.123295.23/-
T-381 / RFX- augmentation plant after crusher area reversible & Rs.11979523.65/-
Value
3000021440 feeding belt area along with crusher house area,
conveyor area, junction tower, impactor crusher, wobbler
feeder area in CHP 210MW.

25

NOTICE-SRN-38 GENCO

SASHWAT TECHNOCRATS LIMITED CIN = L24220MH1975PLC018682

Registered Office: Office No. 14, First Floor, Plumber House, 557, J.8.8. Road, Chira Bazar, Mumbai - 400002 E — Mail Id: [email protected] Contact No.: 22016021/22016031

Notice is hereby given that the 45" Annual General Meeting of the Company will be held on Monday, 6" day of September, 2021 at 11.30 a.m. at the Registered Office of the Company at Office No. 14, First Floor, Plumber House, 557, J.S.S. Road, Chira Bazar, Mumbai — 400002 to transact the business as set out in the Notice dated 28" June, 2021.

In accordance with Section 108 of the Companies Act, 2013 read with Companies (Management & Administration) Rules, 2014; the item of the business to be transacted at the meeting may be transacted through voting by electronic means for which the Company has entered into an Agreementwith the National Securities Depository Limited.

The Register of Members and Share Transfer Books of the Company will remain closed from 30" August, 2021 to 5" September, 2021 for the purpose of the Annual General Meeting.

5_ Total Comprehensive Income for the period [Comprising Proft/
"18
(Loss) for the period (after tax) and Other Comprehensive income
(after to] including profit(loss) from associate
"56 TTA "312 )-192 2aaT
6 [Equity Share Capital
1,896
1,896 7898 1,896 1,896 1,896
7_[ Reserves (excluding Revaluation Reserve) as stiown in the Audited
Balance Sheet of the previous year
10,840 9,831
8 [Eamings Per Share (of Rs. 2/- each) (for continuing and
discontinued operations) 1, Basic
"0.02
0.02
2. Diluted
0.06
0.06]
0.82
0.82
0.33] -0.20
0.33] -0.20
235
2.35
Notes = 1.As informed earlier, the subsidiary Company at Singapore viz. Readymade Steel Singapore Pte. Ltd., is under liquidation process. Hence, due to
non-availability of the figures for the quarter ended 30th June, 2021, the same have not been considered for the purpose of the consolidated financial
results. Accordingly, the Consolidated figures for the Quarter ended 30th June, 2021 includes only the Indian subsidiary's figures. As already informed
in the eartier quarters, as a matter of prudence, the Company has, already impaired its investments and loans outstanding in the said subsidiary
Readymade Steel Singapore Pte. Ltd, in its standalone financials. In view of the same, there will be no material impact of the said liquidation on the
financials of the Company
2 The above is an extract of the detailed format of quarterly Financial Results filed with the Stock Exchanges under Regulation 33 of the SEBI (Listing
and Other Disclosure Requirements) Regulations, 2015, The full format of the quarterly Financial Results are available on the Stock Exchange website
www bseindia.com & www.nseindia.com. and our Company's website www kridhan.com
For and on behalf of the Board of Directors
Kridhan Infra Limited
Place : Mumbai
Date : 13-08-2021
Sd/-
Anil Dhanpatlal Agrawal
Managing Director
DIN-00360114
NOTICE-SRN-38
GENCO
Maheresitra State Power Generation Co. Ltd
Following Tenders are published on https://eprocurement.mahagenco.in
Sr. E-Tender No.
Subject
No.
EMD/Estimated
Value
1 210MW/CHP/ Annual years contract for cleaning & allied works of Rs.123295.23/-
T-381 / RFX- augmentation plant after crusher area reversible & Rs.11979523.65/-
3000021440 feeding belt area along with crusher house area,
conveyor area, junction tower, impactor crusher, wobbler
feeder area in CHP 210MW.
210MW/CHP/ Annual contract for cleaning & allied works of stage-Il Rs.119476.75/-
T-382 / RFX- plant upto crusher area, reclaiming belts area along with Rs.11597675.25/-
2
3000021441 feeder areas in CHP, 210MW.
3 660MW/AHP? Procurement of Spares Required for Double Roll Clinker
_Rs.30792.50/-
T-383 / RFX- Grinder for Overhaul of Unit at AHP, 3x660 MW units at} Rs.2729250.34/-
3000021533 KTPS, Koradi.
660MW/BM/ Supply and Erection of Metallic Expansion Joints in hot
Rs.38094/-
4
T-384 / RFX- PA ducts during Unit-9 overhaul at 3x660 MW KTPS,
Rs.3459400/-
3000021556 Koradi.
FORANY QUERIES CONTACT: EXECUTIVE ENGINEER (PURCHASE), KTPS, KORADI,
NAGPUR.
MOBILE NO.: +91-8411958622, E-MAILID: [email protected]
CHIEF ENGINEER (O&M)
MAHAGENCO, KTPS, KORADI.
SHREYAS INTERMEDIATES LIMITED
o__ Ls
(CIN:L24120PN1989PLC145047)
=
Redg. Office : Plot No. D-21-D-24, MIDC, Industrial Estate, Lote Parshuram,

Tal. Khed, Dist. Ratnagiri-415 722 Phone No. (02356) 272 471;
Email Id : [email protected] ; Website : www.shreyasintermediates.co.in
Extract of Un-audited Financial Results for the
Quarter and Year Ended on 30% Jun 2021
Rs. in Lakhs)
Sr.
7
No.
Particulars
Current Year Previous Year Quarter ending Quarter ending Year Ended
1 Total Income from Operations (Unaudited) 30.06.2021 30.06.2020 (Unaudited) audited)
12.56 12.00 57.83
Net Profit / (Loss) for the period (36.66) (31.11) (146.73)
2 (before Tax, Exceptional and / or Extraordinary items)
Net Profit / (Loss) for the period before tax
3 (after Exceptional and / or Extraordinary items
)
(36.66) (31.11) (146.73)
Net Profit / (Loss) for the period after tax
4 (after Exceptional and / or Extraordinary items*)
(36.66) (31.11) (146.73)
Total Comprehensive Income for the period
5 [Comprising Profit / (Loss) for the period (after tax) and
Other Comprehensive Income (after tax)]
- - -
6 Equity Share Capital 7,085.39 7,085.39 7,085.39
7 Reserves (excluding Revaluation Reserve) as shown in
the Audited Balance Sheet of the previous year
(5,090.49)
_—
Earnings Per Share (of Rs. 1/- each)
(for continuing & discontinued operations)-
8. Ty Basic:
(0.01) (0.00) (0.21)

Purva Sharegistry (India) Private Limited

RESPONSIVE INDUSTRIES LIMITED Wy GIN No. : L65100MH1982PLC027797 Regd. Office : Village Betagaon, Mahagaon Road, Boisar - East, Dist. Palghar - 401 501. Email Id: [email protected] | Website: www.responsiveindustries.com Tel No. : 022-66562821 | Fax No. : 022-66562798

The E-Voting period begins at 9.00 a.m. on 3" September, 2021 and ends at 5.00 p.m. on 5" September, 2021. Members of the Company, holding shares either in physical form or in dematerialized form, as on the cut-off date of 30th August, 2021, may cast their vote electronically. Any person, who acquires Shares of the Company and becomes a Member of the Company after dispatch of the notice and holding Shares as of the cut-off date of 30" August, 2021 may contact the Company's Registrar, M/s Purva Sharegistry (India) Private Limited. The Members cannot exercise E-Voting on the Resolutions after 5.00 p.m. on 5" September, 2021. The Members who have not cast their vote by E-Voting can exercise their voting rights at the AGM. The Company will make arrangements of Ballot Papers in this regards at the AGM Venue. The Members who have cast their vote by E-Voting prior to the AGM may also attend the AGM but shall not be entitled to cast their vote again. The detailed procedure and instructions for e-voting are contained in the Notice of the AGM.

Extract of Consolidated Unaudited Financial Results for the Quarter ended June 30, 2021 Rs in lakhs)

the Audited Balance Sheet of the previous year _—
Earnings Per Share (of Rs. 1/- each)
(for continuing & discontinued operations)-
8. Ty Basic: (0.01) (0.00) (0.21)
2. Diluted: (0.01) (0.00) (0.21)
1. The above results were reviewed by the Audit committee in its meeting held on August 12, 2021 and
have been approved by the Board of Directors In Its meeting held on the above said date. The auditors
of the Company have carried out the limited audit of the same.
For Shreyas Intermediates Ltd. For and on behalf of Board of Directors
Sd/-
Date : 12" August, 2021 Suryaprakash Pande
Vv Pireator
v
Place : Mumbai DIN 1898839
CIN - L65990MH1978PLC020080
Regd.Office : Marathon Futurex, N.M. Joshi Marg,
Lower Parel (West), Mumbai 400 013.
EXTRACT OF UN-AUDITED FINANCIAL RESULTS FOR THE QUARTER ENDED
=a td
sr Standalone Consolidated (= In lakhs - Except EPS)
Particular: Quarter Year Quarter Quarter Year Quarter
No, articulars ended ended ended ended ended ended
2021 30 June 31 March 30 June
2021
2020 2021 2021 30 June 31 March 30 June
2020
Un-Audited Audited Un-Audited Un-Audited) Audited Un-Audited
1__ Totalrevenue from operations 1,087.66 5,439.23] 1,479.24 3,535.01 20,554.64 5,867.22
2__ OtherIncome 615.42 1,869.61 289.76 888.62] 1,760.06 270.52
3 Net Profit/(Loss) forthe period
(before tax and Exceptional items)
4 Net Profit/(Loss) for the period before tax
411.33 2,965.29 826.04 311.23] 3,210.32] 1,293.89
(after Exceptional items) 411.33 2,965.29 826.04 311.23] 3,210.32] 1,293.89
5 _ Net Profit/(Loss) for the period After Tax (407.58) 2,841.86] 1,287.12 435.15] 1,519.10 1,136.55
6 Total Comprehensive Income for the period
[Comprising Profit / (Loss) for the period (after tax)
and Other Comprehensive Income (after tax)]
(402.24) 2,863.23] 1,28420 444.29 1,558.95 1,192.92
7 __ Equity Share Capital 2,300.00 2,300.00] 2,300.00] 2,300.00] 2,300.00] 2,300.00
8 _ Eaming Per Share {of Rs. 5 /-each)
a) Basic EPS {0.8860} 6.1780] 2.7981 0.9460] 3.3024] 2.4708
b) Diluted EPS (0.8860) 6.1739 2.7981 0.9453 3.3002 2.4708
The above results were reviewed by the Audit Committee and taken on record by the Board of Directors at their meeting held on
August 12,2021.
The above extract of the detailed format of Quarterly Financial Results filed with the Stock Exchange under Regulation 33 of the
Exchange website
SEBI (Listing and Other Disclosure Requirements) Regulations,2015. The full format of the Quarterly Financial Results are
available of the Stock
www.bseindia.com, www.nseindia.com and Company's website www.marathonnextgen.com.
3 The figures of the quarter ended March 31,2021 are the balancing figures between audited figures in respect of the full financial
year and the unaudited published year to date figures up to the third quarter of the respective financial year.
For MARATHON NEXTGEN REALTY LTD
Sd/-
Place : Mumbal CHETAN R SHAH CHAIRMAN AND MANAGING DIRECTOR
Notes:
1
2
25
RESPONSIVE INDUSTRIES LIMITED
GIN No. : L65100MH1982PLC027797
RESPONSIVE
Wy
Regd. Office : Village Betagaon, Mahagaon Road, Boisar - East, Dist. Palghar - 401 501.
Email Id: [email protected] Website: www.responsiveindustries.com
Tel No. : 022-66562821 Fax No. : 022-66562798
Extract of Consolidated Unaudited Financial Results for the Quarter ended June 30, 2021
Rs in lakhs)
Particulars 30.06.2021 Quarter ended Quarter ended Quarter ended Year ended
31.03.2021
30.06.2020 31.03.2021
Unaudited Audited Unaudited Audited
Total Income from operations 17,624.07 20,726.63 15,392.60 75,571.23
Net profit from ordinary activities before tax (248.11) 1,518.93 367.27 1,489.15
Net profit from ordinary activities after tax (270.08) 1,176.56 707.01 2,440.50
Net profit for the period after tax and Other Comprehensive Income 574.04 2,837.79 817.40 4,119.10
Equity Share Capital 2,624.95 2,624.95 2,624.95 2,624.95
Eamings per share (before extraordinary items) of Re. 1/-each
(not annualised):
(a) Basic
(b) Diluted
{0.10)
(0.10)
0.45
0.45
0.31
0.31
1.54
1.54
Rs In lakhs)
Quarter ended Quarter ended Quarter ended Year ended
Particulars 30.06.2021
Unaudited
31.03.2021
Audited
30.06.2020 31.03.2021
Unaudited Audited
Income from operations 6,636.63 10,809.05 4,471.43 36,624.56
Net Profit before tax 243.75 396.78 (1,315.29) 1,180.47
(a) Basic
{0.10)
0.45
0.31
1.54
0.45
0.31
(b) Diluted
(0.10)
1.54
Rs In lakhs)
Quarter ended Quarter ended Quarter ended Year ended
Particulars
30.06.2021
31.03.2021
30.06.2020 31.03.2021
Unaudited Audited
Audited
Unaudited
4,471.43 36,624.56
Income from operations
6,636.63
10,809.05
243.75
396.78
(1,315.29)
1,180.47
Net Profit before tax
Net Profit after tax and Comprehensive Income
174.70
160.34
(989.60)
734.92
Note 1: The above is an extract of the detailed format of Unaudited Standalone and Consolidated Financial Results for the quarter
ended June 30, 2021, filed with the Stock Exchanges under Regulation 33 of the SEBI (Listing Obligations and Disclosure
Requirements) Regulation, 2015. The full format of Unaudited Standalone and Consolidated Financial Results for the quarter ended
June 30, 2021 is available on the Stock Exchange Websites, www.nseindia.com and www.bseindia.com and on the Company's website
For Responsive Industries Limited
Mehul Vala
Whole-Time Director & CEO
Date : August 13, 2021
DIN No. : 08361696
(not annualised):
www.responsiveindustries.com.
Place : Mumbai
oe Ce Sm eA
AJCON GLOBAL SERVICES LIMITED
RL COROT Cr At ae ee
ew creed
AJCON GLOBAL Pea @ tc Ty
Website : www.ajcononline.com Email : [email protected]
CCE
Western Express Highway, Goregaon (E}, Mumbai-400063.
REL OR eee aU
For Responsive Industries Limited
Mehul Vala
Place : Mumbai Whole-Time Director & CEO
Date : August 13, 2021 DIN No. : 08361696

Tal. Khed, Dist. Ratnagiri-415 722 Phone No. (02356) 272 471;
Email Id : [email protected] ; Website : www.shreyasintermediates.co.in
Extract of Un-audited Financial Results for the
Quarter and Year Ended on 30% Jun 2021
Sr.
No.
7
Particulars
Current Year Previous Year
Quarter ending Quarter ending Year Ended
30.06.2021 30.06.2020
(Unaudited)
(Unaudited) Rs. in Lakhs)
audited)
1 Total Income from Operations 12.56 12.00 57.83
Net Profit / (Loss) for the period
2 (before Tax, Exceptional and / or Extraordinary items*)
(36.66) (31.11) (146.73)
Net Profit / (Loss) for the period before tax
3 (after Exceptional and / or Extraordinary items*)
(36.66) (31.11) (146.73)
Net Profit / (Loss) for the period after tax
4 (after Exceptional and / or Extraordinary items*)
(36.66) (31.11) (146.73)
Total Comprehensive Income for the period
5 [Comprising Profit / (Loss) for the period (after tax) and
Other Comprehensive Income (after tax)]
- - -
6 Equity Share Capital 7,085.39 7,085.39 7,085.39
7 Reserves (excluding Revaluation Reserve) as shown in
the Audited Balance Sheet of the previous year
(5,090.49)
_—
Earnings Per Share (of Rs. 1/- each)
(for continuing & discontinued operations)-
8. Ty Basic: (0.01) (0.00) (0.21)
have been approved by the Board of Directors In Its meeting held on the above said date. The auditors
of the Company have carried out the limited audit of the same.
Date : 12" August, 2021
Place : Mumbai
Vv Pireator For Shreyas Intermediates Ltd.
Sd/-
Suryaprakash Pande
DIN 1898839
For and on behalf of Board of Directors
v
CIN - L65990MH1978PLC020080
Regd.Office : Marathon Futurex, N.M. Joshi Marg,
Lower Parel (West), Mumbai 400 013.
EXTRACT OF UN-AUDITED FINANCIAL RESULTS FOR THE QUARTER ENDED =a td
sr Standalone Consolidated (= In lakhs - Except EPS)
No, Particular:
articulars
Quarter
ended
2021
Year
ended
30 June 31 March 30 June
2021
Quarter
ended
2020
Un-Audited Audited Un-Audited Un-Audited) Audited Un-Audited
Quarter
ended
2021
Year
ended
30 June 31 March 30 June
2021
Quarter
ended
2020
1__ Totalrevenue from operations 1,087.66 5,439.23] 1,479.24 3,535.01 20,554.64 5,867.22
2__ OtherIncome
3 Net Profit/(Loss) forthe period
615.42 1,869.61 289.76 888.62] 1,760.06 270.52
(before tax and Exceptional items) 411.33 2,965.29 826.04 311.23] 3,210.32] 1,293.89
  • 1 The above results were reviewed by the Audit Committee and taken on record by the Board of Directors at their meeting held on August 12,2021.
  • 2 The above extract of the detailed format of Quarterly Financial Results filed with the Stock Exchange under Regulation 33 of the SEBI (Listing and Other Disclosure Requirements) Regulations,2015. The full format of the Quarterly Financial Results are available of the Stock Exchange website www.bseindia.com, www.nseindia.com and Company's website www.marathonnextgen.com.
  • 3 The figures of the quarter ended March 31,2021 are the balancing figures between audited figures in respect of the full financial year and the unaudited published year to date figures up to the third quarter of the respective financial year.

For MARATHON NEXTGEN REALTY LTD

Sd/-
Place : Mumbal CHETAN R SHAH
Date : August 12, 2021 CHAIRMAN AND MANAGING DIRECTOR
ends at 5.00 p.m. on 5" September, 2021. Members of the Company, (b) Diluted (0.10) 0.45 0.31 1.54
holding shares either in physical form or in dematerialized form, as on the
cut-off date of 30th August, 2021, may cast their vote electronically. Any
person, who acquires Shares of the Company and becomes a Member of
Rs In lakhs)
the Company after dispatch of the notice and holding Shares as of the Quarter ended Quarter ended Quarter ended Year ended
cut-off date of 30" August, 2021 may contact the Company's Registrar,
M/s Purva Sharegistry (India) Private Limited. The Members cannot
Particulars 30.06.2021
Unaudited
31.03.2021
Audited
30.06.2020 31.03.2021
Unaudited Audited
exercise E-Voting on the Resolutions after 5.00 p.m. on 5" September, Income from operations 6,636.63 10,809.05 4,471.43 36,624.56
2021. The Members who have not cast their vote by E-Voting can exercise Net Profit before tax 243.75 396.78 (1,315.29) 1,180.47
their voting rights at the AGM. The Company will make arrangements of
Ballot Papers in this regards at the AGM Venue. The Members who have
Net Profit after tax and Comprehensive Income 174.70 160.34 (989.60) 734.92
cast their vote by E-Voting prior to the AGM may also attend the AGM but Note 1: The above is an extract of the detailed format of Unaudited Standalone and Consolidated Financial Results for the quarter
ended June 30, 2021, filed with the Stock Exchanges under Regulation 33 of the SEBI (Listing Obligations and Disclosure
shall not be entitled to cast their vote again. The detailed procedure and
instructions for e-voting are contained in the Notice of the AGM.
Requirements) Regulation, 2015. The full format of Unaudited Standalone and Consolidated Financial Results for the quarter ended
Notice of the AGM is also available on NSDL Website at June 30, 2021 is available on the Stock Exchange Websites, www.nseindia.com and www.bseindia.com and on the Company's website
www.evoting.nsdl.com. For detailed Instructions and/or for any www.responsiveindustries.com.
grievances pertaining to e-voting, shareholders may get in touch with the
following:
For Responsive Industries Limited Mehul Vala
National Securities Depository Limited Place : Mumbai
Date : August 13, 2021
Whole-Time Director & CEO
Name: Amit Vishal/ Pallavi Mhatre
Designation: Sr. Manager/ Manager, Address: Trade Word,
DIN No. : 08361696
4th & 5th Floor, Kamala Mills Compound, Lower Parel, Mumbai - 400013
Tel No. 022 -24994545 Email id: [email protected]
Purva Sharegistry (India) Private Limited
Name: Purva Shah
Designation: Director, Address: 9, Shiv Shakti Ind, Estate, J.R Boricha
Marg, Lower Parel (East), Mumbai— 400011 Tel No. 022 - 23016761 Ce Sm eA AJCON GLOBAL SERVICES LIMITED
Emall Id: [email protected]
Sashwat Technocrats Limited
oe CCE REL OR eee aU
RL
COROT Cr At ae ee
Western Express Highway, Goregaon (E}, Mumbai-400063.
Name: Akshar Jagdish Patel, Designatlon: Company Secretary & AJCON GLOBAL Pea @ tc Ty ew creed
Website : www.ajcononline.com Email : [email protected]
Compliance Officer, Address: Office No. 14, First Floor, Plumber House,
557, J.S.S. Road, Chira Bazar, Mumbai — 400002 Tel No. 022- 22016021
"Stock Brokers # DP "Merchant Bankers § Corporate Advisors
Emall Id: [email protected] FOR SASHWAT TECHNOCRATS LIMITED Extract of Unaudited Consolidated Financial Results for the Quarter Ended June 30, 2021
Sdl- Sn Particulars Quarter Ended (Rs. In Lakhs)
Year Ended
Place : Mumbai Manish Jakhalia No, 30.06.2021 30.06.2020 31.03.2021 31.03.2021
Date :12.08.2021 Director (DIN: 01847156) 1. Total Income from Operations Unaudited Unaudited __ Audited Audited
4783.16
2 Net Profit / (Loss) for the period (before Tax, 469.15 534.16 659.96]
IN LAN D PRI NTERS LI M ITED Exceptional and/or Extraordinary items)
3 Net Profit / (Loss) for the period before tax
66.18 90.71 29.31 156.61
res
Regd.Off : 800, Sangita Ellipse, Sahakar Road, Vile Parle (East), Mumbal - 400057
Tel No.:022-40462500 , Emall Id: [email protected]
(after Exceptional and/or Extraordinary items)
4.]Net Profit / (Loss) for the period after tax
66.18 90.71 29.31 156.61
ILU CIN: L99999MH1978PLC020739 an ceria st cua) {after Exceptional and/or Extraordinary items) 64.97 7742 30.74 156.82
ke a
IRS
ENDED 30TH JUNE, 2021 - [otal Comprehensive Income for the period
[Comprising Profit / (Loss) for the period
t
a
a (after tax) and Other Comprehensive Income
Particulars Quarter ended ie rand Gian
30.06.21 31.03.2021 30.06.2020 31.03.21
(after tax)]
+
6.) Equity Share Capital
64.54
611.62}
75,94
611.62)
32.68
611.62)
156.47
611.62
Total Income from operation /Other income (Un-audited) (Audited) (Unaudited) (Audited)
~
~ 7. (Face Value per share)
8. Reserves (excluding Revaluation Reserve)
10/- 10/- 10/- 10/-
Net Profit (Loss) for the period after Tax as shown in the Audited Balance Sheet of
(before Extraordinary Items)
Net Profit (Loss) for the period after Tax
(6,11,678) (5,50,808) (43,628) (11,83,727) the previous year
Earnings Per Share (of Rs. 10/- each) —
1277.36
(after inary items)
Paid-up Equity Share Capital
(611,678) — (5,50,808)
1,52,96,100 1,52,08,100 1,52,96,100 1,52,96,100
(43,628) (11,883,727) (for continuing and discontinued operations)
(Basic & Diluted)
1.06 1.24 0.53 2.56
Reserves (Excluding Revaluation Reserves ) - - - (2,18,39,890) 1. The above is an extract of the detailed format of Unaudited Financial Results for the quarter ended
Eamings Per Share (EPS) June 30, 2021 filed with the Stock Exchanges under Regulation 33 of the SEBI (Listing and Other
a alte ena ahary tame) ('Not Annuallsed) (0.42) (0.38) (0.03) (0.82) Disclosure Requirements) Regulations, 2015. The full format of Uaudited Financial Results forthe quarter
Note: b) Basic and diluted EPS (after Extraordinary items) (0.42) (0.38) (0.03) (0.82) ended June 30, 2021 are available on the websites of the Stock Exchange(s) i.e. www.bseindia.com
and on Company's website i.e. www.ajcononline.com
1) The above results have been reviewed by the Audit Committee and approved by the Board of Directors of the 2. Brief of Unaudited Standalone Financial Results for the Quarter ended June 30, 2021 is as follows:
company at their respective meetings held on 12th August, 2021.
2) The Equity Shares of the Company have been consolidated from 5 shares of Rs.2/- sach to 1 Equity Share of Rs.
(Rs. In Lakhs
10/- each fully pald up from 12th April, 2021. The Eaming Per Share for previous periods have also been adjusted
3) Tera ed penta ended 31.03.2021 have been arrived at by deducting the published figures up to the
Sr. Particulars Quarter Ended Year Ended
3rd Quarter ending 31.12.2020 from tha audited figures of the financial year ended 31.03.2021. No, Unaudited Unaudited 30.06.2021 30.06.2020 31.03.2021 31.03.2021
Audited
Audited
Is an extract of the detalled format of
4) The above
) Regulation soot the SEBI (sting 'and Other Dieddosure Hoquirererts) Regulations, 201 ¢ The full fornat of the
quarterly financlal results tlled with the Stock Exch: nd 1. i
Income from Operations
453.82 504.18 664.47 4707.61
Quarterly Financlal Results are avaliable on the stock exchange webstte - www.bselndla.com and on Company's
Website - www.inlandprintere.in
3_ Profit Before Tax
Profit After Tax
61.48
61.48
79,22
67.65
39.74 153.92
39.26] _ 154.67
By order of the Board
For iland Printers Limited
Fi For Ajcon Global Services Limited
,
Sa Ashok Ajmera
Place: Mumbai Date: August 13, 2021 Nitin Katare
Director
Date : 13.08.2021
Place : Mumbai
Managing Director
DIN:00812092
nx MT DIGITAL LIMITED
(FORMERLY KNOWN AS HINDUJA VENTURES LIMITED)
Regd. Office : IN CENTRE, 49/50, MIDC, 12th Road, Andheri (E), Mumbai 400 093
CIN: L51900MH1985PLC036896, Website: www.nxtdigital.co.in, Email ID: [email protected]
EXTRACT OF STANDALONE AND CONSOLIDATED FINANCIAL RESULTS FOR THE QUARTER ENDED 30TH JUNE, 2021
(Zin Lakh)
ST CU Ee eee ces
" Particulars 30th June, Quarter Ended
31st March,
Year Ended
30th June,
31st March,
30th June, Quarter Ended
31st March,
30th June, Year Ended
31st March,
exercise E-Voting on the Resolutions after 5.00 p.m. on 5" September,
2021. The Members who have not cast their vote by E-Voting can exercise
their voting rights at the AGM. The Company will make arrangements of
Name: Amit Vishal/ Pallavi Mhatre
Purva Sharegistry (India) Private Limited
Emall Id: [email protected]
ke a
IRS
t
Total Income from operation /Other income ~ ~
Earnings Per Share (of Rs. 10/- each) —
Net Profit (Loss) for the period after Tax (for continuing and discontinued operations)
inary items)
(after
(611,678) — (5,50,808) (43,628) (11,883,727)
Note: and on Company's website i.e. www.ajcononline.com
2) The Equity Shares of the Company have been consolidated from 5 shares of Rs.2/- sach to 1 Equity Share of Rs.
Place: Mumbai Date: August 13, 2021 Nitin Katare
Director
Date : 13.08.2021
Place : Mumbai
nx MT DIGITAL LIMITED
(FORMERLY KNOWN AS HINDUJA VENTURES LIMITED)
Regd. Office : IN CENTRE, 49/50, MIDC, 12th Road, Andheri (E), Mumbai 400 093
CIN: L51900MH1985PLC036896, Website: www.nxtdigital.co.in, Email ID: [email protected]
EXTRACT OF STANDALONE AND CONSOLIDATED
following:
National Securities Depository Limited
Name: Purva Shah
Emall Id: [email protected]
Sashwat Technocrats Limited
res
ILU
Net Profit (Loss) for the period after Tax
Tel No. 022 -24994545 Email id: [email protected] instructions for e-voting are contained in the Notice of the AGM.
Designation: Sr. Manager/ Manager, Address: Trade Word,
4th & 5th Floor, Kamala Mills Compound, Lower Parel, Mumbai - 400013
Marg, Lower Parel (East), Mumbai— 400011 Tel No. 022 - 23016761
ENDED 30TH JUNE, 2021
Ballot Papers in this regards at the AGM Venue. The Members who have
cast their vote by E-Voting prior to the AGM may also attend the AGM but
shall not be entitled to cast their vote again. The detailed procedure and
Notice of the AGM is also available on NSDL Website at
www.evoting.nsdl.com. For detailed Instructions and/or for any
grievances pertaining to e-voting, shareholders may get in touch with the
Designation: Director, Address: 9, Shiv Shakti Ind, Estate, J.R Boricha
Name: Akshar Jagdish Patel, Designatlon: Company Secretary &
IN LAN D PRI NTERS LI M ITED
Tel No.:022-40462500 , Emall Id: [email protected]
Place : Mumbai
an ceria st cua)
Date : August 13, 2021 www.responsiveindustries.com.
oe
AJCON GLOBAL Pea @ tc Ty
Extract of Unaudited Consolidated Financial Results
2 Net Profit / (Loss) for the period (before Tax,
3 Net Profit / (Loss) for the period before tax
4.]Net Profit / (Loss) for the period after tax
- [otal Comprehensive Income for the period
[Comprising Profit / (Loss) for the period
(after tax) and Other Comprehensive Income
8. Reserves (excluding Revaluation Reserve)
as shown in the Audited Balance Sheet of
3rd Quarter ending 31.12.2020 from tha audited figures of the financial year ended 31.03.2021. Unaudited Unaudited Audited
4) The above Is an extract of the detalled format of
quarterly financlal results tlled with the Stock Exch:
) Regulation soot the SEBI (sting 'and Other Dieddosure Hoquirererts) Regulations, 201 ¢ The full fornat of the
nd 1. i
Income from Operations
453.82 504.18 664.47
Quarterly Financlal Results are avaliable on the stock exchange webstte - www.bselndla.com and on Company's Profit Before Tax 61.48 79,22 39.74
Website - www.inlandprintere.in By order of the Board Profit After Tax
3_
61.48 67.65
Fi
39.26] _ 154.67
For iland Printers Limited
Sa
For Ajcon Global Services Limited
Ashok Ajmera
Nitin Katare Date : 13.08.2021
Place: Mumbai Date: August 13, 2021 Director Place : Mumbai
nx MT DIGITAL LIMITED
(FORMERLY KNOWN AS HINDUJA VENTURES LIMITED)
Regd. Office : IN CENTRE, 49/50, MIDC, 12th Road, Andheri (E), Mumbai 400 093
CIN: L51900MH1985PLC036896, Website: www.nxtdigital.co.in, Email ID: [email protected]
FINANCIAL RESULTS FOR THE QUARTER ENDED 30TH JUNE, 2021 (Zin Lakh)
ST CU Ee eee ces
Quarter Ended Year Ended Quarter Ended Year Ended
" Particulars 30th June,
2021
31st March,
2021
30th June,
2020
31st March,
2021
30th June,
2021
31st March,
2021
30th June,
2020
31st March,
2021
(Unaudited) (Unaudited) (Unaudited) (Audited) (Unaudited) (Unaudited) (Unaudited) (Audited)
1 Total income from operations (Net) 17,213.66} 19,459.87) 17,181.74] 70,739.60) 26,659.30] 27,796.93) 23,481.89) —1,00,845.07
2. Net Profit / (Loss) for the period {before Tax, Exceptional
and / or Extraordinary items) from continuing operations
(4,239.78) (1,993.96) (4,554.91)} (15,169.79)} (3,846.40)) (1,214.53)! (3,482.51) (11,455.85)
3. Net Profit / (Loss) for the period after tax from continuing
operations
(3,784.60) 797.71] — (4,049.15)} (6,496.05) (2,887.06) 1,368.45] (3,000.54) (1,636.07)
4 Net Profit / (Loss) for the period after tax from
discontinued operations
29.47 25.90 43.31 245.90 29.47 25.90 43.31 245.90
§ Total Comprehensive Income for the period [Comprising of
Profit / (Loss) for the period (after tax) and Other
(3,747.58) 848.66] (4,107.02) (6,104.14) (2,834.26) 1,183.09] (3,026.92) (1,347.92)
Comprehensive Income (after tax)]
6 Equity Share Capital
2,405.12 2,405.12 2,085.55 2,405.12 2,405.12 2,405.12 2,055.55 2,405.12
7 Eamings Per Share (before extraordinary items)
{of T10/- each)
For Continuing Operations
- Basic (in ) (not annualised) (15.74) 3.32) (19.70) (22.85) (13.15) 4.42) (14.60) (12.12)
- Diluted (in %) (not annualised) (15.74) 3.32 (19.70) (22.85) (13.15) 442 (14.60) (12.12)
For Discontinued Operations
- Basic (in 2) (not annualised) 0.12 0.11 0.21 1.02 0.08 (0.72) 0.21 0.20)
- Diluted (in %) (not annualised) 0.12 0.11 0.18 1.02 0.08 (0.72) 0.21 0.29
For Continuing and Discontinued Operations
- Basic (in 2) (not annualised) (15.62) 3.43) (19.49) (21.83) (13.07) 3.70 (14.39) (11.92)
- Diluted (in %) (not annualised) (15.62) 3.43) (19.49) (21.83) (13,07) 3.70 (14.39) (11,92)
Notes: 1. The above is an extract of the detailed format of the financial results for the quarter ended 30th June, 2021 filed with the Stock Exchanges under Regulation 33 of the SEBI (Listing and Other Disclosure
Requirements} Regulations, 2015. The full format of the financial results for the quarter ended 30th June, 2021 are available on the Stock Exchange Websites. Bombay Stock Exchange Limited: www.bseindia.com,
National Stock Exchange of India Limited: www.nseindia.com and on Company's website http:/Avww.nxtdigital.co.in/investors/financial-results-2/
2. The above standalone and consolidated unaudited financial results for the quarter ended 30th June, 2021 have been reviewed by the Audit Committee and then approved by the Board of Directors of the Company
at their respective meetings held on 12th August, 2021 and 13th August, 2021 respectively and subjected to a limited review by the statutory auditors.
3. The Board of Directors of the Company, in terms of a resolution passed at their meeting held on May 13, 2021 under Section 62(1){a) of the Companies Act, 2013, filed Draft Letter of Offer with Securities and
Exchange Board of India (SEB) for issue of upto 96,20,463 equity shares of face valueZ 10/- each ('Rights Equity Shares') of the Company for cash at a price of& 300/- each including a securities premium of
= 290/- per Rights Equity Share aggregating upto ¥ 28,861.39 lacs on a rights basis to the eligible equity shareholders in the ratio of two Rights Equity Shares for every five equity shares held. The said issue will
be given effect to in the books of account on receipt of various regulatory approvals.
& e
2
For NXTDIGITAL LIMITED (Formerly known as Hinduja Ventures Limited)
Place: Mumbai @-
NEE DIGITAL
dig'
wae
IN ENTERTAR MENT
Amar Chintopanth Whole Time Director & Chief Financial Officer
Date : 13" August, 2021 Ge HINDUJA GROUP

nx MT DIGITAL LIMITED

(FORMERLY KNOWN AS HINDUJA VENTURES LIMITED)

FINANCIAL RESULTS FOR THE QUARTER ENDED 30TH JUNE, 2021

Notes:

  1. The above is an extract of the detailed format of the financial results for the quarter ended 30th June, 2021 filed with the Stock Exchanges under Regulation 33 of the SEBI (Listing and Other Disclosure Requirements} Regulations, 2015. The full format of the financial results for the quarter ended 30th June, 2021 are available on the Stock Exchange Websites. Bombay Stock Exchange Limited: www.bseindia.com, National Stock Exchange of India Limited: www.nseindia.com and on Company's website http:/Avww.nxtdigital.co.in/investors/financial-results-2/

  2. The above standalone and consolidated unaudited financial results for the quarter ended 30th June, 2021 have been reviewed by the Audit Committee and then approved by the Board of Directors of the Company at their respective meetings held on 12th August, 2021 and 13th August, 2021 respectively and subjected to a limited review by the statutory auditors.

  3. The Board of Directors of the Company, in terms of a resolution passed at their meeting held on May 13, 2021 under Section 62(1){a) of the Companies Act, 2013, filed Draft Letter of Offer with Securities and Exchange Board of India (SEB) for issue of upto 96,20,463 equity shares of face valueZ 10/- each ('Rights Equity Shares') of the Company for cash at a price of& 300/- each including a securities premium of = 290/- per Rights Equity Share aggregating upto ¥ 28,861.39 lacs on a rights basis to the eligible equity shareholders in the ratio of two Rights Equity Shares for every five equity shares held. The said issue will be given effect to in the books of account on receipt of various regulatory approvals.

e For NXTDIGITAL LIMITED & 2 (Formerly known as Hinduja Ventures Limited)

IN ENTERTAR MENT Amar Chintopanth Whole Time Director & Chief Financial Officer ४

(CIN - L74140MH1991PLC061715)
Reg Off: 502, Corporate Arena, DP Piramal Road, Goregaon West, Mumbai 400104
Tel: 67830020 Email: [email protected] Website: www.anupamfinserv.com
Extract of Standalone Unaudited Financial Results for Quarter ended
30th June, 2021
(before Tax, Exceptional and/or Extraordinary items)
(after Exceptional and/or Extraordinary items)
(after Exceptional and/or Extraordinary items)
Total Comprehensive Income for the period
[Comprising Profit / (Loss) for the period (after tax)
and Other Comprehensive Income (after tax)]
Reserves (excluding Revaluation Reserve as shown in
(for continuing and discontinued operations)
Note: The above is an extract of the detailed format of Quarterly Financial Results filed with the Stock Exchanges
under Regulation 33 of the SEBI (Listing and Other Disclosure Requirements) Regulations, 2015. The full format of
the Quarterly Financial Results are available on the Stock Exchange website and on the website of the Company
The Boards of Directors have approved a stock split of face value of equity shares from Rs. 10/- per share to
Rs. 1/- per share, subject to approval of members and regulatory approvals.
NCL RESEARCH & FINANCIAL SERVICES LIMITED
Registered Office : 79, Bhagyodaya Building, 3 rd Floor, Nagindas Master Road, Fort, Mumbai -400 023
CIN - L65921MH1985PLC284739, Email: [email protected], Website: www.nclfin.com
Statement of Un-Audited Financial Results for the Quarter ended 30th June 2021
Net Profit / (Loss) for the period (before Tax, Exceptional
(after Exceptional and/or Extraordinary items
Net Profit / (Loss) for the period after tax
(after Exceptional and/or Extraordinary items
Total Comprehensive Income for the period
[Comprising Profit / (Loss) for the period (after tax)
and Other Comprehensive Income (after tax)]
Paid-up Equity Share Capital (Face Value of ₹ 2/- each)
Earning Per Share (before Extra-Ordinary items) of ₹ 2/
each (for continuing and discontinued operations)
1. The above is an extract of the detailed format of Standalone Un-Audited Financial Results for
the quarter ended 30 th June 2021 filed with the Stock Exchange/s under Regulation 33 of the
SEBI LODR Regulations, 2015. The full format of the Un-Audited results for the Quarter ended
30 th June 2021 is available on the Company website "www.nclfin.com" and on the Stock
Exchange website i.e. www.bseindia.com.
For NCL Research & Financial Services Limited
Quarter
ended
30/06/2021
Unaudited)
64.96
27.84
27.84
20.83
20.83
0.20
0.20
Quarter
ended
30 th June
2021
35.96
10.16
10.16
7.52
2,908.50
0.01
0.01
Quarter
ended
31/03/2021
(Unaudited)
80.95
34.07
34.07
34.08
34.08
0.32
0.32
Quarter
ended
30 th June
2020
Un-Audited
2,908.50
Quarter
ended
30/06/2020
Insudite
62.14
36.23
36.23
17.66
17.66
0.17
0.17
48.59
27.51
27.51
20.35
0.01
0.01
(Rs. In Lacs)
Year
ended
31/03/2021
(Audited)
287.72
170.30
170.30
126.64
126.64
,051.25 1,051.25 1,051.25 1,051.25
202.59
1.20
1.20
By order of the Board
Sd/-
Pravin Gala
Director & CFO
₹in Lakhs
Year
Ended
31 ª March
2021
Audited
185.79
1.52
1.52
1.11
2,908.50
3,281.41
0.00
0.00
$S/d -$
Goutam Bose
Managing Director
अ.
क्र.

э
x
€,
G
सूचना:
सीआयएन: एल २८१०० एमएच १ ९ ६४पीएलसी०१३०६४
नोंदणी कार्यालय: २००६, फफ्रॉसबेरी रोड, आयसीआय लिमिटेड जवळ, रे रोड (ई), मुंबई – ४०० ०३३.
, इन्मलः sollucontalinersitute girlani.com , sessings, i.essiness.com ====================================
तपशिल
कार्यचलनातून एकूण उत्पन्न
कर पूर्वीच्या कालावधीसाठी निव्वळ नफा/(तोटा) (अपवादात्मक
आणि/किंवा असामान्य बाबीनंतर)
कर पूर्वीच्या कालावधीसाठी (निव्वळ आणि/किंवा अपवादात्पमक
बाबीनंतर) निव्वळ नफा / (तोटा)
कर नंतरच्या कालावधीसाठी (निव्वळ आणि/किंवा असाधारण
बाबीनंतर) निव्वळ नफा / (तोटा)
कालावधीसाठी (करानंतर) आणि इतर सर्वसमावेशक उत्पन्न
(करानंतर) साठी कालावधी सर्वंकष नफा / (तोटा) साठी एकूण
व्यापक उत्पन्न
समभाग भांडवल (प्रत्येकी रू.१०)
शिल्लकानुसार पुनर्नवीनीकरण आरक्षण वगळता आरक्षण
उत्पन्न प्रतिभाग (दर्शनीमूल्य रु.१०/- प्रत्येकी)
(चालू आणि खंडित कार्यचलनासाठी) -
(अ) मूळ
(ब) सैमिकृत
१. या लेखा परिक्षणातील आर्थिक निकालांचा आढावा समितीने घेतला व त्या कंपनीच्या संचालक मंडळाने १३ ऑगस्ट, २०२१ रोजी झालेल्या
बैठकीत मंजूर केल्या.
२. कंपनीने १ ऐप्रिल २०१७ पासून इंडियन अकाउंटिंग स्टँडर्ड (इंडस्ट्रीज़ एएस) दत्तक घेतले आणि त्यानुसार वरील लेखापरिक्षित आर्थिक
निकाल नमूद केलेल्या मानकांनुसार तयार केले.
३. उपरोक्त ही सेबीच्या (नियम लिलाव व प्रकटीकरण आवश्यकता) नियम, २०१५ च्या नियमन ३३ अंतर्गत स्टॉक एक्स्वेंजकडे दाखल
केलेल्या वर्षापरिक्षित आर्थिक परिणामांच्या विस्तृत स्वरूगचे एक उतारा आहे. लेखापरीक्षित वर्षाचे पूर्ण स्वरू
स्टॉक एक्सचेंज वेबसाइट www.bseindia.com आणि कंपनीच्या वेबसाइट www.solidcontainers.net वर उपलब्ध आहे.
ठिकाण: मुंबई
दिनांक : १३ ऑगस्ट, २०२१
मराथान नेक्स्टर्जन रियाल्टी लिमिटेड
नोंदणीकृत कार्यालयः मॅराथॉन फ्युच्युरेक्स, एन.एम.जोशी मार्ग, लोअर परळ (प.), मुंबई-४०००१३.
३० जून, २०२१ रोजी संपलेल्या तिमाहीकरीता अलेखापरिक्षीत वित्तीय निष्कर्षाचा अहवाल
सॉलिड कंटेनर लिमिटेड
दूर.: ६७८०२१९५५/७५०६०२९८६६ (१८६६)
इं-मेल: [email protected]; वेबसाईट: www.solidcontainers.net
सीआयएनःएल६५९९०एमएच१९७८पीएलसी०२००८०
संपलेली
तिमाही
950,05,005
(लेखापरिक्षीत)
(48.88)
(49.89)
(48.88)
(49.88)
836.06
(3.35)
(x.66)
एकमेव
संपलेली संपलेली
वर्ष
9909.50.95
(लेखापरिक्षीत)
(334.83)
(334.83)
(334.83)
(२२५.९३)
836.06
(6, 6, 8, 2, 6)
(L.4C)
(6.46)
(रु.लाखात. ईपीएस व्यतिरिक्त
संपलेली
तिमाही
30.06.9070
सॉलिडकंटेनर लिमिटेडकरिता
$\ddot{\phantom{1}}$
एकत्रित
संपलेले
वर्ष
संपलेली
वर्ष
(अलेखापरिक्षीत)
(80.38)
(80.30)
(80.30)
(80.30)
20.358
(3.33)
(55.5)
सही/-
रेश्मा राव
संचालीका
संपलेली
तिमाही
संपलेली संपलेले
तपशील तिमाही
99.05.99
वर्ष
39.03.99
तिमाही
30.05.80
$30.08.99$ 39.03.99 30.08.8
कार्यचलनातून एकूण उत्पन्न अलेखापरिक्षित
१०८७.६६
लेखापरिक्षित
4839.23
अलेखापरिक्षित
8868.88
अलेखापरिक्षित
3434.08 80448.68
लेखापरिक्षित अलेखापरिक्षि
५८६७.२
इतर उत्पन्न
कालावधीकरिता निव्वळ नफा/(तोटा) (कर, अपवादात्मक बाबपूर्व)
88.493
88.38
83.8338
२९६५.२९
30.839
285.08
52.333
388.83
30.050
3280.32
२७०.५२
3293.0
DYNACONS
नोंदणीकृत कार्यालय: ७८, रतन ज्योत इंडस्ट्रियल इस्टेट, इरला लेन, विलेपार्ले (प), मुंबई-४०००५६.
सीआयएन:एल७२२००एमएच१९९५पीएलसी०९३१३० वेबसाईट:www.dynacons.com
करपूर्व कालावधीकरिता निव्वळ नफा/(तोटा) (अपवादात्मक बाबनंतर) 88.38 २९६५.२९ 685.08 388.83 55.0555 3993.0
सूचना
सेबी (लिस्टिंग ऑब्लिगेशन्स ॲण्ड डिस्क्लोजर रिक्वायरमेंट्स) रेग्युलेशन्स, २०१५ च्या नियम २९ सहवाचिता नियम
करानंतर कालावधीकरिता निव्वळ नफा/(तोटा)
कालावधीकरिता एकूण सर्वकष उत्पन्न (कालावधीकरिता सर्वंकष
(४०७.५८) 33.8839 १२८७.१२ 884.84 १५१९.१० ११३६.५८
४७ व ४२ नुसार आणि कंपनी कायदा २०१३ च्या कलम ९१ व त्यातील लागू नियमानुसार येथे सूचना देण्यात येत
आहे की, कंपनीचे कॉर्पोरेट कार्यालय ३रा मजला, ए विंग, सनटेक सेन्टर, सुभाष रोड, विलेपार्ले (प.), मुंबई–४०००५७
नफा/(तोटा) (करानंतर) आणि इतर सर्वंकष उत्पन्न (करानंतर))
समभाग भांडवल
9800.00 (४०२.२४) २८६३.२३
3300.00
8558.50
2300.00
888.88
$2300.00$ $2300.00$
8442.84 ११३२.९
2300.0
येथे गुरुवार, १२ ऑगस्ट, २०२१ रोजी कंपनीच्या संचालक मंडळाच्या सभेत कंपनीद्वारे घोषित वित्तीय वर्ष २०२१–
२२ करिता अंतरिम लाभांश देण्याच्या उद्देशाकरिता नोंद दिनांक म्हणून कंपनीने २३ ऑगस्ट, २०२१ निश्चित केली
उत्पन्न प्रतिभाग (रू.५/- प्रत्येकी)
१. मूळ ईपीएस
(०.८८६०) ६.१७८० २.७९८१ 0.8850 3.308 8.8600
अंतरिम लाभांश, घोषित झाल्यास ज्या समभागधारकांची नावे नोंद दिनांक सोमवार, २३ ऑगस्ट, २०२१ रोजी शेअर्सचे
लाभार्थी मालक म्हणून डिपॉझिटरीच्या नोंदीत आहेत किंवा कंपनीच्या सदस्य नोंद पुस्तकात आहेत त्यांना दिले जाईल.
टिप: २. सौमिकृत ईपीएस (0.233.0) 8808.7 8.6863 0.8843 3.3002 8.8600
सदस्यांना विनंती आहे की, त्यांनी कंपनीचे निबंधक व हस्तांतर प्रतिनिधी यांच्याकडे वास्तविक स्वरुपात भागधारणे
संदर्भात त्यांचे बँक खाते तपशील, पत्ता बदल इत्यादी सादर करावे आणि विद्युत स्वरूपात भागधारणा असल्यास
१. वरील निष्कर्षाचे लेखासमितीद्वारे पुनर्विलोकन करण्यात आले आणि १२ ऑगस्ट, २०२१ रोजी झालेल्या संचालक मंडळाच्या सभेत नोंद पटावर घेण्या
आले.
उपरोक्त माहिती कंपनीच्या www.dynacons.com आणि कंपनीचे शेअर्स जेथे सुचिबद्धत आहेत त्या
www.bseindia.com व www.nseindia.com वर उपलब्ध आहेत.
२. सेबी (लिस्टिंग ऑब्लिगेशन्स ॲण्ड डिस्क्लोजर रिकायरमेंट्स) रेखुलेशन २०१५ च्या नियम ३३ अन्वये स्टॉक एक्सचेंजसह सादर करण्यात आलेलं
त्रैमासिक वित्तीय निष्कर्षाचे सकिस्तर नमुन्यातील उतारा आहे. त्रैमासिक वित्तीय निष्कर्षाचे संपूर्ण नमुना स्टॉक एक्सचेंजच्या WWW.bseindia.con
डायनाकॉन्स सिस्टिम्स ऑण्ड सोल्यशन्स लिमिटेडकरिता संचालक मंडळाच्या आदेशान्यये व www.nseindia.com वेबसाईटवर आणि कंपनीच्या www.marathonnextgen.com वेबसाईटवर उपलब्ध आहे.
३१ मार्च, २०२१ रोजी संपलेल्या तिमाहीचे आकडे हे संपुर्ण वित्तीय वर्षसंदर्भात लेखापरिक्षित आकडे आणि संबंधित वित्तीय वर्षाच्या तृतीय तिमाहीपर्यं
सही / - शिरीष एम. अंजारीया
अध्यक्ष व व्यवरथापकीय संचालक
डीआयएन:००४४४१०४
अलेखापरिक्षित प्रकाशित वर्ष ते तारीख आकडे या दरम्यान ताळमेळ घालणारे आकडे आहेत. मॅराथॉन नेक्स्टजेन रियाल्टी लिमिटेडकरित
VOLTAIRE LEASING & FINANCE LIMITED ठिकाण: मुंबई सही / -
चेतन आर शा
Registered Office : 79, Bhagyodaya Building, 3rd Floor,
Nagindas Master Road, Fort, Mumbai -400 023
CIN - L74110MH1984PLC033920, Email: [email protected], Web: www.volfltd.com
दिनांक: १२.०८.२०२१ अध्यक्ष व व्यवस्थापकीय संचालव
Statement of Un-Audited Financial Results for the Quarter ended 30th June 2021
ended Ended
Audited
123.54
Net Profit / (Loss) for the period before tax 7.82 तपशील तिमाहीअखेर वर्षअखेर तिमाहीअखेर वर्षअखेर
Net Profit / (Loss) for the period after tax
(after Exceptional and/or Extraordinary items
9.54 6.28 अलेखापरीक्षित लेखापरीक्षित लेखापरीक्षित लेखापरीक्षित
[Comprising Profit / (Loss) for the period (after tax)
and Other Comprehensive Income (after tax)]
परिचालनातून एकूण उत्पन्न $F_{\rm t}$ , $F_{\rm t}$ 43.98 $0,0$ 5 885.4 383.33 23.81 0,0 5 885.48
1,513.11 निष्वळ नफा/(तोटा) (५२.०३) (88.48) (99.99) (23.99) (88.88) (89.48) (99.99) (२३.९७)
₹ 10/- each (for continuing and discontinued operations) 0.23 0.15 बाबीपश्चात) निव्वळ नफा/(तोटा) (42.03) (88.48) (39.45) (83.89) (98.88) (88.48) (99.49) (33.89)
बाबीपश्चात) निब्बळ नफा/(तोटा) (42.03) (89.48) (39.95) (83.89) (88.48) (39.95) (83.89)
(करपश्चात) यांचा समावेश) 93.490,99 339.66 358.86 १,८९६.२५ 8,408.88
89.899,98 ११,३९५.०५ ११,३९५.०५
Exchange website i.e. www.bseindia.com. ताळेबंदामध्ये दर्शविल्यानसार 0,00 $0$ , $0$ $0$ $0,0.0$ $0$ , $0$ $0$ 0,00 0,00 28,336.88
0, 0.9
Net Profit / (Loss) for the period (before Tax, Exceptional
(after Exceptional and/or Extraordinary items
Total Comprehensive Income for the period
Paid-up Equity Share Capital (Face Value of ₹ 10/- each)
Earning Per Share (before Extra-Ordinary items) of
2021 Quarter
30 th June
24.44
10.18
10.18
7.88
411.80
0.19
0.19
Quarter
ended
30 th June
2020
Un-Audited
28.27
12.90
12.90
411.80
0.23
₹ in Lakhs
Year
31 * March
2021
7.82
(20.36)
411.80
0.15
1. The above is an extract of the detailed format of Standalone Un-Audited Financial Results for
the quarter ended 30th June 2021 filed with the Stock Exchange/s under Regulation 33 of the
SEBI LODR Regulations, 2015. The full format of the Un-Audited results for the Quarter ended
30 th June 2021 is available on the Company website "www.volfltd.com" and on the Stock
For Voltaire Leasing & Finance Limited
S/d-
Alok Kr. Behera
Managing Director
з.
贰.
$\mathcal{O}$
कालावधीकरिता (कर, अपवादात्मक च/वा अतिविशेष बाबीपर्व)
करपश्चात कालावधीकरिता (अपवादात्मक व/वा अतिविशेष
करपश्चात कालावधीकरिता (अपवादात्मक व/वा अतिविशेष
कालावधीकरिता एकूण सर्वसमावेशक उत्पन्न (कालावधीकरिता
(करपश्चात) नफा/(तोटा) व अन्य सर्वसमावेशक उत्पन्न
प्रदानित समभाग भांडवल (दर्शनी मूल्य रु. १/- प्रतिशेअर)
राखीव (पुनर्मूल्यांकन राखीव वगळता) गत वर्षाच्या लेखापरीक्षित
मूलभूत व सौम्यीकृत उत्पन्न प्रतिशेअर (अवार्षिकीकृत) (स.)
स्थायी
अलेखापरीक्षित
8,639.38
88,384.06
श्री ग्लोबल ट्रेडफिन लिमिटेड
लेखापरीक्षित
58,335.86
अलेखापरीक्षित
(868.88)
$8,346.03$ $8,885.88$
(0,0.8)
नोंदणीकृत कार्यालय : ए२, २ रा मजला, मधू इस्टेट, पांडुरंग बुधकर मार्ग, लोअर परेल, मुंबई - ४०० ०१३.
सीआयएन : L27100MH1986PLC041252 वेबसाइट : www.sgtl.in ई-मेल आयडी : [email protected]
११,३९५,०५ १२,७२१.२७ ११,३९५.०५
वरील विवरण हे परिपत्रक क्र. सीआयआर/सीएफडी/एफएसी/६२/२०१६ द्वारे सुधारित केल्यानुसार सेबी (सूची अनिवार्यता विविगेचन आवश्यकता) विनियमन, २०१५ च्या विनियमन ३३ अंतर्ग
स्टॉक एक्सचेंजकडे दाखल करण्यात आलेल्या अलेखापरीक्षित स्थायी व एकप्रित वितीय निष्कर्षांच्या विस्तृत प्रारूपाचा सारांश आहे. अलेखापरीक्षित वितीय निष्कर्षांचे संपूर्ण प्रारूप स्टॉक एक्सचें
दि. ३०.०६.२०२१ रोजी संपलेल्या तिमाहीकरिताच्या स्थायी व एकत्रित अलेखापरीक्षित वित्तीय निष्कर्षांच्या अहवालाचा सारांश
(रु. लाखांत, उत्पन्न प्रति शेअर माहिती वगळता
एकत्रित
9505.60.86 38.03.90.06 9505.60.96 9505.30.06 38.03.50.96 0505.30.06 9503.20.96 38.03.200.06
अलेखापरीक्षित
११,३९५.०५
वॉलफोर्ट फायनान्शियल सर्विसेस लिमिटेड
नोंदणीकृत कार्यालय: २०५ए, हरी चेंबर्स, एस बी मार्ग, फोर्ट, मुंबई-४००००१.
दूर.:६६१८४०१६/६६१८४०१७, ई-मेल:[email protected], [email protected]
वेबसाईट: www.wallfort.com, सीआयएन: एल६५९२०एमएच१९९४पीएलसी०८२९९२
३० जून, २०२१ रोजी संपलेल्या तिमाहीकरिता एकमेव
31 अलेखापरिक्षित वित्तीय निष्कर्षाचा अहवाल
तपशील
संपलेली $($ एं. लाखात)
मागील वर्षात
क्र चाल् तिमाही संपलेले
अहवाल 30.08.2029 संबंधित
3 महिने
रक्कम लाखात) अलेखापरिक्षित अलेखापरिक्षित
संपलेली
वर्ष
٩.
Q.
कार्यचलनातून एकूण उत्पन्न (निव्वळ)
कालावधीकरिता निव्वळ नफा/(तोटा) (कर, अपवादात्मक
9459.89 630.83
0,06.2020
लेखापरिक्षीत`
₹. आणि/किंवा विशेष साधारण बाबपूर्व)
करपूर्व कालावधीकरिता निव्वळ नफा/(तोटा) (अपवादात्मक
9338.92 698.90
आणि/किंवा विशेष साधारण बाबपूर्व) 9338.92 694.00
(806.88) 8. करानंतर कालावधीकरिता निव्वळ नफा/(तोटा)
(अपवादात्मक आणि/किंवा विशेष साधारण बाबनंतर)
9338.92 498.20
Ч. कालावधीकरिता एकूण सर्वकष उत्पन्न (कालावधीकरिता
सर्वंकष नफा/(तोटा)(करानंतर) आणि इतर सर्वंकष
(80.38) उत्पन्न (करानंतर))*
समभाग भांडवल
9338.83 490.45
(80.30) ξ.
O.
उत्पन्न प्रतिभाग (रू.१०/- प्रत्येकी) 685738 50.539
मूळ (खंडीत व अखंडीत कार्यचलनाकरिता) 93.02 ५.३६
(80.38)
20.358
सौमिकृत 93.62 ५.३६
टिप: सेबी (लिस्टिंग ऑण्ड अदर डिस्कलोजर रिक्वायरमेंट्स) रेग्युलेशन २०१५ च्या नियम ३३ अन्वये
स्टॉक एक्सचेंजसह सादर करण्यात आलेली वित्तीय निष्कर्षाचे सविस्तर नमून्यातील उतारा आहे. वित्तीय
निष्कर्षाचे संपूर्ण नमना कंपनीच्या www.wallfort.com वेबसाईटवर आणि स्टॉक एक्सचेंजच्या
www.bseindia.com वेबसाईटवर उपलब्ध आहे.
(3.33)
(55.5)
संचालक मंडळाच्या वतीने व करिता
वॉलफोर्ट फायनान्शियल सर्विसेस लिमिटेड
सही / –
रोजी झालेल्या ठिकाण: मुंबई अशोक भराडीया
व्यवस्थापकीय संचालक
क्षित आर्थिक दिनांकः १२.०८.२०२१ (डीआयएन:००४०७८३०)
जिकडे दाखल
(णाम उपलब्ध
हि.
डियन आव्हरसाज बक
मांडवी शाखा: गुलाबी हाऊस, १११/११५, काझी सय्यद स्ट्रीट,
लेमिटेडकरिता
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रेश्मा राव कर्जदार/तारणकर्ता/जामिनदारांना मागणी सूचना
संचालीका सरफायसी कायदा २००२ च्या कलम १३ च्या उपकलम (२) अन्वये
ठिकाण: मुंबई
प्रति,
दिनांक: ०१.०७.२०२१
१. मे. मानस फॅशन्स मालक: श्री. आलोक ए. धानुका (कर्जदार/तारणकर्ता)
١३. नोंदणीकृत कार्यालय पत्ता: ३३३-ए, बदामवाडी, खोली क्र.२४-ए, २रा मजला, काळबादेवी
रोड, मुंबई-४००००२. निवासी पत्ता: १/१, घनश्याम नगर, नाखवा शाळेजवळ, कोपरी कॉलनी, ठाणे पुर्व-४००६०३.
हवाल
ाएस व्यतिरिक्त)
२. श्री. अशोक कुमार धानुका (जामिनदार/तारणकर्ता)
४०२, ४था मजला, ए-विंग, दिव्य स्तृती, फिल्म सिटी रोड, कन्यापाडा, गोकुळधाम, गोरेगाव
(पूर्व), मुंबई-४०००६३. निवासी पत्ता: १/१, घनश्याम नगर, नाखवा शाळेजवळ, कोपरी कॉलनी, ठाणे पुर्व-४००६०३.
संपलेली
तिमाही
मा. महोदय
२१ ३०.०६.२० संदर्भ: इंडियन ओव्हरसीज बँक, मांडवी शाखेसह तुमची ऋण सुविधा
१. तुम्ही, आमच्या बँकेचे वर नमुद कर्जदारांनी आमच्या मांडवी शाखेतून खालील ऋण सुविधा घेतली
अलेखापरिक्षित
ति
$\alpha$
५८६७.२२
आहे. थकबाकी रकमेसह कर्ज सुविधेचे तपशिल खालीलप्रमाणे:
3
२७०.५२
सुविधेचे मर्यादा व्याजाचा दर ३०.०६.२०२१ रोजी
१२
१२९३.८९
स्वरुप $(\overline{\mathbf{e}})$ एकूण देव (रू.)
रु.४३५८२८६.३६
१२
१२९३.८९
रोख रक्कम 8.8000000.00
२% थकबाकी व्याज अर्थात १२.२५%
विद्यमान मासिक दराने
१ वर्ष एमसीएलआर ७.७५+ स्प्रेड २.५०%+
$\ddot{\phantom{0}}$
११३६.५५
एकण 6.8000000,00 रु.४३५८२८६.३६
¦لم
११३२.९२
0
*रक्कम जमा करण्याच्या तारखेपर्यंत वरील नमुद तारखेपासून करारदरानुसार पुढील व्याज देय राहील.
वस्नामित अ.क्र.२ अंतर्गत संदर्भीत जामिनदार/तारणकर्ता यांनी दिनांक ०१.०८.२०१६ रोजी हमी
2300.00 निष्पादित केली आहे आणि त्यांनी सरासरी कर्ज मर्यादा रक्कम रु.४०,००,०००/- तसेच मान्यदराने
X
3.860C

8.860C
व्याज, अधिभार इत्यादीकरिता कर्जदाराद्वारे इंडियन ओव्हरसिज बँकला आलेला सर्व खर्च कोणत्याही
बेळी किंवा त्यावरील सर्व दायित्व मागणीवर जमा करण्याची हमी दिली होती.
वरील कर्जदार क्र.१ यांच्या नावे असलेले गहाणवटीद्वारे खालील अ.क्र.३ मध्ये नमुद मालमत्ता प्रतिभूती
करून कर्जसुविधा देण्यात आली होती. अ.क्र.२ मध्ये नमुद तारणकर्ता/जामिनदारांच्या नावे अ.क्र.१
ॉद पटावर घेण्यात येथील मालमत्तेचे तारणाद्वारे प्रतिभूत करण्यात आली होती. अ.क्र.२ मध्ये नमुद तारणकर्ता/जामिनदारांच्या
नावे अ.क्र.२ मध्ये नमुद मालमत्तेच्या तारणाद्वारे सुद्धा प्रतिभूत करण्यात आली होती.
हरण्यात आलेली अ.क्र.२ मध्ये नमुद जामिनदारांनी वर दिलेल्या कर्ज सुविधेकरिता वैयक्तिक हमी दिली होती.
eindia.com
हे.
तम्हाला दिलेली आहे. निष्पादीत विविध दस्तावेजांमार्फत खालील व्यवहाराअंतर्गत वेळोवळी दायित्वातील पोहोच पावती
।तीय तिमाहीपर्यंत २. उपरोक्तप्रमाणे वरील ऋण सुविधा खालीलप्रमाणे बँकेच्या नावे प्रतिभूत करण्यात आली:
लिमिटेडकरिता प्रतिभूतीचे स्वरुप
(तारण /गहाणवट)
प्रतिभूतीचे तपशील
सही/- तारण फ्लॅट क्र.४०२, ४था मजला, ए विंग, दिव्य स्तुती इमारत, सर्व्हे क्र.२६१(भाग),
चेतन आर शाह
ाकीय संचालक
सीटीएस क्र.६२०(भाग), गाव मालाड, महाराजा टॉवरच्या मार्ग, जनरल ए.के.
वैद्य मार्ग, दिंडोशी, गोरेगाव (पूर्व), मुंबई-४०००६३ येथील श्री. अशोक
कुमार धानुका यांच्या नावे असलेली मालमत्ता आणि चतुसिमा: उत्तरेस
चाळ; दक्षिणेस-रस्ता; पुर्वेस-महाराजा टॉवर; पश्चिमेस-चाळ.
तारण गाळा क्र.२१२, २रा मजला, इमारत क्र.१, अरिहत कंपाऊंड, गाव पूर्णा, ठाणे,
भिवंडी रोड, ता. भिंवडी, जिल्हा ठाणे येथील श्री. अशोक कुमार धानुका यांच्या
नावे असलेली मालमत्ता आणि चतुसिमा: उत्तरेस –मोकळी जागा; दक्षिणेस
सारांश
ोअर माहिती वगळता)
गहाणवट रस्ता; पुर्वेस-गाळा; पश्चिमेस-गाळा.
खालील ठिकाणी कंपनीची संपुर्ण वास्तविक मालमत्ता आणि साठा व बुक
डेब्टस
वर्षअखेर १) ३३३–ए, बदामवाडी, खोली क्र.२४–ए, २रा मजला, काळबादेवी रोड,
मुंबई-४००००२.
०२० ३१.०३.२०२१
हित लेखापरीक्षित
२) गाळा क्र.२१२, २रा मजला, इमारत क्र.१, अरिहंत कंपाऊंड, गाव पुर्णा,
ठाणे, भिवंडी रोड, ता. भिंवडी, जिल्हा ठाणे.
20,1
94.799
₹. मुद्दल रक्कम व नियमानुसार व्याज भरणा करण्यात तुम्ही कसूर केलेली असल्याने तुमचे कर्ज खाते
(33.86)
48)
भारतीय रिझर्व्ह बँकेच्या निर्देशन व मार्गदर्शनानुसार ३०.०६.२०२१ पासून नॉन-परफॉर्मिंग ॲसेट
मध्ये वर्गीकृत करण्यात आले आहे. आम्ही वारवार विनंती व मागणी केल्यानंतरही तुम्ही
थकबाकी कर्ज तसेच त्यावरील व्याज भरणा केलेले नाही.
48)
(69.89)
Χ. विविध वर नमूद प्रतिभूतीद्वारे प्रतिभूत ऋण सुविधेसंदर्भात तुम्हाला अ.ऋ.१ वर नामित कर्जदार
यांनी तुमचे दायित्व पूर्ण करण्यात तुम्ही कसूर केली आहे आणि तुमचे खाते नॉन परफॉर्मिंग
48)
(89.89)
ॲसेटमध्ये वर्गीकृत केले आहे, आम्ही तुम्हाला अ.क्र.१ येथे सिक्युरीटायझेशन ॲन्ड रिकन्स्ट्रक्शन
ऑफ फिनान्शियल ॲसेटस् ॲन्ड एनफोर्समेन्ट ऑफ सिक्युरिटी इंटरेस्ट ॲक्ट, २००२ च्या कलम
,95.
8,402.88
१३ च्या उपकलम (२) अन्वये आमचे अग्रीम रक्कम भरण्यास तुम्हाला येथे सूचना देत आहोत
. o4
११,३९५.०५
आणि सदर सूचनेच्या तारखेपासून ६० दिवसांच्या आत वर नमूद तारखेपासून मान्य उर्वरित
मासिकासह चक्रवाढप्रमाणे पुढील व्याजासह वरील रकाना १ मध्ये दिल्यानुसार रक्कम
88.336.88 रू.४३,५८,२८६.३६ + १ वर्ष एमसीएलआर ७.७५+ स्प्रेड २.५०%+ २% थकबाकी व्याज
0, 0.
, 00
Ч. अर्थात १२.२५% विद्यमान मासिक दराने व्याज ही रक्कम बँकेकडे पूर्णपणे जमा करावी.
वर नमुद जामिनदार क्र.२ यांनी सदर कर्ज सुविधेच्या प्रतिभूती बाबत वर नमुद मालमत्ता देऊन
विनियमन ३३ अंतर्गत आणि कर्जदाराद्वारे घेतलेल्या ऋण सुविधेकरिता भरणा/हमीसाठी प्रतिभूती दिली होती. विविध वर
नमूद प्रतिभूतीद्वारे प्रतिभूत ऋण सुविधेसंदर्भात वर नामित कर्जदार यांनी तुमचे दायित्व पूर्ण
ब्रारूप स्टॉक एक्सचेंज करण्यात तुम्ही कसूर केली आहे म्हणून हमीनुसार आमच्याकडे रक्कम भरण्याचे दायित्व तारणकर्ता $\dot{V}$
.
रेत मंजूरी देऊन त्यांची
जामिनदार यांचे आहे म्हणून सदर सूचनेच्या तारखेपासून ६० दिवसांच्या आत (१) श्री. अशोक
कुमार धानुका यांच्या नावे दिलेल्या हमी आणि मान्य दराने उर्वरित मासिकासह चक्रवाढप्रमाणे
फिन लिमिटेड करिता
सही/-
पुढील व्याजासह रक्कम रू.४३,५८,२८६.३६ + १ वर्ष एमसीएलआर ७.७५+ स्प्रेड २.५०%+
राजेश आर. गुप्ता
स्थापकीय संचालक
२% थकबाकी व्याज अर्थात १२.२५% विद्यमान मासिक दराने व्याज ही रक्कम बँकेकडे पूर्णपणे
जमा करावी. तुम्हाला सल्ला आहे की, कर्जदाराच्या दायित्वासह जामिनदाराचे दायित्व विस्तारीत
त्यएन : ०००२८३७९ करावे.
ξ. आम्ही पुढे कर्जदार नामे मे. मानस फॅशन, मालक: श्री. आलोक ए. धानुका आणि तारणकर्ता/
जामिनदारांना, ज्यांनी सरफायसी कायदाअंतर्गत अंमलबजावणी असलेले बिगरशेत प्रतिभूती दिली
आहे असे (१) श्री. अशोक कुमार धानुका यांना सूचना देत आहोत की, रक्कम जमा करण्याच्या
तारखेपर्यंत व्याज व खर्चासह संपूर्ण रक्कम जमा न केल्यास सदर कायद्याच्या कलम १३ चे
त्ल्या व्यतिरिक्त) उपकलम ४ अन्वये आम्ही आम्हाला असलेले काही किंवा सर्व अधिकारांचा वापर करू.
संपलेले वर्ष G, कृपया नोंद असावी की, कर्जदार व जामिनदार हे पुढील व्याज व शुल्क इत्यादीसह संपूर्ण रक्कम
भरण्यास वेगवेगळेपणे किंवा संयुक्तपणे पात्र आहेत.
39.03.2028
लेखापरिक्षित
ι. कृपया नोंद असावी की, पूर्णपणे रक्कम जमा होईपर्यंत प्रत्येक ऋण सुविधेकरिता वर नमूदप्रमाणे
२६८३.२३ ٩. दराने व्याज पुढील चालू राहील.
तुम्हाला येथे सूचित करण्यात येत आहे की, सदर कायद्याच्या कलम १३ च्या उपकलम (१३)
39.3089 अन्वये आमच्या पूर्वपरवानगीशिवाय विक्री, भाडेपट्टा किंवा अन्य इतर प्रकारे वर संदर्भीत प्रतिभूत
2805.95 मालमत्तेच्या हस्तांतरणास तुम्हाला रोखण्यात येत आहे. कृपया नोंद असावी की, सदर कायद्यातील
तरतूदीचे उल्लंघन/अपूर्तता केल्यास ते कायद्याच्या कलम २९ अन्वये दंडात्मक गुन्हा ठरेल.
9894.08 80. अ.क्र.२ अंतर्गत संदर्भीत जामिनदारांनी सदर कर्जदारांच्या कर्जाकरिता वैयक्तिक हमी दिली आहे
आणि म्हणून आम्ही सल्ला देत आहोत की, आमच्या मागणीनुसार सर्व रक्कम जमा करावी अन्यथा
25,99.58
8888.00
तुमच्याकडून वेगवेगळेपणे रक्कम जमा करण्याची अधिकार आहे तसेच तुमच्या वैयक्तिक हमीवर
4060.84 आधारीत आमचे देयके वसुलीसाठी कायद्यानुसार तुमच्याविरोधात कारवाई केली जाईल.

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डीआयएन:०८२९६६३१

ट्रान्सकेम लिमिटेड

र्नेदणीकृत कार्यालयः ३०४, गणात्रा इस्टेट, पोखल्ग रोड क्र.१, खोपट, ठाणे (प.)-४००६०१. दूर.क्र.०२२-२५४७७०७७,
फॅक्स:०२२-२५४७८६०१, ई–मेल: [email protected], सीआवएन: एल२४१००एमएच१९७६पीएलसी०१९३२७
२० जून , २०२१ रोजी संपलेल्य

दिनांक : १२.०८.२०२१
ठिकाण : मुंबई

$\sqrt{25}$

(डीआयएन:००४४५००९)

(रु.लाखात, नमुद के
उत्तर परिवार

सपलली तिमाही सपलेली तिमाही सपलेली तिमाही सपलले वर्ष
तपशील 990, 90, 00 99.03.2028 0909.30.06 38.03.909
अलेखापरिक्षित लेखापरिक्षित अलेखापरिक्षित लेखापरिक्षि
एकुण उत्पन्न (निब्बळ) 888.30 826.30 3385.33 95.83.99
कालावधीकरिता निव्वळ नफा/(तोटा)
(कर, अपवादात्मक आणि/किंवा विशेष साधारण बाबपर्व) 883.88 95.30 5858.65 39.3089
करपूर्व कालावधीकरिता निव्वळ नफा/(तोटा)
(अपवादात्मक आणि/किंवा विशेष साधारण बाबनंतर) 88.989 95.38 २२६६.९२ 39.3089
करानंतर कालावधीकरिता निव्वळ नफा/(तोटा)
(अपवादात्मक आणि/किंवा विशेष साधारण बाबनंतर) 68.03 49.85 २२५३.६२ 9884.08
कालावधीकरिता एकूण सर्वकष उत्पन्न (कालावधीकरिता सर्वंकष नफा/(तोटा)
(करानंतर) आणि इतर सर्वकष उत्पन्न (करानंतर)) 68.83 e/e.33 9988.89 23.09.39
भरणा केलेले समभाग भांडवल (दर्शनी मुल्य रु.१०/ - प्रती) 8558.00 8888.00 8888.00 8888.00
डतर समभाग (मागील लेखापरिक्षित ताळेबंदपत्रकानसार) एन.ए. एन.ए. एन.ए. 4060.84
उत्पन्न प्रतिभाग (रू.१०/- प्रत्येकी) (वार्षिकीकरण नाही)
अ. मूळ ईपीएस 93.0 0.89 86.38 50.99
ब. सौमिकत ईपीएस 93.0 0.89 86.88 50.99

्रविद्यः सोमकृत इंगोएस ।
१. कंपनी कायदा २०१३ चे कलम १३३ आणि इतर मान्यताप्राप्त लेखा सराव व लागू मयदित योजनेअंतर्गत विहित कंपनी (भारतीय लेखाप्रमाण) अधिनियम, २०१५
१. कंपनी कायदा २०१३ चे कलम १३३ आणि इतर मान्यताप्राप्त लेखा

करण्यात आले. ्ट्रान्सकेम लिमिटेडकरिता
सही / – महेश सुरेश रणनवरे

स्थळ : ठाणे
दिनांक : १२.०८.२०२१
  1. तुम्हाला सुचना देण्यात येत आहे की, विहित वेळेत तुमचे खाते नियमीत न केल्यास आणि बँकेद्वारा ु
    तुम्हाला आरबीआवच्या मार्गदर्शनानुसार ऐच्छिक कसुरदार म्हणून घोषित केल्यास तर वसूलीकरिता
    बँकेकडे उपलब्ध सर्व कायदेशीर प्रक्रिया करण्याव्यतिरिक्त तुमचे नाव, पत्ता, कसूरीचे तपशिल, देयके इत्यादीसह वृत्तपत्रात तुमच्या छायाचित्रासह प्रसिध्द केले जाईल.

  2. आमही तुम्हाला सङ्घा देत आहोत की, सदर सूचना ही कोणत्याही पूर्वप्रहाशिवाय आहे आणि
    तुमच्याद्वारे देय असलेले रकमेसंदर्भात पुढील मागणी करण्याच्या आमच्या अधिकारासह तसेच
    वरील सर्व देयके वसूली करिता आमच्याकडे असलेले अन्य इतर

  3. प्रतिभूत मालमत्ता सोडवून घेण्यासाठी उपलब्ध वेळेसंदर्भात कायद्याच्या कलम १३ चे उपकलम
    (८) च्या तरतुदी अन्वये कर्जदारांचे लक्ष वेघण्यात येत आहे.

आपले विश्वास सही/-(सुनिल कुमार डोगरा) प्राधिकृत अधिकारी

SOLUTIONS THAT EMPOWER

नोंद.कार्यालय: ७८, रतनज्योत इंडस्ट्रीयल इस्टेट, इर्ला लेन, विलेपार्ले (प.), मुंबई-४०००५६. दूर.:६६८८९९००
कॉर्पोरेट ओळख क्रमांक: एल७२२००एमएच१९९५पीएलसी०९३१३०, वेबसाईट:www.dynacons.com ३० जून, २०२१ रोजी संपलेल्या तिमाहीकरिता अलेखापरिक्षित वित्तीय निष्कर्षाचा अहवाल

एकमेव एकत्रित
तपशील संपलेली
तिमाही
संपलेली
तिमाही
संपलेली
तिमाही
संपलेले
वर्ष
संपलेली
तिमाही
संपलेली
तिमाही
संपलेली
तिमाही
संपलेले
वर्ष
90.08.29 39.03.29 30.08.20 39.03.29 30.08.29 39.03.29 30.08.20 39.03.29
कार्यचलनातून एकूण उत्पन्न 98596.82 93900.96 4680.30 83060.80 98896.82 93900.38 4680.30 83024.98
कालावधीकरिता निव्वळ नफा/(तोटा)(कर,
अपवादात्मक आणि/किंवा विशेष साधारण बाबपूर्व)
899.93 885'28 900.92 9208.88 899.80 833.36 900.80 9989.36
करपूर्व कालावधीकरिता निव्वळ नफा/(तोटा)
(अपवादात्मक आणि/किंवा विशेष साधारण बाबनंतर)
899.93 885' 28 960.92 9208.88 899.90 833.36 960.80 9984.36
करानंतर कालावधीकरिता निव्वळ नफा/(तोटा)
(अपवादात्मक आणि/किंवा विशेष साधारण बाबनंतर)
328.06 393.89 983.03 85558 328.03 388.63 989.96 C43.03
₹.
कालावधीकरिता एकूण सर्वकष उत्पन्न
γ.
(कालावधीकरिता सर्वकष नफा/(तोटा) आणि
इतर सर्वकष उत्पन्न (करानंतर))
0.03
9.33
$-0.88$
$-9.29$
$-0.20$
9.68
9.82
$-3.97$
4.
समभाग भांडवल 990.39 990.39 990.39 990.39 990.39 990.39 990.39 990.39
राखीव (पुनर्मुल्यांकित राखीव वगळून) मागील
वर्षाच्या लेखापरिक्षित ताळेबंद पत्रकात दिल्यानुसार
3839.29 3884.08
उत्पन्न प्रतिभाग (रु.१०/- प्रत्येकी)
(खंडीत व अखंडीत कार्यचानलकरिता)
9. मूळ
२. सौमिकत
3.20 3.84 9.44 90.06 3.70 3.30 9.44 5, 23
टिप : लेखासमितीने वरील वित्तीय निष्कर्षाचे पूर्नविलोकन केले आहे आणि दिनांक १२ ऑगस्ट, २०२१ रोजी झालेल्या सभेत संचालक मंडळाने निष्कर्षास मान्यता दिली 3.22 3.84 9.99 90.09 3.33 3.3< 9.90 5,09
आहे. सेबी (लिस्टिंग ऑब्लिशन्स ॲण्ड डिस्क्लोजर रिकायरमेंट्स) स्प्फुलेशन २०१५ च्या नियम ३३ अन्यये १२ ऑगस्ट, २०२१ रोजी स्टॉक एक्सचेंजसह सादर करण्यात आलेली
त्रैमासिक वित्तीय निष्कर्षाचे सविस्तर नमुन्यातील उतारा आहे. त्रैमासिक वित्तीय निष्कर्षाचे संपूर्ण नमुना कंपनीच्या www.dynacons.com वेबसाईटवर आणि स्टॉक
एक्सचेंजच्या www.bseindia.com व www.nseindia.com वेबसाईटवर उपलब्ध आहे. संचालक मंडळाच्या वतीने व करिता
डायनाकॉन्स सिस्टिम्स ॲण्ड सोल्युशन्स लिमिटेडकरिता
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