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Mazda Ltd. — Annual Report 2021
Jul 3, 2021
62495_rns_2021-07-03_97717245-523f-4b40-a34c-a0bcbd027e5b.pdf
Annual Report
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3 July, 2021
To,
| Bombay Stock Exchange Limited | National Stock Exchange of India Limited |
|---|---|
| Corporate Relationships Department | Exchange Plaza, C-1, Block G, |
| I st Floor, New Trading Ring, | Sandra Kurla Complex, |
| Rotunda Building, | Sandra (E) |
| Phiroze Jeejeebhoy Towers, Dalal Street, | Mumbai - 400 051 |
| Mumbai- 400 001 |
|
| BSE CODE: 523792 | NSE CODE : MAZDA |
Subject: Disclosure under regulation 47 of SEBI (LISTING OBLIGATIONS and DISCLOSURE REQUIREMENTS) REGULATIONS, 2015, Audited Financial Results for the Quarter and year ended 31st March, 2021 - newspaper publication
Pursuant to Regulation 33 read with regulation 47(3) ofSEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015, please find enclosed a newspaper publication of the extract of the Standalone Audited Financial Results of the company for the quarter and year ended on 3 P1 March, 2021 , published in English and vernacular newspaper "Financial Express" .
Please take note ofthe same.
Thanking you
Yours faithfully For Mazda Limited L;
Nishith Kayasth Company Secretary
Encl: As above
Sales & Admn. Office : Mazda House, Panchwati 2nd Lane Ambawadi, Ahmedabad -380006. iNDIA Phone: +91 (0) 79 40007000 (30 Lines) +91 (0) 79 2644 2036, 37, 38 Fax : +91 (0) 79 2656 5605 E-mail : [email protected] Website : www.mazdalimited.com
Works & Registered Office : Works .. Unit-1
C/1-39/13/16, G.I.D.C., Plot No. 11 & 12, Hitendranagar C/1-A5, G.I.D.C., ~~~~o. 17/1, Phase-Ill Naroda, Sahakari Vasahat Ltd Odhav, G.I.D.C., Naroda, ' Ahmedabad- 382 330 N.H. Road, Naroda ., Ahmedabad- 380 015 Ahmedabad _ 382 330
+91 (0) 79 40267000 Phone: +91 (0) 79 40266900 +91 (0) 79 22872614, 4945 +91 (0) 79 65140791
Phone: +91 (0) 79 22821779 Ahmedabad- 382 340 Phone: +91 (0) 79 9879113091 Phone: +91 (0) 79 22822274
CIN : L29120GJ1990 PLC014293
TICE
કોસામકૂમ ફાચનાન્સ લી. KOSAMATTAM FINANCE LTD
notified that public auction of the
e conducted on 15/07/2021 The prowers who have failed to close
a being notified by letters sent by ive also been displayed at the tioned shall be auctioned on any le and date of auction shall be nd on the company website and ssued
1.4, 5 & 6, MANDAR COMPLEX, ADODARA-390001.
180,594,597
042,5055,5058,5062,5070
39,10640
49.1053.1057. 1,3043,3046.
1,1122,1123,1124,1126, 205.1213
h the following:on of the company: h Rupees Only ) by way of
the Limited. The same shall be
Ibe at the sole discretion of the
lore 14/07/2021.
Authorized Officer Kosamattam Finance Ltd.
ery Branch (SARB), Pune Mahatma Phule Peth, Seven Phone: 020-26446044 $\overline{2}$
Date:- 23.06.2021
ad, Kiwale, Pune-412101
CTION OF FINANCIAL ASSETS IN AFTER CALLED'ACT' ION 13(2) of SECURITISATION FORCEMENT OF SECURITY
lawana Branch, Pune from time various assets creating security redit facilities and the security " and 'B' respectively excluding undertaking for repayment of the int(s). 2. You have also created g security interest in favor of the Schedule 'B'. 3. The relevant
SVARAJ TRADING AND AGENCIES LIMITED CIN: L51100MH1980PLC022315
3016121
(A'bad) (Eng)
$f^{\circ}$ $\sigma$ $\epsilon$ $\times$ $P$ .
Registered Office: Office No.30, 2nd Floor, 380/82 Amruteshwar CHSL, J.S.S. Road, Mumbai-400002. Tele Nos.: 022-22053575; Website:svarajtrading.com, Email id: [email protected] STATEMENT OF STANDALONE AUDITED FINANCIAL RESULTS FOR THE QUARTER AND YEAR ENDED MARCH 31, 2021
| (198. IFFLBKNS) | ||||||
|---|---|---|---|---|---|---|
| Sr. $\overline{4}$ |
Quarter ended | Year ended | ||||
| No. | Particulars | 31-03-2021 31-12-2020 31-03-2020 31-03-2021 31-03-2020 | ||||
| Audited | Unaudited | Audited | Audited | Audited | ||
| Total Income from operations | 57.50 | 20.82 | 53.30 | 139.51 | 175.17 | |
| 2 1 | Profit(-Loss) before tax for the period | 45.51 | 10.96 | 42.57 | 99.95 | 134.18 |
| 3 1 | Net Profit(-Loss) for the period | 20.35 | 10.96 | 8.83 | 74.79 | 100.44 |
| Total Comprehensive Income for the period | 20.35 | 10.96 | 8.83 | 74.79 | 100.44 | |
| 5 1 | Paid-up equity share capital | |||||
| (Face Value of Rs.10/- each) | 1,475.00 1,475.00 1,475.00 1,475.00 | 1,475.00 | ||||
| 6 1 | Basic and diluted EPS | 0.14 | 0.07 | 0.06 | 0.51 | 0.68 |
The above is an extract of the detailed format of the standalone financial results for the quarter and financial year ended on March 31, 2021 filed with the Stock Exchange under regulation 33 of SEBI (Listing and Other Disclosure Requirements) Regulation 2015. The full format of the standalone financial results for the quarter and financial year ended on Ma Exchange website i.e. www.bseindia.com and Company website i.e. www.svarajtrading.com.
for and on behalf of the Board of Directors of Svaraj Trading and Agencies Limited
461.53
400.50
498.53
400.50
WEDNESDAY, JUNE 30, 2021
Harendra Gupta
Managing Director
DIN: 05335662
1664.52
1.650.46
400.50
1632.89
1,660.31
400.50
Place: Mumbai Date: 29th June 2021
Note
| MAZDA LIMITED Regd. Office: C/1-39/13/16 GIDC Naroda, Ahmedabad - 382 330 CIN: L29120GJ1990PLC014293 |
||||||||
|---|---|---|---|---|---|---|---|---|
| EXTRACT OF STANDALONE AUDITED FINANCIAL RESULTS FOR THE QUARTER AND YEAR ENDED 31 ST MARCH 2021 |
||||||||
| ( र in Lacs except EPS) Quarter Ended Year Ended |
||||||||
| Sr. No. |
Particulars | 31/03/2021 | 31/12/2020 | 31/03/2020 | ||||
| Audited | 31/03/2021 | 31/03/2020 | ||||||
| Unaudited | Audited | Audited | Audited | |||||
| 1 | Total Income from operations | 4026.22 | 4685.34 | 4685.84 | 15242.47 | 17968.36 | ||
| 2 Net Profit/(loss) from ordinary activities before tax, | 405.95 | 671.39 | 678.54 | 2209.08 | 2242.55 | |||
| exceptional or extra-ordinary items | ||||||||
| 3 1 | Net Profit / (loss) from ordinary activities after tax | 276.90 | 499.71 | 465.89 | 1632.89 | 1664.52 | ||
| 4 Net Profit / (loss) for the period after tax | 276.90 | 499.71 | 465.89 | 1632.89 | 1664.52 |
(after extraordinary items) Total Comprehensive Income for the period 310.92 [comprising profit/(loss) for the period (after tax) and other Comprehensive Income (after tax)]
Paid-up equity share capital (Face Value of ₹10 per share)
Other Equity excluding Revaluation Reserve
14342.32 12782.12 8 Basic and Diluted Earnings per share of ₹10/-each 6.91 $12.48$ $11.61$ 40.77 41.46 NOTE: The above is an extract of the detailed format of Quarterly Audited Financial Results filed with the Stock Exchanges under Regulation 33 of the SEBI (Listing Obligations & Disclosure Requirements) Regulations, 2015. The full format of Audited Financial Results for the quarter and year ended 31/03/2021 are available on the Stock Exchanges website i.e. www.bseindia.com and nseindia.com as well as on the Company's Website i.e. www.mazdalimited.com.
400.50
PLACE: AHMEDABAD DATE: 28/06/2021
AU
5
$\sqrt{6}$
FOR & ON BEHALF OF THE BOARD PERCY AVARI WHOLE-TIME DIRECTOR

Demand Notice Under Section 13(2) of Securitisation Act of 2002
As the loan account became NPA therefore the Authorized officer under section 13(2) of "The Securitisation and Reconstruction of Financial Assets and Enforcement of Security Interest Act 2002" had issued 60 days demand notice to the Borrowers/Co-borrowers/Mortgagers/Guarantors (collectively referred as "Borrowers") as given in the table. According to the notice if the borrowers do not deposit the entire amount within 60 days, the amount will be recovered from auction of the mortgage properties/secured assets as given below. Therefore you the borrowers are informed to deposit the entire loan amount along with future interest and expenses within 60 days from the date of demand notice, otherwise under the provisions of 13(4) and 14 of the said Act, the Authorized officer is free to take possession for sale of the mortgage properties/secured assets as given below.
Borrowers to note that after receipt of this notice, in terms of Section 13(13) of the Act, 2002, you are prohibited and restrained from transferring any of the secured assets by way of sale, lease or otherwise, vithout prior written consent of the secured credito
EMENTS LIMITED
PLC043776 19. Barakhamba Road, Connaught Place, New Delhi- 110001 ebsite : www.roccements.com, Email : roccement
[email protected] ILONE AUDITED FINANCIAL RESULTS
| (Rs.In Lacs) | ||||||
|---|---|---|---|---|---|---|
| Quarter ended |
Quarter ended |
Year ended |
Year ended |
|||
| 31.03.2021 31.03.2020 | 31.03.2021 | 31.03.2020 | ||||
| Audited | Audited | Audited | Audited | |||
| 0 | o | 0 | n | |||
| efore Tax. | ||||||
| items) | (4.43) | (4.01) | (13.12) | (12.68) | ||
| efore Tax | ||||||
| dinary items) | (4.43) | (4.01) | (13.12) | (12.68) | ||
| ifter Tax | ||||||
| dinary items) | (4.43) | (4.01) | (13.12) | (12.68) | ||
| the period | ||||||
| period (after tax) | ||||||
| e (after tax)] | (4.43) | (4.01) | (13.12) | (12.68) | ||
| 560.20 | 560.20 | 560.20 | 560.20 | |||
| Reserve as | ||||||
| revious year) | $(197.64)$ (184.52) | |||||
| sach) | ||||||
| operations) | ||||||
| (0.08) | (0.07) | (0.23) | (0.23) | |||
| (0.08) | (0.07) | (0.23) | (0.23) |
detailed format of Audited Financial Results for the Quarter and
fled with the BSE under Regulation 33 of the SEBI (Listing and
nions, 2015. The full format of the aforesaid Financial Results is www.bseindia.com and on the Company's website
For and on behalf of Board Directors of
RCC Cements Limited Sd/ Sunil Kumar
Managing Director
DIN: 00175301
गुंडाब शाणा - ग्राउिन्ड इसोर, ग्राम पंचायत जिल्डींग
મુ. અને પો. ઝુંડાલ, જી. ગાંદીનગર, ગુજરાત-૩૮૨૪૨૧
દેશી. નં.: ૮૪૪૯૯૧૮૨૯૨ ઇમેલ[email protected]
। નોટીસ (નિચમ ૮(૧))
जियन पेंक ओड़ एन्डियाना अधिकृत अधिकारीजे ટ્રક્શન ઓફ ફાયનાનિસ્થલ એસેટ્સ અને એનફોલમેન્ટ એક્ટ, २००२ हेઠળ અને સિક્યોરીટી ઇન્ટરેસ્ટ .
ના નિચમ 3 સાથે વંચાતી એક્ટની ક્લમ ૧૩(૧૨) योग हरीने ०२.०४.२०२१ तारीजे मांगए। (भागीनहार) श्री सवञ्जलार्थ अवीहास योठाशने , ૯૯, ૧૧૦. ૨૦ (१ ચોત્રીસ લાખ નવ્વાણુ હજાર એક્સો ावेલ नोटीस भज्यानी तारीज़थी ६० हिवसनी अंदृर
ચુકવણીમાં નિષ્ફળ ગયા હોવાથી દેવાદાર અને જાહેર આવે છે કે નીચે સહી કરનારે સિક્યોરીટી ઇન્ટરેસ્ટ ना नियम ८ साथे वंचाती सेक्टनी स्वम १३(४) हेडण स्थोग करीने अहीं नीये क्यावेस मिसकतनो संकेतिक lond) लीहाो छो
ांपसण्टा समय भयादि। अंगे सेक्टनी इसम १३(८) नी 1દારોનું દયાન દોરવામાં આવે છે.
श्मे भाइेर भगताने आर्थी मितस्त साथे सोहो न स्र्या iG&d સાથેનો કોઇપણ સોદો ચુનિયન ભેંક ઓફ ઈન્ડિયા, १, ६६, ११०.२० अने तेना परना व्याक्ले आधिन रहेशे.
માવર મિલકતોનું વર્ણન
ર દર્શાવતી પ્રાથમિક સિક્યોરીટી અને આનુષાંગિકની ग अने हिस्सा है षे इतेट नं. 1/403, वाछप्रन्ट होम्स થવા ૧૧૭ ચો. વાર જે પાંચમાં માળે, બિલ્ડિંગ નં. I al बरोड़ा जाते खावेल छे, ते सर्वे बं. ૯૯, झछनल . ૭૫ દારાવે છે તે મોજે મુઠિયા , તાલુકો અસારવા , પેટા 51) अने षिख्यो अभद्यावाद जाते आवेख छे. तेनी पूर्व : सोसायटीनो खांतरिक रोड, पश्चिम : क्ष्वेट नं दक्षिष्टा : ફ્લેટ નં.।/૫૦૨. આ મિલકતની માલિકી શ્રી । (દેવાદાર)ની છે અને તેમણે તે ગીરવે મૂકી છે
અધિકૃત અધિકારી युनियन जेंड ओड़ ईन्डिया

UNEICIE, GEICIE, dl. 30 %d, 2029
$f$ $\delta n$ . $E \times P$
NTEX PLASTICS TECHNOLOG SINTEX REGD. OFFICE :- In the premises of Sintex-BAPL Ltd., Near Seven Garnala, Kalol (N.G.)-382 721
Web Site: www.sintexplastics.com, E-Mail: [email protected] . CIN: L74120GJ2015PLC084071 Tel.No.(02764)-253500
3016
$924$
$(A')$ bad)
| Sr. No. |
Particulars | Quarter ended 31/03/2021 (Audited) |
Corresponding Quarter ended 31/03/2020 (Audited) |
Financial Year ended 31/03/2021 (Audited) |
Previous Financial Year ended 31/03/2020 |
||
|---|---|---|---|---|---|---|---|
| (A) | Extract of Consolidated Financial Results | (Audited) | |||||
| Total income from operations (Net) | 291.46 | 201.92 | 858.37 | 916.51 | |||
| 2. | Net Profit/(Loss) for the period (before Tax, Exceptional and/or Extraordinary items#) | (192.27) | (162.46) | (431.78) | (835.72) | ||
| 3. | NetProfit/(Loss) for the period before tax (after Exceptional and/or Extraordinary items#) | (192.27) | (941.77) | (431.78) | 1348.32) | ||
| 4. | Net Profit/(Loss) for the period after tax (after Exceptional and/or Extraordinary items#) | (203.83) | (963.09) | (648.31) | (1179.90) | ||
| 5. | Total Comprehensive Income for the period [Comprising Profit/(Loss) for the period (after tax) and Other Comprehensive Income (after tax)] |
(155.29) | (1074.69) | (570.71) | (1076.25) | ||
| 6. | Equity Share Capital | 63.62 | 63.10 | 63.62 | 63.10 | ||
| 7. | Reserves (excluding Revaluation Reserve) as shown in the Audited Balance Sheet | 757.33 | 1436.29 | ||||
| 8. | Earnings Per Share (of Re. 1/-each) (for continuing and discontinued operations) 1. Basic: 2. Diluted: |
(3.23) (3.20) |
(15.26) (15.02) |
(10.26) (10.18) |
(17.90) (17.62) |
||
| (B) | Key numbers of Standalone Financial Results | ||||||
| a. | Total income from operations(net) | 4.28 | 4.44 | ||||
| b. | Net Profit/(Loss) Before Tax | (4.06) | 1.26 | (16.18) | (344.05) | ||
| C. | Net Profit/(Loss) after Tax | 2.82 | 1.26 | (8.17) | (320.13) | ||
| Notes: 1. The Standalone and Consolidated Audited Financial Results were reviewed by the Audit Committee and approved by the Board of Directors in |
Notes: 1. In Standard Manufacture Automobilisation of the Constantine The International Controllect Constanting the Higher respective meetings held on June 28,2021.
2. Previous being of signers have been regrouped/rearrang
Date: June 29,2021
Place: Ahmedabad
For SINTEX PLASTICS TECHNOLOGY LIMITED
AMIT D. PATEL, CHAIRMAN & MANAGING DIRECTOR
કાયનાન્સિયલ:
SIN
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| MAZDA LIMITED |
|---|
| Regd. Office: C/1-39/13/16 GIDC Naroda, Ahmedabad - 382 330 CIN: L29120GJ1990PLC014293 |
| EXTRACT OF STANDALONE AUDITED FINANCIAL RESULTS FOR THE QUARTER AND YEAR ENDED 31 ST MARCH 2021 |
| (₹ in Lacs ex |
| and the state of the state of the state of |
| Sr. | Quarter Ended | Year Ended | ||||
|---|---|---|---|---|---|---|
| No. | Particulars | 31/03/2021 | 31/12/2020 | 31/03/2020 | 31/03/2021 | 31/03/2020 |
| Audited | Unaudited | Audited | Audited | Audited | ||
| Total Income from operations | 4026.22 | 4685.34 | 4685.84 | 15242.47 | 17968.36 | |
| $\overline{2}$ | Net Profit / (loss) from ordinary activities before tax, | 405.95 | 671.39 | 678.54 | 2209.08 | 2242.55 |
| exceptional or extra-ordinary items | ||||||
| 3 | Net Profit / (loss) from ordinary activities after tax | 276.90 | 499.71 | 465.89 | 1632.89 | 1664.52 |
| 4 | Net Profit / (loss) for the period after tax | 276.90 | 499.71 | 465.89 | 1632.89 | 1664.52 |
| (after extraordinary items) | ||||||
| 5 | Total Comprehensive Income for the period | 310.92 | 498.53 | 461.53 | 1.660.31 | 1.650.46 |
| (comprising profit/(loss) for the period (after tax) and | ||||||
| other Comprehensive Income (after tax)] | ||||||
| 6 | Paid-up equity share capital (Face Value of ₹10 per share) | 400.50 | 400.50 | 400.50 | 400.50 | 400.50 |
| $\overline{7}$ | Other Equity excluding Revaluation Reserve | 14342.32 | 12782.12 | |||
| 8 | Basic and Diluted Earnings per share of ₹10/-each | 6.91 | 12.48 | 11.61 | 40.77 | 41.46 |
NOTE: The above is an extract of the detailed format of Quarterly Audited Financial Results filed with the Stock Exchanges under Regulation 33 of the SEBI (Listing Obligations & Disclosure Requirements) Regulations, 2015. The full format of Audited Financial Results for the quarter and year ended 31/03/2021 are available on the Stock Exchanges website i.e. www.bseindia.com and nseindia.com as well as on the Company's Website i.e. www.mazdalimited.com.
PLACE: AHMEDABAD DATE: 28/06/2021
$\widehat{A}$
FOR & ON BEHALF OF THE BOARD PERCY AVARI WHOLE-TIME DIRECTOR

Water • Power • Progress Vadodara - 390 003. Ph.: 0265-2282049 / 2282036, Fax: +91-265-2281871 Website: http://www.jyoti.com Email: [email protected], CIN:L36990GJ1943PLC000363