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Paramount Communications Ltd. — Interim / Quarterly Report 2022
Feb 15, 2022
59350_rns_2022-02-15_a9424cdf-f4e5-4332-88d5-5959b6d39f86.pdf
Interim / Quarterly Report
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PCL/SE/2/2022
| PCL/SE/2/2022 | 15.02.2022 |
|---|---|
| The Corporate Relationship Department | The General Manager- Listing |
| The Bombay Stock Exchange Ltd. | National Stock Exchange of India Ltd. |
| Phiroze Jeejeebhoy Towers, | "Exchange Plaza", Bandra-Kurla Complex, |
| Dalal Street, | Bandra (East), |
| Mumbai-400 001 | Mumbai-400 051 |
| Symbol/Scrip Code: (BSE)530555/(NSE) PARACABLES | |
| of SEBIAs_perRegulationSub:47 | Requirements)ObligationsDisclosureand(Listing |
| Regulations, 2015 on Publication of Un-Audited Financial Results for the Quarter and Nine |
Symbol/Scrip Code: (BSE)530555/(NSE) PARACABLES
Sub: As_per Regulation 47 of SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015 on Publication of Un-Audited Financial Results for the Quarter and Nine
Dear Sir,
We wish to inform you that Board of Directors of the Company at its meeting held on 12.02.2022 has approved the Un-Audited Financial Statements (Standalone & Consolidated) for the quarter and nine months ended on 31.12.2021
Pursuant to regulation 47 of SEBI (Listing Obligation and Disclosure Requirement) Regulations, 2015, please find enclosed herewith newspaper clippings of Un-Audited Financial results for the Quarter and nine months ended 31.12.2021 published in Financial Express & Jansatta on 14.02.2022.
Kindly take the above document and / or information on your record.
Thanking you,

Paramount Communications Ltd Paramount House C-125 Naraina Industrial Area Phase-1 New Delhi - 110028 t: +91 11 45618800 f: +91 11 25893719-20 [email protected] www.paramountcables.com CIN : L74899DL1994PLC061295
NEELKANTH ROCK-MINERALS LIMITED
| BY ORDER OF THE BOARD OF DIRECTORSFOR NEELKANTH ROCKMINERALS LIMITED | |
|---|---|
| adliNORLATMUAL K.AWAR | |
| Place : JODHPUR | MANAGING DIRECTOR |
| Dabo : February 12, 2027 | DIN; 00464495 |
WWW.FINANCIALEXPRESS.COM
| FINANCIAL EXPRESS | |||
|---|---|---|---|
| NEELKANTH ROCK-MINERALS LIMITEDREGISTERED OFFICE: FLAT NO. 606, SCHEME CHOPASANI JAGIR,KHASRA NO. 178/74, PLOT NO. 15/16 JODHPUR, RAJASTHAN-242001 | CIN NO, L14219RJ1988PLCOG2162 | |||
|---|---|---|---|---|
| EXTRACT OF UNAUDITED FINANCIAL RESULT FOR THEQUARTER ENDED 315T DECEMBER, | 2021 | |||
| onNo. | "SL Particulars | aS3 Month Ended]21.12.2021 | figures for current month ended inperiod ended41.12.2021 | ___ffis. in LakhsYearfodate correspondingthe previous year31.12.2020 |
| Unaudited | Unaudited | Unaudited | ||
| 1 [Total income from Operations(2 [Net Profit / (Lose) for the period[betore Tax, Exceptional andlor | 3.46117 | 3,559.46 | O32400 | |
| Extraordinary items 3 Not Profit / Loss) for the periodbefore tax (ater Exceptional — janclor Extraordinary iternst } | 1.17 | $48 | 40 | |
| 4 [Net Profit / (Logs) for the periodafter tax jaer Exceptional andicr Exttreordinary theres | AT | 9.d6 | AM | |
| 5 [Total Comprehonsive income forthe period [Comprising Profit / Loss} for the portod (after tax} and{Other Compraheraive Income {after tan] | 147 | A | "4.00 | |
| 6 [Equity Share Capita7 [Reserves (excluding RevaluationRosorve) a shown in the AuditedBalance Shoat of the previous year | 504.37 | 604.37 | 60d, 37 | |
| 8 [Earnings Per Share (face value ofRis. 10/- each) (for continuing anddiscontinued operations) + 1, Basic2. Dilute: | 0.02 | 0.00 | 0.00 | |
| = | Note: 1 The above is an extract of the dotaited format of 'Quarterly Financial Rooults fledwith the Stack exchange under Regulatian 32 of the SEB! (Listing and Other Disclosure Requirements) Regulations, 2015, The full format of the Quarterty Financial Reaults areavailable on the Stock Exchange website (wew.beaindia.com). | BY ORDER OF THE BOARD OF DIRECTORS | ||
| Place : JODHPUR | FOR NEELKANTH ROCKMINERALS LIMITEDadliNORLATMUAL K.AWARMANAGING DIRECTOR |
| WWW.FINANCIALEXPRESS.COM | |||||
|---|---|---|---|---|---|
| FINANCIAL EXPRESS | |||||
| ae0) 1:Meme BormanBRANCH: Haryana | '[e0) :(IIFL-HFL) under the Securitisation and Reconstruction of Financial Assets and Enforcement of Security Interest Act 2002 and in exercise ofpowers conferred under section 13(12) read with Rule 3 of the Security Interest (Enforcement) Rules 2002, a Demand Notice was issued by theAuthorised Officer of the company to the Borrower/Co-Borrowers mentioned herein below to repay the amount, notice is hereby given to the borrower and the public in general that the undersigned has taken possession of the property described herein below in exercise of powers conferredon him under Section 13(4) of the said Rules. The borrower in particular and the public in general are hereby cautioned not to deal with theproperty and any dealings with the property will be subject to the charge of IIFL HFL for an amount as mentioned herein under with interest thereon."The borrower's attention is invited to provisions of sub-section (8) of section 13 of the Act, If the borrower clears the dues of the "IIFLHFL" together with all costs, charges and expenses incurred, at any time before the date fixed for sale or transfer, the secured assetsshall not be sold or transferred by "IIFL HFL" and no further step shall be taken by "IIFL HFL" for transfer or sale of the secured assets.Description of the Secured Asset (Immovable Property) | Trimgovavie Frovertyotal OutstandingDues (Rs.) | wates ' | Date ofNotice POSSession | ilst care is taken prior toacceptance of advertisingcopy, it is not possible to verifyTheits contents.IndianExpress (P) Limited cannot beheld responsible for suchcontents, nor for any loss ordamage incurred as a result oftransactions with companies,associations or individuals |
| Mr-Ravir Mr Floshivar = Allthat=piece-and=parcel of:-Flat-No:Singh, Mrs.Lalita Devi L5/201, admeasuring 550 Sq.Ft.) (Rupees Eight Lakh(Prospect No 865004) Tower-L-5 2nd Floor, Sec-70, BaiAnanda, Bhiwadi, Distt. Alwar,Pincode: 301707, Rajasthan, India. | Rs-8;09;786/-Nine ThousandSeven HundredEighty Six Only) | "23-Sep-2021 11-Feb-2022" | advertising In its newspapersor Publications. We thereforerecommendreadersthatmake necessaryinquiriesbefore sending any monies or | ||
| No. 98, Udyog Vihar, Ph-lV Gurgaon, Haryana. | For, further detaits please contact to Authorised Officer at Branctr Office: ttFL House, Sur infotech Park, RoadNo.16V, Plot No.B-23, Thane Industrial Area, Wagle Estate, Thane-400604/or Corporate Office: IIFL Tower, Plot | entering into any agreementswith advertisers or otherwiseacting on an advertisement inany manner whatsoever. | |||
| qforera da w) Union Bank | B-XV-295/B & B-XV-295/C, NEAR OSWAL |
| ce | |
|---|---|
| 2 Bl >i |
Summi ¢) SUMMIT DIGITEL INFRASTRUCTURE PRIVATE LIMITED
| MONDAY, FEBRUARY 14, 2022 | |||||
|---|---|---|---|---|---|
| CHENNAI MEENAKSHI MULTISPECIALITY HOSPITAL LIMITEDMee mEPh: 044-47938938, Fax: 044-24993282, Email: cmmbospitalsi)gmail.com, Web: www.cmmb.in | ee(Formerly Known as Devaki Hospital Limited)Ce | eee | las ite mm lle om Pe | ||
| Extract of Unaudited Financial Results (Standalone) for the Quarter and Wine Months Ended | dist December, 2021 | (Rupees) in Lakhs | |||
| Particulars | Quarter Ended | 90.12.2021 20.09.2081 S220 3112202) 31.02.2020 31032021_ Unaudited Unaudited Unaudited Unaudited Unaudited Audited | Ning Moaths Ended | Year Ended |
Extract of Unaudited Financial Results (Standalone) for the Quarter and Wine Months Ended
B-XV-295/B & B-XV-295/C, NEAR OSWAL SUS RS ce Cee es eRe 141003, Tel No.0161-2545764,2545765
Rule-S (1) POSSESSION NOTICE (for Immovable Property)
Notes:
| For and on behalf of Board of Directors of | |
|---|---|
| Place : Chennai | CHENNAI MEENAKSHI MULTISPECIALITY HOSPITAL LIMITED |
| 12th February, 2027 Dated : |
| MONDAY, FEBRUARY 14, 2022 | |||||||
|---|---|---|---|---|---|---|---|
| Ph: 044-47938938, Fax: 044-24993282, Email: cmmbospitalsi)gmail.com, Web: www.cmmb.inExtract of Unaudited Financial Results (Standalone) for the Quarter and Wine Months Ended | CHENNAI MEENAKSHI MULTISPECIALITY HOSPITAL LIMITEDMee mE | eeCe | eee(Formerly Known as Devaki Hospital Limited) | las ite mm lle om Pe | |||
| dist December, 2021 | (Rupees) in Lakhs | ||||||
| Quarter Ended | Ning Moaths Ended | Year Ended | |||||
| Particulars | 90.12.2021 20.09.2081 S220 3112202) 31.02.2020 31032021 | ||||||
| Total income from Operations (Met) | TOR.15 | _ Unaudited Unaudited Unaudited Unaudited Unaudited Audited679.02 | 582.91 247842 1397.62 2000.08 | ||||
| Met Profit / (Loss) trom OrdinaryActnaities before Tax | 17.91 | 10.91 | 3.16 | 440.42 (124.05) | (124.98) | ||
| Met Profit / (Loss) from OndenaryActivities atter Tax | 1791 | 10.91 | 4.16 | 440.42) (1724.05) | (124.99) | ||
| Total Comprehensive Incame for thePeriod | 179] | 10.91 | 4.16 | 440.47) (1274.05 | (170.97) | ||
| Equity Share Capetal (Face Value of Ris. 10/-per share)Reserves jaccluding Revaluation haserve | 746.692) 746.892) | 746-892 746.892 46.892 ) 746.892 | |||||
| as shown in the Balance Sheet ofPraviows Year)Eamings per Share (EPS) (Not annualised](Face Value of As. 10/- per share} | (1223.92) | ||||||
| Basic EPS (in Rs.)Diluted EPS fin Rs.) | 0.24O24 | 0.150.15 | 0.040.04 | 5.909.90 | (1.66](1.66) | (1.67)(1.67) | |
| Notes:1. The above results have been reviewed and recommended for adoption by the Audit Committee and approved bythe Board of Directors at their meeting bald on 12th February, 2022,2. The above is an extract of the detailed format of Financial Results for the Quarter end Nine Months Ended on31.12.2021 fded with the Stock Exchange under Regulation 33 of the SEB (Listing Obligations and DisclosureRequiraments} Regulations, 2015. The full fonmat of the Quarter and Nina Months Ended Financial Results areavailable on the Stock Exchange Website (wwew.bseindia.com) and onthe Company's website (www.cmmbh.in]Place : Chennai12th February, 2027 Dated : | For and on behalf of Board of Directors ofCHENNAI MEENAKSHI MULTISPECIALITY HOSPITAL LIMITEDA. GOMATHI - MANAGING DIRECTOR | ||||||
| DEMAND NOTICE | |||||||
| Under Section 13[2) of tha Secuntsation And Reconsiruchon of Financial Assets And Enforcement of Security Interest Act, 2002[the said Ach) road with Rule 3 (1) of the Securty Interest (Enforcement) Rules, 2002 (the said Rudes), In meercise of powersconferred under Section 13(12) of the sand Act read wilh Rule 3 of the sad Rules, the Authonsed Oticer of (FL Home FinanceLtd {FL AFL) Formery mown as India Infoline Housing Finance Ltd.) has issued Demand Notices under section 13/2) of the saidAct, calinguponthe Borrower(s), darepay the amount mentioned in the respective Demand Notices 5) sued to them. in connectionwith above, nolica is hereby given, ance agam, to the Borrower(s) to pay within @0 dens from the publication of this motica, theamounts indicated herein below, together wilh further interest from the -deie(s}-of Demand Malice tf the dale of payment. The detailof theBonrcwer(s}, amour dueason date of Demand Nolice and security offered towards repaymentol loan anountare asunder | |||||||
| Demand NoticeDate & Amount | asset (immovable property) | Description of secured | |||||
| 10-Feb-2022 Rs. 22,65,846i- (RupeesTwenty Two Lakh Sixty Five Thousand Eight | All thal piace and parcel of the proparty being : Ho.240, admeasuring 50 sq, ys. out of Khasna Ma,BOT 401, siualid at Vilage Wichanpur, Near RehmanBuilding, Behind J .& K Bank and Remyane Bhawan,Wiest Rohtash Magar Snahdara, Delhi, 110052, india |
DEMAND NOTICE
| ? Reserves | (Terra | (52.455) | ||
|---|---|---|---|---|
| +0 0©= (Details. of Oulstaning Redeemable: Preference Shares (RPS) | ||||
| 0% Redeemable, Non-Participating,Mon-Cumulalive, Mon-Gonvertible | 50,000,000 | 500} | 50,000,000 | 500 |
| Praviows Year)Eamings per Share (EPS) (Not annualised] | (1223.92) | ||||||
|---|---|---|---|---|---|---|---|
| (Face Value of As. 10/- per share}Basic EPS (in Rs.)Diluted EPS fin Rs.) | 0.24O24 | 0.150.15 | 0.040.04 | 5.909.90 | (1.66](1.66) | (1.67)(1.67) | |
| Notes:1. The above results have been reviewed and recommended for adoption by the Audit Committee and approved bythe Board of Directors at their meeting bald on 12th February, 2022, | |||||||
| 2. The above is an extract of the detailed format of Financial Results for the Quarter end Nine Months Ended on31.12.2021 fded with the Stock Exchange under Regulation 33 of the SEB (Listing Obligations and DisclosureRequiraments} Regulations, 2015. The full fonmat of the Quarter and Nina Months Ended Financial Results areavailable on the Stock Exchange Website (wwew.bseindia.com) and onthe Company's website (www.cmmbh.in] | For and on behalf of Board of Directors of | ||||||
| Place : Chennai12th February, 2027 Dated : | CHENNAI MEENAKSHI MULTISPECIALITY HOSPITAL LIMITED | ||||||
| Under Section 13[2) of tha Secuntsation And Reconsiruchon of Financial Assets And Enforcement of Security Interest Act, 2002[the said Ach) road with Rule 3 (1) of the Securty Interest (Enforcement) Rules, 2002 (the said Rudes), In meercise of powersconferred under Section 13(12) of the sand Act read wilh Rule 3 of the sad Rules, the Authonsed Oticer of (FL Home FinanceLtd {FL AFL) Formery mown as India Infoline Housing Finance Ltd.) has issued Demand Notices under section 13/2) of the saidAct, calinguponthe Borrower(s), darepay the amount mentioned in the respective Demand Notices 5) sued to them. in connectionwith above, nolica is hereby given, ance agam, to the Borrower(s) to pay within @0 dens from the publication of this motica, theamounts indicated herein below, together wilh further interest from the -deie(s}-of Demand Malice tf the dale of payment. The detailof theBonrcwer(s}, amour dueason date of Demand Nolice and security offered towards repaymentol loan anountare asunder | DEMAND NOTICE | ||||||
| Demand NoticeDate & Amount | Description of securedasset (immovable property) | ||||||
| 10-Feb-2022 Rs. 22,65,846i- (RupeesTwenty Two Lakh Sixty Five Thousand Eight | BOT 401, siualid at Vilage Wichanpur, Near Rehman | All thal piace and parcel of the proparty being : Ho.240, admeasuring 50 sq, ys. out of Khasna Ma,Building, Behind J .& K Bank and Remyane Bhawan,Wiest Rohtash Magar Snahdara, Delhi, 110052, india | |||||
| 10-Feb-2022 Prospect no, 940222 Rs.S,67,771/- (Rupees Free Lakh Soty SevenThousand Seven Hundred Seventy One Only)Thousand Mine Hundred Fifteen Oriy)Prospect no, 846585 Rs. 32,61,915)-(Rupees Therty Two Lakhs Sixty One | All that piece and parcel atthe property besng ; Burl Wa | Property Bearing Municipal Wo. xw1a27 Bui On PlotOf Land Measuring About 10X78" LE. 16.722 Sq.Airs, On Ground Floor Without Terrace Rights ,Silueiad At Chowk Sangirashan, Bagichi RamChander Pahar Gare New Defi 110055, Dethi, India | |||||
| 10-Feb-2022 Prospect no, 875333 Rs.2,98, 436)- (Rupees Three Lakh Ninety EightThousand Four Hundred Thirty Six Only)Prospect mo, 819445 Rs, 6,43, 706) (RupeesSac Lakh Forty Three Thousand Seven | ac measuring $334,108. | All that pace and parcel of the property being PlatNoa, Khesra No. 968, Wake Balai Nagar, MauraGhatwasan, Agra, Uttar Pradesh, 262005 | |||||
| 09-Feb-2022 Prospect no. S07607 Rs.26,15, 860". (Rupees Twely Six Lakh FilteenThousand Eight Hundred Sixty Only}Prospect Wo. 909305 Rs. 292.050-- (RupessTwo Lakh Minely Two Thidusand Falty Griy) | Delhi Inada | AD that piece and parcel of the property being : FirstFloor, Plot No S 732, acneasuning 95 sq. yas, Bin5, Front Side Mohan Garden Uttam Nagar. | |||||
| OF-Fob-2022 Prospect No. 919789 Res.207 O22!- (Rupeas Two Lakh Sevanty SavenThousand and Twenty Two Only) ProspectExghteen Lakh Eighigen Thousand Two Khaton No 1756 1159, Kila No 13/7 1-13 18/3 1-7 19 | 1E,18,259)- (Rugeas | AR That pete and parcel Of the property being Fldarea measuring 1800 5q.ft part of Kn Mo S67/952.Ba) Sat 0 2 4-7 17 7-13 12 2-0 FaridabadPincoda: 121004, Haryana | |||||
| Section 134) of the said Act, and the applicable Rules, eniirely al the nsks, costs and consequences of lhe Borctevars.For, furtherdelaiks please conlact lo Authored OMG al Branch Otice :IIFL AFL Plol No. 20908, Upper Ground Floor, Main Sheva MaryNajaigarh Road, Beside Jaguar Showroom, Moti Nagar, New Delhiand Unit No 309, Third Floor, Padam Business Park, Plot inoINS-1, Sechor 124, Awas Vikas, Sixandra Yojna, Agra, 262007 for Carparaie Office : IIFL Tower, Pict Wo. 98, Udyog Vihar, Ply | $d- Authorised Officer. For FL Home Finance Ltd |
| Balance Shoat of the previous year | Basic EPS (in Rs.) | (Face Value of As. 10/- per share} | 0.24 | 0.15 | 0.04 | 5.90 | (1.66] | (1.67) | ||||||||||||||||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| 8 [Earnings Per Share (face value ofRis. 10/- each) (for continuing and | Diluted EPS fin Rs.) | O24 | 0.15 | 0.04 | 9.90 | (1.66) | (1.67) | |||||||||||||||||
| discontinued operations) + 1, Basic | Notes: | 1. The above results have been reviewed and recommended for adoption by the Audit Committee and approved by | ||||||||||||||||||||||
| = | 2. Dilute: | 0.02 | 0.00 | 0.00 | SUS RS ce Cee es eReB-XV-295/B & B-XV-295/C, NEAR OSWAL | the Board of Directors at their meeting bald on 12th February, 2022, | ||||||||||||||||||
| Note: 1 The above is an extract of the dotaited format of 'Quarterly Financial Rooults fledwith the Stack exchange under Regulatian 32 of the SEB! (Listing and Other Disclosure | 2 Bl >i | ce | 141003, Tel No.0161-2545764,2545765 | 2. The above is an extract of the detailed format of Financial Results for the Quarter end Nine Months Ended on | ||||||||||||||||||||
| Requirements) Regulations, 2015, The full format of the Quarterty Financial Reaults areavailable on the Stock Exchange website (wew.beaindia.com). | Rule-S (1) POSSESSION NOTICE (for Immovable Property) | 31.12.2021 fded with the Stock Exchange under Regulation 33 of the SEB (Listing Obligations and DisclosureRequiraments} Regulations, 2015. The full fonmat of the Quarter and Nina Months Ended Financial Results are | ||||||||||||||||||||||
| Whereas, the undersigned being the Authorized officer of the e-Andhra Bank, now UNION BANK OF INDIA, | available on the Stock Exchange Website (wwew.bseindia.com) and onthe Company's website (www.cmmbh.in] | |||||||||||||||||||||||
| BY ORDER OF THE BOARD OF DIRECTORSFOR NEELKANTH ROCKMINERALS LIMITED | Millergan Branch, Ludhiana, under the Securitization and Reconstruction of Financial Assets and | Place : Chennai | For and on behalf of Board of Directors of | |||||||||||||||||||||
| adli | Enforcement of Security Interest Act,2002 and in exercise of powers conferred under section 13/12) read withRules 8 and 9 of the Security Interest (Enforcement) Rules, 2002 issued Demand Notices dated mentioned as | Dated : | 12th February, 2027 | CHENNAI MEENAKSHI MULTISPECIALITY HOSPITAL LIMITED | ||||||||||||||||||||
| Place : JODHPUR | NORLATMUAL K.AWARMANAGING DIRECTOR | below calling upon the borrower(s)/Gurantor(s) to repay the amount mentioned in the Notice(s) being within 60 | DEMAND NOTICE | |||||||||||||||||||||
| Dabo : February 12, 2027 | DIN; 00464495 | days from the date of receipt of (he said Notices,The Bornower!s/Guarantor/s'Mortgagor's having failed to repay the amount, notce is hereby given to the | Under Section 13[2) of tha Secuntsation And Reconsiruchon of Financial Assets And Enforcement of Security Interest Act, 2002 | |||||||||||||||||||||
| borrower( s) ofthe property and the public in general that the undersigned has taken possession of the property | [the said Ach) road with Rule 3 (1) of the Securty Interest (Enforcement) Rules, 2002 (the said Rudes), In meercise of powers | |||||||||||||||||||||||
| described herein below in exercise of powers conferred on himiher under sub Section (4) of Section (13) of Actread with rule 8 of the Security Interest(Enforcement) Rules, 2002, on these dates mentioned agains! below | conferred under Section 13(12) of the sand Act read wilh Rule 3 of the sad Rules, the Authonsed Oticer of (FL Home FinanceLtd {FL AFL) Formery mown as India Infoline Housing Finance Ltd.) has issued Demand Notices under section 13/2) of the saidAct, calinguponthe Borrower(s), darepay the amount mentioned in the respective Demand Notices 5) sued to them. in connection | |||||||||||||||||||||||
| ¢) SUMMIT DIGITEL INFRASTRUCTURE PRIVATE LIMITEDSummi | ffommerty known as Reliance Jio infratel Private Limited} | accounts. | with above, nolica is hereby given, ance agam, to the Borrower(s) to pay within @0 dens from the publication of this motica, the | |||||||||||||||||||||
| GIiFEL | CIN - U64200MH ANSP T Car i4a6 | The Borrower/GuarantorMortgagor/Partners in particular and the public in general are hereby cautioned not todeal with the property and any dealings with the property (ies) will be subject to the charge of the e-Andhra Bank, | amounts indicated herein below, together wilh further interest from the -deie(s}-of Demand Malice tf the dale of payment. The detail | |||||||||||||||||||||
| Registered Office - Wnit-2?, 9° Floor, Towert, Equinox Business Park, LAS Marg, Kurla (i), Mumbai 00070. MaharashbaPhone: O22 BOO efoe Ennalt: Ssecralarlalizeummitegeel. com Website: were'. SLM | mel. con | now UNION BANK OF INDIA, Millergan Branch, Ludhiana for an aggregate amount of as menboned below + | of theBonrcwer(s}, amour dueason date of Demand Nolice and security offered towards repaymentol loan anountare asunder | |||||||||||||||||||||
| EXTRACT OF UNAUDITED FINANCIAL RESULTS FOR THE QUARTER ENDED DECEMBER 31, 2021 | future interest thereon and costs, atc.The borrower's attention is invited to provision of sub-section (8) of section 13 of the Act, in respect of | Name of theBorrower(s). | Demand NoticeDate & Amount | Description of secured | asset (immovable property) | |||||||||||||||||||
| (Rs, in Million, except per share data and ratios) | LeEetime available, to redeem the socured assots. | Description | Date of | Amount | NGuarantor s} | 10-Feb-2022 Rs. 22,65,846i- (Rupees | All thal piace and parcel of the proparty being : Ho. | |||||||||||||||||
| Furliculere | QuarterReena | et,Year | Pe tstuee | etaa.Tales | immovable Property Notice Possession) Outstanding | a) | Ot tually: | Date ofrr | ae | Air -Suneder Lal, M | al, hrs. | Twenty Two Lakh Sixty Five Thousand EightBaena (Prospect No. Hundred Forty Six Only) | 240, admeasuring 50 sq, ys. out of Khasna Ma,BOT 401, siualid at Vilage Wichanpur, Near Rehman | |||||||||||
| ae | 870029) | Building, Behind J .& K Bank and Remyane Bhawan,Wiest Rohtash Magar Snahdara, Delhi, 110052, india | ||||||||||||||||||||||
| rliP | 024 | Borrower(s)SUPER PAPERS, A-11,] building located admeasuring 550 sq yds situaledat MCNo. (Rupees | Mis.] EMG of Residential land and 23,09.2020) 11.02.2022 Rs, 4,37,81,671/- | All that piece and parcel atthe property besng ; Burl Wa | ||||||||||||||||||||
| ¢ Total Income from Operations | Unaudited24.003 | Audited90 506 | cnhlons. if wedi | B-XIM-165.1-4, 8, Plot no: 76-A situated al Dr. Sham Singh ae er | ge | Four! 4, Viiay Thakur, MesBased apy | 10-Feb-2022 Prospect no, 940222 Rs.S,67,771/- (Rupees Free Lakh Soty Seven | Property Bearing Municipal Wo. xw1a27 Bui On Plot | ||||||||||||||||
| 2 Net Profit J (Loss) for the period (before Tax, Exceptional andior: | \ | (8.7545 | (23,300) | Mortgagor/Partners):- Road, Opp. Samiti Kendra, Civil Lines, Vakia Tart, Gehlewal , cna aid ttyLica PalUaAranto | O. | Thousand Seven Hundred Seventy One Only)Prospect no, 846585 Rs. 32,61,915)- | Of Land Measuring About 10X78" LE. 16.722 Sq.Airs, On Ground Floor Without Terrace Rights , | |||||||||||||||||
| Extraordinary tems) | 1). | Mr. | PARAMJIT Ludhiana belonging to Mr. S, Paramjit Singh S/o Sh. Atma hundred seventy one | Thousand Mine Hundred Fifteen Oriy)(Rupees Therty Two Lakhs Sixty One | Silueiad At Chowk Sangirashan, Bagichi Ram | |||||||||||||||||||
| 3. Net Profit / (Less) for the period before tax (afer Exceptional andorExtraordinary ites) | (8,794) | (23,380) | (1).SING | SINGH S/O ATMArs | singh and Smit, Anita, W/o S, Paramjit Singh, East: Road ,West: Neighbour, North: Neighbour, South : Road | rupees only) as on34-08-2070 and | Chander Pahar Gare New Defi 110055, Dethi, India | |||||||||||||||||
| 4 Net Profit / (Loss) for the period after tax (after Exceptional and/oredisaailiieey Mean) | (8, 7o4) | {23-380} | INGH Rio H No. 165/35,Doctor Sham Singh Road, Civil Line, Ludhiana 141001 (2). Mr. KARANJIT SINGH [interest thereon, | Mrs. Pocram SharmaMr. Akhilesh Sharma, | 10-Feb-2022 Prospect no, 875333 Rs.2,98, 436)- (Rupees Three Lakh Ninety Eight | All that pace and parcel of the property being PlatNoa, Khesra No. 968, Wake Balai Nagar, Maura | ||||||||||||||||||
| gs. Total Comprehensive incarie for tha penicd [Gantariaang Prot (Loca) | (8,153) | (23.300) | S/O Mr, PARAMJIT SINGH H No, 165/3, Doctor Sham Singh Road, Civil Line, Ludhiana 141001 (3). Mr. | Rnushi Beauty Pariour | Thousand Four Hundred Thirty Six Only) | Ghatwasan, Agra, Uttar Pradesh, 262005 | ||||||||||||||||||
| (atler tax) and Other Comprehensive income {afler tax] | rae eeePRAVJIT SINGH S/O Mr. PARAMJIT SINGH H No, 165/3, Doctor Sham Singh Road, Civil Line, Ludhiana ," prane(trocnen | Prospect mo, 819445 Rs, 6,43, 706) (RupeesSac Lakh Forty Three Thousand Seven | ac measuring $334,108. | |||||||||||||||||||||
| 6 Paid-up Equity Share Capital | 2,150 | 2.150 | OMAN | W/O PARAMJIT SINGH R/O H No. 165/3, Doctor Sham Singh Road, Civil Line, | Hundrad Six erty) | |||||||||||||||||||
| ? Reserves4 Net Worth | (Terra(75,661) | (52.455){50.345} | :Borrower/s/Guarantor/s Equitable mortgage of Residential 03.05.2021] NO22022 Rs. 1,75,75,434/- | He | ee | 09-Feb-2022 Prospect no. S07607 Rs. | AD that piece and parcel of the property being : First | |||||||||||||||||
| Se See Capt Cay aeer eee ee eee ata emrey Pe | 458,120 | ah, fas | (Mortgagor/s: Mr. \ and and Building jointly owned by Mr.Paramjit Singh and oerere wire oe | Yaday, Mrs. Neha Yadav | 26,15, 860". (Rupees Twely Six Lakh FilteenThousand Eight Hundred Sixty Only} | Floor, Plot No S 732, acneasuning 95 sq. yas, Bin5, Front Side Mohan Garden Uttam Nagar. | ||||||||||||||||||
| 2D. | tl honed lable | Ls | = | KARANJIT SINGH S/O irs Anita, Located atB-XIX-165/1-B, 165/3DrShamSingh ''''®®" | -SEMS) prospect No. 901607 | Prospect Wo. 909305 Rs. 292.050-- (Rupess | Delhi Inada | |||||||||||||||||
| pod | ie teh12 Eaming per Equity Share of face vatue of Re, 7/- each | j | Mr. PARAMJIT SINGH H Road , Opp- Samiti Kendra, Civil Lines , Ludhiana measuring >," * =" ty five) 903365)No. 165/3, Doctor Sham ssq Sq Yards and comprised of Khata No: 920/1070 and thousand four | Two Lakh Minely Two Thidusand Falty Griy) | ||||||||||||||||||||
| - Basic (in Rupees) | (4.08) | (10.87) | Singh Road, Civil Line | , | hundred thirty four | Mrs. Seema, Mr. Satpal | OF-Fob-2022 Prospect No. 919789 Res.207 O22!- (Rupeas Two Lakh Sevanty Saven | AR That pete and parcel Of the property being Fldarea measuring 1800 5q.ft part of Kn Mo S67/952. | ||||||||||||||||
| paes}-13 Cabenturs Redemption Reserve (Refer Note 5) | (4.08)% | (10.87): | Ludhiana | 141001, Mr.PRAV JIT SINGH S/O Mr 04 of Views Taraf ote ek and bounded " East: Road , 31-03-2021 and | ; | : | pees Orey | and 869055) | Thousand and Twenty Two Only) Prospect | Ba) Sat 0 2 4-7 17 7-13 12 2-0 Faridabad | ||||||||||||||
| Exghteen Lakh Eighigen Thousand Two Khaton No 1756 1159, Kila No 13/7 1-13 18/3 1-7 19 | 1E,18,259)- (Rugeas | Pincoda: 121004, Haryana | ||||||||||||||||||||||
| FR1S Interest Service Coverage Ralie | re tee | O37 | Ode | 165/3, Doctor Sham Singh Road, Civil Lines, Ludhiana 141001, Mr. PARAMJIT SINGH S/O ATMA SINGH RioH Mo. 165/3. Doctor Sham Singh Road, Civil Lines, Ludhiana 141001, Mrs. TARANJIT KAUR W/O Mr. | Hurvdred Fifty Nine: Cnty) | |||||||||||||||||||
| tree ee one eee ae eee eae | KARANJIT SINGH H No. 165/3, Doctor Sham Singh Road, Civil Lines, Ludhiana 141001, Mrs. HARLEEN | Hthe said Borrowers fail bo make payment to MFL AFL as aforesaid, IFLHFLSection 134) of the said Act, and the applicable Rules, eniirely al the nsks, costs and consequences of lhe Borctevars.For, further | may proceed against the above secured assets undar | |||||||||||||||||||||
| 2 | The atv ie an extract of the detailed format of Financial Results fled wih BSE Limited and National Stock | Nata Wits BARA IBY Schl | ett eT | sky tae aca eat DAU Glace (Laeadene AAT | delaiks please conlact lo Authored OMG al Branch Otice :IIFL AFL Plol No. 20908, Upper Ground Floor, Main Sheva MaryNajaigarh Road, Beside Jaguar Showroom, Moti Nagar, New Delhiand Unit No 309, Third Floor, Padam Business Park, Plot ino | |||||||||||||||||||
| Exchange of India Limited ("Stock Exchanges") under Riequiaton 52 of the SEB! (Listing Obligations andCisclosure Requirements} Regulations, 2045. The full format of Financial Results are available on the website of | DATE: 13.02.2022 | : | : | PLACE, LUDHIANA | u | i | AUTHORISED OFFICER | z | INS-1, Sechor 124, Awas Vikas, Sixandra Yojna, Agra, 262007 for Carparaie Office : IIFL Tower, Pict Wo. 98, Udyog Vihar, Ply | |||||||||||||||
| Ine Stock Exchanges Le, wew.bseindia.com and wewwinsemdia.com and on the website of the Company at | Gurgaon, Haryana. | |||||||||||||||||||||||
| wean surmitdigitel conn+0 0©= (Details. of Oulstaning Redeemable: Preference Shares (RPS) | Place: Delhi & Agra Date: 14.02.2022 | $d- Authorised Officer. For FL Home Finance Ltd | ||||||||||||||||||||||
| a PARAMOUNT | ||||||||||||||||||||||||
| Particulars | No.of RPS lms. in Millian) No-ofRPS (ps in million) | ALreouiit | Armeourit | egd. | Office: C-125, Naraina Industrial Area, Phase-1, Naraina, New DelhiPhone: 91-11-45618800; Fax: 91-11-25893719-20; Web: www.paramountcables.com | CABLES | ||||||||||||||||||
| 0% Redeemable, Non-Participating, | 50,000,000 | 500} | 50,000,000 | 500 | CIN: L74899DL1994PLC061295 | |||||||||||||||||||
| Mon-Cumulalive, Mon-GonvertiblePreference Shares* | ||||||||||||||||||||||||
| "The 'Gompeany had outstanding §0,000,000 Cumulative, Participating, Optionally Convertibie Preference | Particulars | |||||||||||||||||||||||
| Shares of Ris. 1V- each aggrespating to Rs. 500,000 000 as an April, 2020, With affect from Awgqust 27, 2020,Ihe terns of lhe Cumulative, Participating, Optionally Converlible Preterence Shares of Rs, 10/- each were | ; | |||||||||||||||||||||||
| amended to Redeemable, Mon-Participating, Mon-Curnulative, Non-Converttie Preference Shares of Fs. 1- | : | |||||||||||||||||||||||
| each. The Preference Shares are mandatorily redeemable ai par for an amount equal to the aggregate par value | i | |||||||||||||||||||||||
| at ihe end of 20 years from the date of issuance i.e. March 31, 2029. Accordingly, tha Preferance Shares havebeen classified as a liahety and have been racognesed at ihe prasent value of mpadamptiion amounting to Rs, 134 | - Total income from operations | i- | ||||||||||||||||||||||
| ASS Ue Dett-Equitly Patho iS hess Wan ero, Ihe rable iS Shown as Mal | ||||||||||||||||||||||||
| 'Profit/(Loss) from ordinary activities before taxNSE PrORUILOss} rom ordinary activities ater tax ——— | ||||||||||||||||||||||||
| payrnent of dividend during the current periad. The Company has accumulated Insses a5. at December 31, 2021.Debenture Redemption Reserve (DRA) i nol required to be created due to absence of profits available for | 'Other comprehensive income/(loss) | |||||||||||||||||||||||
| 6 | For the other line Hems refenred in Regulation 52(4) of the SEB! (Listing Obligations and Disclosure | |||||||||||||||||||||||
| Raquirements) Regulations, 2075, pertinent disclosures have been made to the Stock Exchanges and can be | ||||||||||||||||||||||||
| accessed on the website of the Stock Exchanges i.e. www. bseendia.com and wae. nseindia.com and also.on thewebsee of the Company ie. wea. surrmibdigitel com | ||||||||||||||||||||||||
| Y | These extract of Financial Results have been prepared in accordance wilh the requirement of Reguiation 32 of | ; | ||||||||||||||||||||||
| the SEB! (Listing Obligations and Disclosure Requeemenis} Regulations. 2015, read with Circular No. SEBIHOV GDHS! CiRi 2027000000063? dated October 5, 2021. | 'Other Equity Excluding revaluation Reserve | |||||||||||||||||||||||
| 4 | The Company hes availed relaxation provided by SEB! vide its Circular No.SEBIWHOIDDHSCIRIMZD2 1! | aaa | ||||||||||||||||||||||
| OO0MO063? dated October 5, 2027 and accordingly tha column on corresponding quarter and nine months | so] | i | oy | cal | a | |||||||||||||||||||
| ended December 37, 2020 have not been provided, | ||||||||||||||||||||||||
| For and on behalf of he Board of Dorectors ofSunmmiit Digitel Infrastructure Private Limited | ||||||||||||||||||||||||
| (formerly known 6 Redianoe Joo Infratel Private Limited} | ||||||||||||||||||||||||
| Sc.Dhananjay Joshi | ||||||||||||||||||||||||
| Date: February 11, 2022Place: Bangalore | Managing Director and CEO(DIN: O8086270) |
| +0 0©= (Details. of Oulstaning Redeemable: Preference Shares (RPS) | ||||
|---|---|---|---|---|
| Mon-Cumulalive, Mon-GonvertiblePreference Shares* | ||||
| amended to Redeemable, Mon-Participating, Mon-Curnulative, Non-Converttie Preference Shares of Fs. 1- | ||||
| For the other line Hems refenred in Regulation 52(4) of the SEB! (Listing Obligations and DisclosureRaquirements) Regulations, 2075, pertinent disclosures have been made to the Stock Exchanges and can beaccessed on the website of the Stock Exchanges i.e. www. bseendia.com and wae. nseindia.com and also.on the | ||||
| websee of the Company ie. wea. surrmibdigitel comHOV GDHS! CiRi 2027000000063? dated October 5, 2021. | ||||
| The Company hes availed relaxation provided by SEB! vide its Circular No.SEBIWHOIDDHSCIRIMZD2 1!OO0MO063? dated October 5, 2027 and accordingly tha column on corresponding quarter and nine monthsended December 37, 2020 have not been provided, | ||||
| 64 | Sunmmiit Digitel Infrastructure Private Limited(formerly known 6 Redianoe Joo Infratel Private Limited} | For and on behalf of he Board of Dorectors of | Sc.Dhananjay Joshi |

| Shares of Ris. 1V- each aggrespating to Rs. 500,000 000 as an April, 2020, With affect from Awgqust 27, 2020, | ; | |||||||||||||||||||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Ihe terns of lhe Cumulative, Participating, Optionally Converlible Preterence Shares of Rs, 10/- each wereamended to Redeemable, Mon-Participating, Mon-Curnulative, Non-Converttie Preference Shares of Fs. 1- | : | |||||||||||||||||||
| each. The Preference Shares are mandatorily redeemable ai par for an amount equal to the aggregate par value | i | |||||||||||||||||||
| at ihe end of 20 years from the date of issuance i.e. March 31, 2029. Accordingly, tha Preferance Shares havebeen classified as a liahety and have been racognesed at ihe prasent value of mpadamptiion amounting to Rs, 134 | - Total income from operations | i | ||||||||||||||||||
| ASS Ue Dett-Equitly Patho iS hess Wan ero, Ihe rable iS Shown as Mal | - | |||||||||||||||||||
| Debenture Redemption Reserve (DRA) i nol required to be created due to absence of profits available for | 'Profit/(Loss) from ordinary activities before tax | NSE PrORUILOss} rom ordinary activities ater tax ——— | ||||||||||||||||||
| payrnent of dividend during the current periad. The Company has accumulated Insses a5. at December 31, 2021. | 'Other comprehensive income/(loss) | |||||||||||||||||||
| 6 | For the other line Hems refenred in Regulation 52(4) of the SEB! (Listing Obligations and Disclosure | |||||||||||||||||||
| Raquirements) Regulations, 2075, pertinent disclosures have been made to the Stock Exchanges and can beaccessed on the website of the Stock Exchanges i.e. www. bseendia.com and wae. nseindia.com and also.on the | ||||||||||||||||||||
| websee of the Company ie. wea. surrmibdigitel com | ||||||||||||||||||||
| Y | These extract of Financial Results have been prepared in accordance wilh the requirement of Reguiation 32 ofthe SEB! (Listing Obligations and Disclosure Requeemenis} Regulations. 2015, read with Circular No. SEBI | ; | 'Other Equity Excluding revaluation Reserve | |||||||||||||||||
| HOV GDHS! CiRi 2027000000063? dated October 5, 2021. | ||||||||||||||||||||
| 4 | The Company hes availed relaxation provided by SEB! vide its Circular No.SEBIWHOIDDHSCIRIMZD2 1!OO0MO063? dated October 5, 2027 and accordingly tha column on corresponding quarter and nine months | |||||||||||||||||||
| ended December 37, 2020 have not been provided, | ||||||||||||||||||||
| For and on behalf of he Board of Dorectors ofSunmmiit Digitel Infrastructure Private Limited | ||||||||||||||||||||
| (formerly known 6 Redianoe Joo Infratel Private Limited} | ||||||||||||||||||||
| Sc.Dhananjay Joshi | ||||||||||||||||||||
| Date: February 11, 2022Place: Bangalore | Managing Director and CEO | (DIN: O8086270) | ||||||||||||||||||
| eons. | DHAN VAN TRL | 1, Saket, Meerut - 250 003 | ||||||||||||||||||
| TeEO | e | Ce | JEEVAN REKHA LTD. Sane ees | #9220151, 2618152 | ||||||||||||||||
| rchica | arrna | e-mail: [email protected] | ||||||||||||||||||
| Phanwka Crranwp Compary—— A | a | |||||||||||||||||||
| ORCHID PHARMA | LIMITED | EXTRACT OF STATEMENT OF REVI EWED UNAUDITED FINANCIAL RESULTS FOR THE QUARTER see te nee beccnt oer Stare | ||||||||||||||||||
| ee PLA Zeoe4 | PARTICULARS | 3-MONTHS CORRESPONDING 3-MONTHS YEARTO YEAR TO | ||||||||||||||||||
| ar: aeeeeRegistered Office: 'Orchid Towers' No.313, Valluvar Kottam High Road, Nungambakkam, Chennai - 600 034, Tamil Nadu, India | SL.NO. | ENDED ON 3-MONTHS IN THE ENDED ON DATENINE DATENINE | YEARENDED | |||||||||||||||||
| Phone: +91-44-2821 1000/2823 0000 Fax: +91-44-2821 1002 E-mail: [email protected] Website: www.orchidpharma.com | 31.12.2021 | PC UEnea | 30.09.2021 | rane Sime 31.03.2021 | ||||||||||||||||
| Extract of Unaudited Standalone and Consolidated Financial Results | ! | RARER — evievect EWG He iewed Reviewed AOA | ||||||||||||||||||
| for Quarter and Nine Months Ended December 371 | 2071 | 1 Total Income from Operations | 464 | 233 | 389 | 1,247 | 538 | O78 | ||||||||||||
| = in Lakh | 2 | Net Profit/{Loss) for the period (before Tax Exceptional | ||||||||||||||||||
| fe in Cathe) | and/or Extraordinary items) | 44 | (23) | 25 | 89 | (159) | (163) | |||||||||||||
| Standalone | Quarterended Yeartodate Corresponding Quarter ended Year todate Corresponding | Consolidated | Exceptional and/or Extraordinary items) | 3 ~— Net Profit/(Loss) for the period before Tax (after | 44 | (23) | 25 | Bo | (159) | (163) | ||||||||||
| 5 | December 31, | figures | quarter of December 31, | figures | quarter of | 4 | Net Profit/(Loss) for the period after Tax (after | |||||||||||||
| No. | Particulars | itech | oe 31, previous | aca | ee a1, | a, | Exceptional and/or Extraordinary items) | 44 | (23) | 25 | Bo | (159) | (163) | |||||||
| year ended | udited | (eaetie) Socme 3ales | 5 Total Comprehensive Income for the period [Comprising — | |||||||||||||||||
| WUeaoiind) Oecomter di | Profit/ (Loss) for the period (after tax) and other | (142) | ||||||||||||||||||
| (Unaudited) | (Unaudited) | comprehensive income (after tax)] | 44 | (23) | 25 | ag | (159) | |||||||||||||
| 1 Total income from operations | 16,166.11) | 38.999.63 | 10,496.67 | 16,374.24](1,086.32) | 38,868.11]463.52 | 10,452.05(4,472.46) | 6 _ Equity' Share Capital | ea oe eich eae pases) = shown | in | 410 | 410 | 410 | 410 | 410 | 410is | |||||
| e_ Net Profit' (Loss) for the period (before tax and exceptional items)3 Net Profit' (Loss) for the period before tax (after exceptional items) | (S99. 29) (899.29) | (302.61) | (902.61) (4,530.76))(4,533.16) | (1,986.32) | 463.52 | (4,472.46) | é | CE RAGE | ee enCe | oor | er be veaet cee | - | ||||||||
| 4 Net Profit' (Loss) for the period after tax (after exceptional items) | (899.29)/ | _(302.61)[ | (4,533.16) | (1,386.32) | 463.52 | (4,472.46) | See | tee | , Bae) Per Oana | 2 | : | - | ||||||||
| 9 Other comprehensive income (net of tax) | 15.34) | 47.89 | (49.11) | 15.34 | 4789 | (47.61) | _ | P | ||||||||||||
| 6 Total Comprehensive Income for the period [Comprising Profit / | z ae 4 :EE | ae | ee | mes | : Li | ae | Sap | |||||||||||||
| (Loss) for the period (after tax) and Other Comprehensive Income(after tax)] | (883.95) | (54.72)) | (4 582.27)) | (1,970.98) | 517.41) = (4,520.07) | Notes: | : | (0.56) | ol | ai | (3.88) | (3.46) | ||||||||
| f Equity Share Capital (face value of 10 per share) | 4,081.64 | 4 081 64 | 4,081.64 | 4,081.64 | 4,081.64 | 4,081.64 | i. | The above is an extract of the detailed format of quarter ended unaudited financial results filed with Stock Exchange under Regulation 23 of the | ||||||||||||
| 8 Reserves (excluding Revaluation Reserve) as shown in the Audited | NA | NA | NA | NA | nA | NA | SEBI ( Listing Obligations and Disclosure Requirements) Regulations 2015 for the Quarter and nine months ended December 2021. The full format | |||||||||||||
| Balance sheet of the previous yearEarnings Per Share (of 710/- each) (for continuing and | the company's website. | of the quarter and nine months financial results ended 31.12.2021 are available on the Stock Exchange website (www.bseindia.com) and on | ||||||||||||||||||
| 9 | laoperations) | sata] | — | — | 46 | _ | _ | 2. | The above results were approved by the Audit Committee of Directors, reviewed by the Statutory Auditors of the Company and taken on record | |||||||||||
| - Basic | 20) | ul. | (il, | (v4) | (IU, | by the Board of Directors in their meeting held on 13.02.2022 | ||||||||||||||
| - Diluted | (2.20) | (0.74) | (V1.1) | (3.40) | 1.14 | (10.96) | For and on behalf of Board of Directors | |||||||||||||
| Note: | SD/- | of Dhanvantri Jeevan Rekha Ltd. | ||||||||||||||||||
| 1, The above is an extract of the detailed format of the quarterly Consolidated and Standalone unaudited financial results for the quarter and nine months endedDecember 31, 2021 filad with the stock exchanges under Regulation 33 of the SEB! (Listing and Obligations Disclosure Requirements) Regulations, 2015. The full | (P.S. Kashyap) | |||||||||||||||||||
| formal of the Unaudited Consolidated and Standalone Financial Results for the quarter and nine months ended December 31, 2021 are available on the website of | Place « Meerut | Din: 01664811 | ||||||||||||||||||
| the BSE Limited .e. www.bseindia.com and National Stock Exchange of india Limited Le. www.nseindia.com, on the stock exchanges where the Company's shares: | : | Date : 13.02.2022 | Chairman | |||||||||||||||||
| aré listed and on the website of the Company Le., www.orchidpharma.com. | ||||||||||||||||||||
| 2. The above unaudited financial results were reviewed by the Audit Committee and thereafter approved and taken on record by the Board of Directors at their meeting heldon February 12,2022, The Statutory Auditors of the Company have conducted a "Limited review" of the above financial results for the quarter and nine months: ended | ||||||||||||||||||||
| December 31,2021, | ||||||||||||||||||||
| For and on behalf of the Board of Directors of Orchid Pharma Limited | ||||||||||||||||||||
| od. | ||||||||||||||||||||
| Manish Dhanuka | ||||||||||||||||||||
| Place : GurugramDale : 12th February, 2022 | Managing DirectorDIN: 00238798 | |||||||||||||||||||
| <r@ in<br="">fanancighg@</r@> | New Delhi | fi | ||||||||||||||||||

| B-XIM-165.1-4, 8, Plot no: 76-A situated al Dr. Sham Singh ae er | 10-Feb-2022 Prospect no, 940222 Rs. | ||||||||||||||||||||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| ¢ Total Income from Operations2 Net Profit J (Loss) for the period (before Tax, Exceptional andior: | \ | 24.003(8.7545 | 90 506(23,300) | Lica Pal | cnhlons. if wediUaAranto | Mortgagor/Partners):- Road, Opp. Samiti Kendra, Civil Lines, Vakia Tart, Gehlewal , cna aid tty | ge | O. | Based apy | S,67,771/- (Rupees Free Lakh Soty SevenThousand Seven Hundred Seventy One Only) | |||||||||||
| Extraordinary tems) | 1). | Mr. | PARAMJIT Ludhiana belonging to Mr. S, Paramjit Singh S/o Sh. Atma hundred seventy onesingh and Smit, Anita, W/o S, Paramjit Singh, East: Road , | Thousand Mine Hundred Fifteen Oriy)Prospect no, 846585 Rs. 32,61,915)-(Rupees Therty Two Lakhs Sixty One | |||||||||||||||||
| 3. Net Profit / (Less) for the period before tax (afer Exceptional andorExtraordinary ites) | (8,794) | (23,380) | (1).SING | SINGH S/O ATMArs | West: Neighbour, North: Neighbour, South : Road | rupees only) as on34-08-2070 and | |||||||||||||||
| 4 Net Profit / (Loss) for the period after tax (after Exceptional and/oredisaailiieey Mean) | (8, 7o4) | {23-380} | INGH Rio H No. 165/35, | Doctor Sham Singh Road, Civil Line, Ludhiana 141001 (2). Mr. KARANJIT SINGH [interest thereon, | Mrs. Pocram SharmaMr. Akhilesh Sharma, | 10-Feb-2022 Prospect no, 875333 Rs.2,98, 436)- (Rupees Three Lakh Ninety EightThousand Four Hundred Thirty Six Only) | |||||||||||||||
| gs. Total Comprehensive incarie for tha penicd [Gantariaang Prot (Loca)(atler tax) and Other Comprehensive income {afler tax] | (8,153) | (23.300) | rae eee | S/O Mr, PARAMJIT SINGH H No, 165/3, Doctor Sham Singh Road, Civil Line, Ludhiana 141001 (3). Mr.PRAVJIT SINGH S/O Mr. PARAMJIT SINGH H No, 165/3, Doctor Sham Singh Road, Civil Line, Ludhiana ," prane(trocnen | Rnushi Beauty Pariour | Prospect mo, 819445 Rs, 6,43, 706) (RupeesSac Lakh Forty Three Thousand Seven | ac measuring $334,108. | ||||||||||||||
| 6 Paid-up Equity Share Capital? Reserves | 2,150(Terra | 2.150(52.455) | OMAN | W/O PARAMJIT SINGH R/O H No. 165/3, Doctor Sham Singh Road, Civil Line, | ee | Hundrad Six erty) | |||||||||||||||
| Se See Capt Cay ae4 Net Worth | (75,661) | {50.345} | : | Borrower/s/Guarantor/s Equitable mortgage of Residential 03.05.2021] NO22022 Rs. 1,75,75,434/- | He | 09-Feb-2022 Prospect no. S07607 Rs.26,15, 860". (Rupees Twely Six Lakh Filteen | |||||||||||||||
| er eee ee eee ata emrey Pe | 458,120Ls | ah, fas= | (Mortgagor/s: Mr. \ and and Building jointly owned by Mr.Paramjit Singh and oerere wire oeKARANJIT SINGH S/O irs Anita, Located atB-XIX-165/1-B, 165/3DrShamSingh ''''®®" | Yaday, Mrs. Neha Yadav-SEMS) prospect No. 901607 | Thousand Eight Hundred Sixty Only}Prospect Wo. 909305 Rs. 292.050-- (Rupess | Delhi Inada | |||||||||||||||
| tl honed lableie teh12 Eaming per Equity Share of face vatue of Re, 7/- each | j | Mr. PARAMJIT SINGH H Road , Opp- Samiti Kendra, Civil Lines , Ludhiana measuring >," * =" ty five) 903365)No. 165/3, Doctor Sham ssq Sq Yards and comprised of Khata No: 920/1070 and thousand four | Two Lakh Minely Two Thidusand Falty Griy) | ||||||||||||||||||
| - Basic (in Rupees)paes} | (4.08) | (10.87) | Ludhiana | Singh Road, Civil Line141001, Mr. | , | hundred thirty four | Mrs. Seema, Mr. Satpal | OF-Fob-2022 Prospect No. 919789 Res.207 O22!- (Rupeas Two Lakh Sevanty Saven | area measuring 1800 5q.ft part of Kn Mo S67/952. | ||||||||||||
| - | 13 Cabenturs Redemption Reserve (Refer Note 5) | (4.08)% | (10.87): | PRAV JIT SINGH S/O Mr 04 of Views Taraf ote ek and bounded " East: Road , 31-03-2021 and | ; | : | pees Orey | and 869055) | Thousand and Twenty Two Only) Prospect | 1E,18,259)- (Rugeas | |||||||||||
| FR1S Interest Service Coverage Ralie | O37 | Ode | 165/3, Doctor Sham Singh Road, Civil Lines, Ludhiana 141001, Mr. PARAMJIT SINGH S/O ATMA SINGH Rio | Hurvdred Fifty Nine: Cnty) | Pincoda: 121004, Haryana | ||||||||||||||||
| The atv ie an extract of the detailed format of Financial Results fled wih BSE Limited and National StockExchange of India Limited ("Stock Exchanges") under Riequiaton 52 of the SEB! (Listing Obligations andCisclosure Requirements} Regulations, 2045. The full format of Financial Results are available on the website ofIne Stock Exchanges Le, wew.bseindia.com and wewwinsemdia.com and on the website of the Company atwean surmitdigitel conn | re tee | tree ee one eee ae eee eae | Nata Wits BARA IBY Schl DATE: 13.02.2022 | H Mo. 165/3. Doctor Sham Singh Road, Civil Lines, Ludhiana 141001, Mrs. TARANJIT KAUR W/O Mr.KARANJIT SINGH H No. 165/3, Doctor Sham Singh Road, Civil Lines, Ludhiana 141001, Mrs. HARLEENett eT:: | PLACE, LUDHIANA | sky tae aca eat DAU Glace (Laeadene AATu | i | AUTHORISED OFFICER | z | Gurgaon, Haryana. | Hthe said Borrowers fail bo make payment to MFL AFL as aforesaid, IFLHFLPlace: Delhi & Agra Date: 14.02.2022 | may proceed against the above secured assets undarSection 134) of the said Act, and the applicable Rules, eniirely al the nsks, costs and consequences of lhe Borctevars.For, furtherdelaiks please conlact lo Authored OMG al Branch Otice :IIFL AFL Plol No. 20908, Upper Ground Floor, Main Sheva MaryNajaigarh Road, Beside Jaguar Showroom, Moti Nagar, New Delhiand Unit No 309, Third Floor, Padam Business Park, Plot inoINS-1, Sechor 124, Awas Vikas, Sixandra Yojna, Agra, 262007 for Carparaie Office : IIFL Tower, Pict Wo. 98, Udyog Vihar, Ply | |||||||||
| +0 0©= (Details. of Oulstaning Redeemable: Preference Shares (RPS) | |||||||||||||||||||||
| Particulars | ALreouiit | Armeourit | egd. | Office: C-125, Naraina Industrial Area, Phase-1, Naraina, New Delhi | a PARAMOUNT | ||||||||||||||||
| No.of RPS lms. in Millian) No-ofRPS (ps in million) | Phone: 91-11-45618800; Fax: 91-11-25893719-20; Web: www.paramountcables.com | CABLES | |||||||||||||||||||
| 0% Redeemable, Non-Participating,Mon-Cumulalive, Mon-GonvertiblePreference Shares* | 50,000,000 | 500} | 50,000,000 | 500 | CIN: L74899DL1994PLC061295 | ||||||||||||||||
| "The 'Gompeany had outstanding §0,000,000 Cumulative, Participating, Optionally Convertibie Preference | Particulars | ||||||||||||||||||||
| Shares of Ris. 1V- each aggrespating to Rs. 500,000 000 as an April, 2020, With affect from Awgqust 27, 2020,Ihe terns of lhe Cumulative, Participating, Optionally Converlible Preterence Shares of Rs, 10/- each were | ;: | ||||||||||||||||||||
| amended to Redeemable, Mon-Participating, Mon-Curnulative, Non-Converttie Preference Shares of Fs. 1-each. The Preference Shares are mandatorily redeemable ai par for an amount equal to the aggregate par value | i | ||||||||||||||||||||
| at ihe end of 20 years from the date of issuance i.e. March 31, 2029. Accordingly, tha Preferance Shares havebeen classified as a liahety and have been racognesed at ihe prasent value of mpadamptiion amounting to Rs, 134 | - Total income from operations | i | |||||||||||||||||||
| ASS Ue Dett-Equitly Patho iS hess Wan ero, Ihe rable iS Shown as Mal | - | ||||||||||||||||||||
| payrnent of dividend during the current periad. The Company has accumulated Insses a5. at December 31, 2021.Debenture Redemption Reserve (DRA) i nol required to be created due to absence of profits available for | 'Profit/(Loss) from ordinary activities before taxNSE PrORUILOss} rom ordinary activities ater tax ——— | ||||||||||||||||||||
| For the other line Hems refenred in Regulation 52(4) of the SEB! (Listing Obligations and Disclosure | 'Other comprehensive income/(loss) | ||||||||||||||||||||
| Raquirements) Regulations, 2075, pertinent disclosures have been made to the Stock Exchanges and can beaccessed on the website of the Stock Exchanges i.e. www. bseendia.com and wae. nseindia.com and also.on the | |||||||||||||||||||||
| websee of the Company ie. wea. surrmibdigitel com | aaa | ||||||||||||||||||||
| These extract of Financial Results have been prepared in accordance wilh the requirement of Reguiation 32 ofthe SEB! (Listing Obligations and Disclosure Requeemenis} Regulations. 2015, read with Circular No. SEBI | ; | 'Other Equity Excluding revaluation Reserve | |||||||||||||||||||
| HOV GDHS! CiRi 2027000000063? dated October 5, 2021.The Company hes availed relaxation provided by SEB! vide its Circular No.SEBIWHOIDDHSCIRIMZD2 1! | |||||||||||||||||||||
| OO0MO063? dated October 5, 2027 and accordingly tha column on corresponding quarter and nine monthsended December 37, 2020 have not been provided, | so] | i | oy | cal | a | ||||||||||||||||
| For and on behalf of he Board of Dorectors of | |||||||||||||||||||||
| (formerly known 6 Redianoe Joo Infratel Private Limited} | Sunmmiit Digitel Infrastructure Private Limited | ||||||||||||||||||||
| Sc.Dhananjay Joshi | |||||||||||||||||||||
| Date: February 11, 2022Place: Bangalore | Managing Director and CEO(DIN: O8086270) | ||||||||||||||||||||
| EO—— A | rchicaTe | e | Phanwka Crranwp Compary | arrna | eons.Ce | DHAN VAN TRL | 1, Saket, Meerut - 250 003JEEVAN REKHA LTD. Sane ees#9220151, 2618152e-mail: [email protected] | ||||||||||||||
| ORCHID PHARMA | LIMITED | EXTRACT OF STATEMENT OF REVI EWED UNAUDITED FINANCIAL RESULTS FOR THE QUARTER see te nee beccnt oer Stare | |||||||||||||||||||
| ar: aeeee | ee PLA Zeoe4 | SL.NO. | PARTICULARS | 3-MONTHS CORRESPONDING 3-MONTHS YEARTO YEAR TO | |||||||||||||||||
| Registered Office: 'Orchid Towers' No.313, Valluvar Kottam High Road, Nungambakkam, Chennai - 600 034, Tamil Nadu, India | ENDED ON 3-MONTHS IN THE ENDED ON DATENINE DATENINE | rane Sime 31.03.2021 | |||||||||||||||||||
| Phone: +91-44-2821 1000/2823 0000 Fax: +91-44-2821 1002 E-mail: [email protected] Website: www.orchidpharma.com | 31.12.2021 | PC UEnea | 30.09.2021 | ||||||||||||||||||
| Extract of Unaudited Standalone and Consolidated Financial Results | ! | RARER — evievect EWG He iewed Reviewed AOA | |||||||||||||||||||
| for Quarter and Nine Months Ended December 371 | 2071 | 1 Total Income from Operations | 464 | 233 | 389 | 1,247 | 538 | ||||||||||||||
| = in Lakh | 2 | and/or Extraordinary items) | Net Profit/{Loss) for the period (before Tax Exceptional | ||||||||||||||||||
| Standalone | Consolidated | fe in Cathe) | 3 ~— Net Profit/(Loss) for the period before Tax (after | 44 | (23) | 25 | 89 | (159) | |||||||||||||
| Quarterended Yeartodate Corresponding Quarter ended Year todate Corresponding | Exceptional and/or Extraordinary items) | 44 | (23) | 25 | Bo | (159) | |||||||||||||||
| 5No. | Particulars | December 31,itech | figures | oe 31, previous | quarter of December 31, aca | figuresee a1, | a,quarter of | 4 | Net Profit/(Loss) for the period after Tax (afterExceptional and/or Extraordinary items) | 44 | (23) | 25 | Bo | (159) | |||||||
| year ended | udited | (eaetie) Socme 3ales | 5 Total Comprehensive Income for the period [Comprising — | ||||||||||||||||||
| WUeaoiind) Oecomter di | Profit/ (Loss) for the period (after tax) and othercomprehensive income (after tax)] | 44 | (23) | 25 | ag | (159) | |||||||||||||||
| 1 Total income from operations | 16,166.11) | 38.999.63 | (Unaudited)10,496.67 | 16,374.24] | 38,868.11] | (Unaudited)10,452.05 | 6 _ Equity' Share Capital | 410 | 410 | 410 | 410 | 410 |
| Particulars | ALreouiitNo.of RPS lms. in Millian) No-ofRPS (ps in million) | Armeourit | ||
|---|---|---|---|---|
| 0% Redeemable, Non-Participating, | 50,000,000 | 500} | 50,000,000 | 500 |
| Mon-Cumulalive, Mon-Gonvertible | ||||
| Preference Shares* |
- Debenture Redemption Reserve (DRA) i nol required to be created due to absence of profits available for NSE PrORUILOss} rom ordinary activities ater tax —— payrnent of dividend during the current periad. The Company has accumulated Insses a5. at December 31, 2021. 'Other comprehensive income/(loss) |
- 6 For the other line Hems refenred in Regulation 52(4) of the SEB! (Listing Obligations and Disclosure Raquirements) Regulations, 2075, pertinent disclosures have been made to the Stock Exchanges and can be accessed on the website of the Stock Exchanges i.e. www. bseendia.com and wae. nseindia.com and also.on the websee of the Company ie. wea. surrmibdigitel com |
- Y These extract of Financial Results have been prepared in accordance wilh the requirement of Reguiation 32 of ; | the SEB! (Listing Obligations and Disclosure Requeemenis} Regulations. 2015, read with Circular No. SEBI 'Other Equity Excluding revaluation Reserve HOV GDHS! CiRi 2027000000063? dated October 5, 2021.
- OO0MO063? dated October 5, 2027 and accordingly tha column on corresponding quarter and nine months ended December 37, 2020 have not been provided, 4 The Company hes availed relaxation provided by SEB! vide its Circular No.SEBIWHOIDDHSCIRIMZD2 1!







| Ihe terns of lhe Cumulative, Participating, Optionally Converlible Preterence Shares of Rs, 10/- each wereamended to Redeemable, Mon-Participating, Mon-Curnulative, Non-Converttie Preference Shares of Fs. 1- | : | |||||||||||||||||||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| each. The Preference Shares are mandatorily redeemable ai par for an amount equal to the aggregate par value | i | |||||||||||||||||||
| at ihe end of 20 years from the date of issuance i.e. March 31, 2029. Accordingly, tha Preferance Shares have | - Total income from operations | i | ||||||||||||||||||
| been classified as a liahety and have been racognesed at ihe prasent value of mpadamptiion amounting to Rs, 134 | - | |||||||||||||||||||
| ASS Ue Dett-Equitly Patho iS hess Wan ero, Ihe rable iS Shown as Mal | 'Profit/(Loss) from ordinary activities before tax | |||||||||||||||||||
| payrnent of dividend during the current periad. The Company has accumulated Insses a5. at December 31, 2021.Debenture Redemption Reserve (DRA) i nol required to be created due to absence of profits available for | NSE PrORUILOss} rom ordinary activities ater tax ——— | |||||||||||||||||||
| For the other line Hems refenred in Regulation 52(4) of the SEB! (Listing Obligations and Disclosure | 'Other comprehensive income/(loss) | |||||||||||||||||||
| Raquirements) Regulations, 2075, pertinent disclosures have been made to the Stock Exchanges and can be | ||||||||||||||||||||
| accessed on the website of the Stock Exchanges i.e. www. bseendia.com and wae. nseindia.com and also.on thewebsee of the Company ie. wea. surrmibdigitel com | ||||||||||||||||||||
| These extract of Financial Results have been prepared in accordance wilh the requirement of Reguiation 32 of | ||||||||||||||||||||
| the SEB! (Listing Obligations and Disclosure Requeemenis} Regulations. 2015, read with Circular No. SEBIHOV GDHS! CiRi 2027000000063? dated October 5, 2021. | ; | 'Other Equity Excluding revaluation Reserve | ||||||||||||||||||
| The Company hes availed relaxation provided by SEB! vide its Circular No.SEBIWHOIDDHSCIRIMZD2 1! | ||||||||||||||||||||
| OO0MO063? dated October 5, 2027 and accordingly tha column on corresponding quarter and nine months | ||||||||||||||||||||
| ended December 37, 2020 have not been provided, | ||||||||||||||||||||
| For and on behalf of he Board of Dorectors ofSunmmiit Digitel Infrastructure Private Limited | ||||||||||||||||||||
| (formerly known 6 Redianoe Joo Infratel Private Limited} | ||||||||||||||||||||
| Sc.Dhananjay Joshi | ||||||||||||||||||||
| Date: February 11, 2022 | Managing Director and CEO | |||||||||||||||||||
| Place: Bangalore | (DIN: O8086270) | |||||||||||||||||||
| DHAN VAN TRL | ||||||||||||||||||||
| e | eons. | 1, Saket, Meerut - 250 003JEEVAN REKHA LTD. Sane ees#9220151, 2618152 | ||||||||||||||||||
| rchicaEOTe | arrna | Ce | e-mail: [email protected] | |||||||||||||||||
| Phanwka Crranwp Compary—— A | ||||||||||||||||||||
| ORCHID PHARMA | LIMITED | EXTRACT OF STATEMENT OF REVI EWED UNAUDITED FINANCIAL RESULTS FOR THE QUARTER see te nee beccnt oer Stare | a | |||||||||||||||||
| ar: aeeee | ee PLA Zeoe4 | SL.NO. | PARTICULARS | 3-MONTHS CORRESPONDING 3-MONTHS YEARTO YEAR TO | YEAR | |||||||||||||||
| Registered Office: 'Orchid Towers' No.313, Valluvar Kottam High Road, Nungambakkam, Chennai - 600 034, Tamil Nadu, India | ENDED ON 3-MONTHS IN THE ENDED ON DATENINE DATENINE | ENDED | ||||||||||||||||||
| Phone: +91-44-2821 1000/2823 0000 Fax: +91-44-2821 1002 E-mail: [email protected] Website: www.orchidpharma.com | 31.12.2021 | PC UEnea | 30.09.2021 | rane Sime 31.03.2021 | ||||||||||||||||
| Extract of Unaudited Standalone and Consolidated Financial Results | ! | RARER — evievect EWG He iewed Reviewed AOA | ||||||||||||||||||
| for Quarter and Nine Months Ended December 371 | 2071 | 1 Total Income from Operations | 464 | 233 | 389 | 1,247 | 538 | O78 | ||||||||||||
| = in Lakh | Net Profit/{Loss) for the period (before Tax Exceptional | |||||||||||||||||||
| fe in Cathe) | 2 | and/or Extraordinary items) | 44 | (23) | 25 | 89 | (159) | (163) | ||||||||||||
| Standalone | Consolidated | 3 ~— Net Profit/(Loss) for the period before Tax (after | ||||||||||||||||||
| Quarterended Yeartodate Corresponding Quarter ended Year todate Corresponding | Exceptional and/or Extraordinary items) | 44 | (23) | 25 | Bo | (159) | (163) | |||||||||||||
| 5 | December 31, | oe 31, previousfigures | quarter of December 31, | figures | a,quarter of | 4 | Net Profit/(Loss) for the period after Tax (after | |||||||||||||
| No. | Particulars | itech | aca | ee a1, | Exceptional and/or Extraordinary items) | 44 | (23) | 25 | Bo | (159) | (163) | |||||||||
| WUeaoiind) Oecomter di | year ended | udited | ales(eaetie) Socme 3 | 5 Total Comprehensive Income for the period [Comprising —Profit/ (Loss) for the period (after tax) and other | ||||||||||||||||
| (23) | ag | (159) | (142) | |||||||||||||||||
| (Unaudited) | (Unaudited) | 6 _ Equity' Share Capital | comprehensive income (after tax)] | 44 | 25 | |||||||||||||||
| 1 Total income from operations | 16,166.11) | 38.999.63 | 10,496.67 (902.61) (4,530.76)) | 16,374.24](1,086.32) | 38,868.11]463.52 | 10,452.05(4,472.46) | ea oe eich eae pases) = shown | in | 410 | 410 | 410 | 410 | 410 | 410is | ||||||
| e_ Net Profit' (Loss) for the period (before tax and exceptional items)3 Net Profit' (Loss) for the period before tax (after exceptional items) | (S99. 29) (899.29) | (302.61) | (4,533.16) | (1,986.32) | 463.52 | (4,472.46) | é | CE RAGE | ee enCe | oor | er be veaet cee | |||||||||
| 4 Net Profit' (Loss) for the period after tax (after exceptional items) | (899.29)/ | _(302.61)[ | (4,533.16) | (1,386.32) | 463.52 | (4,472.46) | See | tee | , Bae) Per Oana | 2 | : | - | - | |||||||
| 9 Other comprehensive income (net of tax) | 15.34) | 47.89 | (49.11) | 15.34 | 4789 | (47.61) | _ | P | ||||||||||||
| 6 Total Comprehensive Income for the period [Comprising Profit / | z ae 4 : | ae | ee | mes | : Li | ae | Sap | |||||||||||||
| (Loss) for the period (after tax) and Other Comprehensive Income | (883.95) | (54.72)) | (4 582.27)) | (1,970.98) | 517.41) = (4,520.07) | EE | : | (0.56) | ol | ai | (3.88) | (3.46) | ||||||||
| (after tax)] | Notes: | |||||||||||||||||||
| f Equity Share Capital (face value of 10 per share)8 Reserves (excluding Revaluation Reserve) as shown in the Audited | 4,081.64 NA | 4 081 64NA | 4,081.64NA | 4,081.64NA | 4,081.64nA | 4,081.64NA | i. | The above is an extract of the detailed format of quarter ended unaudited financial results filed with Stock Exchange under Regulation 23 of theSEBI ( Listing Obligations and Disclosure Requirements) Regulations 2015 for the Quarter and nine months ended December 2021. The full format | ||||||||||||
| Balance sheet of the previous year | of the quarter and nine months financial results ended 31.12.2021 are available on the Stock Exchange website (www.bseindia.com) and on | |||||||||||||||||||
| laEarnings Per Share (of 710/- each) (for continuing and | — | _ | the company's website. | |||||||||||||||||
| 9 | operations) | sata] | — | 46 | _ | 2. | The above results were approved by the Audit Committee of Directors, reviewed by the Statutory Auditors of the Company and taken on record | |||||||||||||
| - Basic | 20) | ul. | (il, | (v4) | (IU, | by the Board of Directors in their meeting held on 13.02.2022 | ||||||||||||||
| - Diluted | (2.20) | (0.74) | (V1.1) | (3.40) | 1.14 | (10.96) | For and on behalf of Board of Directors | |||||||||||||
| Note: | of Dhanvantri Jeevan Rekha Ltd. | |||||||||||||||||||
| 1, The above is an extract of the detailed format of the quarterly Consolidated and Standalone unaudited financial results for the quarter and nine months endedDecember 31, 2021 filad with the stock exchanges under Regulation 33 of the SEB! (Listing and Obligations Disclosure Requirements) Regulations, 2015. The full | SD/-(P.S. Kashyap) | |||||||||||||||||||
| formal of the Unaudited Consolidated and Standalone Financial Results for the quarter and nine months ended December 31, 2021 are available on the website of | Place « Meerut | Din: 01664811 | ||||||||||||||||||
| the BSE Limited .e. www.bseindia.com and National Stock Exchange of india Limited Le. www.nseindia.com, on the stock exchanges where the Company's shares | : | Date : 13.02.2022 | Chairman | |||||||||||||||||
| :aré listed and on the website of the Company Le., www.orchidpharma.com. | ||||||||||||||||||||
| 2. The above unaudited financial results were reviewed by the Audit Committee and thereafter approved and taken on record by the Board of Directors at their meeting held | ||||||||||||||||||||
| on February 12,2022, The Statutory Auditors of the Company have conducted a "Limited review" of the above financial results for the quarter and nine months: ended | ||||||||||||||||||||
| December 31,2021, | ||||||||||||||||||||
| For and on behalf of the Board of Directors of Orchid Pharma Limited | ||||||||||||||||||||
| od. | ||||||||||||||||||||
| Place : Gurugram | Manish DhanukaManaging Director | |||||||||||||||||||
| Dale : 12th February, 2022 | DIN: 00238798 | |||||||||||||||||||
| <r@ in<br="">fanancighg@</r@> | New Delhi | fi | ||||||||||||||||||
| Note: | of Dhanvantri Jeevan Rekha Ltd. | |
|---|---|---|
| 1, The above is an extract of the detailed format of the quarterly Consolidated and Standalone unaudited financial results for the quarter and nine months ended | SD/- | |
| December 31, 2021 filad with the stock exchanges under Regulation 33 of the SEB! (Listing and Obligations Disclosure Requirements) Regulations, 2015. The full | (P.S. Kashyap) | |
| formal of the Unaudited Consolidated and Standalone Financial Results for the quarter and nine months ended December 31, 2021 are available on the website of | Place « Meerut | Din: 01664811 |
| the BSE Limited .e. www.bseindia.com and National Stock Exchange of india Limited Le. www.nseindia.com, on the stock exchanges where the Company's shares: | Date : 13.02.2022: | Chairman |
| Manish Dhanuka | |
|---|---|
| Place : Gurugram | Managing Director |
| Dale : 12th February, 2022 | DIN: 00238798 |
जनसत्ता, 14 फरवरी, 2022 13
गड़बड़ी रोकने के लिए मनरेगा को सख्त बनाने की तैयारी
नई दिल्ली, 13 फरवरी (भाषा)।
सरकार महात्मा गांधी राष्ट्रीय ग्रामीण रोजगार गारंटी कानून (मनरेगा) को सख्त बनाने की तैयारी कर रही है, क्योंकि पिछले दो वर्षों के दौरान इस योजना के तहत ग्रामीण रोजगार कार्यक्रम में काफी गड़बड़ियां या रिसाव देखने को मिला है। एक शीर्ष अधिकारी ने यह जानकारी दी।
केंद्र ने 2022-23 के लिए मनरेगा के तहत 73,000 करोड़ रुपए आवंटित किए हैं, जो चालू वित्त वर्ष के संशोधित अनुमान (आरई) में दिए गए 98,000 करोड़ रुपए से 25 फीसद कम है।
अगले वित्त वर्ष के लिए आवंटन, चाल वित्त वर्ष के लिए बजट अनुमान (बीई) के बराबर है। अधिकारी ने कहा कि पिछले दो वर्षों में बीई के मुकाबले आरई काफी अधिक रहा है और यह पाया गया कि इसमें जबर्दस्त 'रिसाव' हो रहा है तथा बिचौलिए योजना के तहत लाभार्थियों के नाम दर्ज करने के लिए पैसे ले रहे हैं।
आइपीओ के जरिए एलआइसी में 5 फीसद हिस्सेदारी बेचेगी सरकार
नई दिल्ली, 13 फरवरी (भाषा)।
सरकार ने रविवार को एलआइसी के आइपीओ के लिए बाजार नियामक सेबी के पास मसौदा दस्तावेज दाखिल किया। आइपीओ के मार्च में पूंजी बाजार में आने की उम्मीद है।
इस आइपीओ के जरिए सरकार एलआइसी की पांच फीसद हिस्सेदारी की पेशकश कर रही है। निवेश और सार्वजनिक संपत्ति प्रबंधन विभाग (दीपम) के सचिव तहिन कांता पांडेय ने टवीट किया, एलआइसी के आइपीओ के लिए डीआरएचपी आज सेबी के पास दाखिल कर दी गई है। इसके तहत 31.6 करोड़ शेयरों की पेशकश की जाएगी, जो पांच फीसद हिस्सेदारी के बराबर है। मसौदा रेड हेरिंग प्रास्पेक्टस के अनसार अंतरराष्टीय फर्म मिलिमन एडवाइजर्स ने 30 सितंबर 2021 तक एलआइसी का एम्बेडेड मुल्य लगभग 5.4 लाख करोड रुपए आंका है। आइपीओ भारत सरकार द्वारा पुरी तरह बिक्री पेशकश (ओएफएस) के रूप में है। पांडेय ने कहा कि 31 मार्च, 2021 तक
एलआइसी के पास 28.3 करोड पालिसियों और 13.5 लाख एजंटों के साथ नए प्रीमियम व्यापार में 66 फीसद बाजार हिस्सेदारी थी। हालांकि. सरकार ने डीआरएचपी में एलआइसी के बाजार मुल्यांकन या सार्वजनिक पेशकश में पालिसीधारकों या एलआइसी कर्मचारियों को दी जाने वाली छूट का खुलासा नहीं किया।
आइपीओ का एक हिस्सा एंकर निवेशकों के लिए आरक्षित होगा। साथ ही. एलआइसी के आइपीओ निर्गम का 10 फीसद तक पालिसीधारकों के लिए आरक्षित होगा।
चालू वित्त वर्ष के लिए सरकार के विनिवेश लक्ष्य में 78.000 करोड रुपए की कमी रहने के अनुमान के बीच सरकार के लिए एलआइसी का आइपीओ महत्वपूर्ण है। सरकार अब तक एअर इंडिया के निजीकरण और अन्य सरकारी उपक्रमों में अपनी हिस्सेदारी बिक्री से करीब 12,000 करोड़ रुपए जुटा चुकी है।
क्रिसिल की रिपोर्ट के मुताबिक एलआइसी जीवन बीमा प्रीमियम के मामले में दुनिया की तीसरी सबसे बडी कंपनी है।

नई दिल्ली, १३ फरवरी (भाषा)।
वित्त वर्ष 2021-22 के लिए कर्मचारी भविष्य निधि जमा पर ब्याज दरें अगले महीने तय की जाएंगी। कर्मचारी भविष्य निधि संगठन (ईपीएफओ) के निर्णय लेने वाले निकाय केंद्रीय न्यासी बोर्ड (सीबीटी) की बैठक अगले महीने होने जा रही है जिसमें चाल वित्त वर्ष के लिए ब्याज दरों पर फैसला किया जाएगा। केंद्रीय श्रम मंत्री भूपेंद्र यादव ने यह जानकारी दी।
यादव ने कहा, ईपीएफओ के केंद्रीय न्यासी बोर्ड की बैठक मार्च में गुवाहाटी में होगी, जिसमें 2021-22 के लिए ब्याज दरों तय करने का प्रस्ताव सूचीबद्ध है। यह पूछे जाने पर कि क्या ईपीएफओ 2021-22 के लिए भी 2020-21 की तरह 8.5 फीसद की ब्याज दर को कायम रखेगा, यादव ने कहा कि यह फैसला

अगले वित्त वर्ष के लिए आमदनी के अनुमान के आधार पर किया जाएगा। यादव सीबीटी के प्रमख हैं।
,मार्च, 2021 में सीबीटी ने 2020–21 के लिए ईपीएफ जमा के लिए 8.5 फीसद की ब्याज दर निर्धारित की थी।
वित्त मंत्री ने अक्तूबर, 2021 में इसे अनमोदित किया था। उसके बाद ईपीएफओ ने अपने फील्ड कार्यालयों को अंशधारकों के खातों में 2020-21 के लिए 8.5 फीसद का ब्याज डालने का निर्देश दिया था।
सीबीटी द्वारा ब्याज दर पर फैसला लेने के बाद इसे वित्त मंत्रालय की अनुमति के लिए भेजा जाता है। मार्च, 2020 में ईपीएफओ ने भविष्य निधि जमा पर ब्याज दर को घटाकर 2019-20 के लिए 8.5 फीसद के सात साल के निचले स्तर पर ला दिया था। 2018-19 में ईपीएफओ पर 8.65 फीसद का ब्याज दिया गया था।
ईपीएफओ ने 2016–17 और 2017–18 में भी 8.65 फीसद का ब्याज दिया था। 2015-16 में ब्याज दर 8.8 फीसद थी।
वहीं 2013-14 में 8.75 फीसद और 2014-15 में भी 8.75 फीसद का ही ब्याज दिया गया था। हालांकि, 2012-13 में ब्याज दर 8.5 फीसद थी। 2011-12 में यह 8.25 फीसद थी।

चिकित्सा सेवा महानिदेशालय (सेना) के पत्र संख्या बी/74902/16/डीजीएमएस-3डी दिनांक 13 अप्रैल 2021 के अनुसार सेना अस्पताल (आर एंड आर) दिल्ली कैंट-110010 के विकिरण ऑन्कोलॉजी विभाग के लिए 02 x मेडिकल भौतिक विज्ञानी सह रेडियोलॉजिकल सुरक्षा अधिकारी स्तर III और 01 x रेडियोलॉजिकल सुरक्षा अधिकारी स्तर III, नाभिकीय चिकित्सा विभाग के लिए अनुबंध के आधार पर सेवाओं की नियुक्तियों शारीरिक साक्षात्कार के लिए पात्र उम्मीदवारों को आमंत्रित करता है।
नई दिल्ली, 13 फरवरी (भाषा)।
सूचकांक की शीर्ष 10 में से नौ कंपनियों के बाजार पूंजीकरण (मार्केट कैप) में बीते सप्ताह सामूहिक रूप से 1,03,532.08 करोड़ रुपए की गिरावट आई। सबसे ज्यादा नुकसान टाटा कंसल्टेंसी सर्विसेज (टीसीएस) को हुआ।
बीते सप्ताह बीएसई का 30 शेयरों वाला सूचकांक 491.90 अंक या 0.83 फीसद नीचे आया। शीर्ष 10 कंपनियों में सिर्फ रिलायंस इंडस्टीज के बाजार पूंजीकरण में बढ़ोतरी हुई। समीक्षाधीन सप्ताह में रिलायंस इंडस्ट्रीज का बाजार मूल्यांकन 30,474.79 करोड़ रुपए बढ़कर 16,07,857.69 करोड़ रुपए पर पहुंच गया। वहीं दूसरी ओर टीसीएस के बाजार पूंजीकरण में 44,037.2 करोड़ रुपए की गिरावट आई और यह 13,67,021.43 करोड़ रुपए पर आ गया। एचडीएफसी की बाजार हैसियत 13,772.72 करोड़ रुपए के नुकसान से 4,39,459.25 करोड़ रुपए रह गई। हिंदुस्तान यूनिलीवर का बाजार पूंजीकरण 11,818.45 करोड़ रुपए के नुकसान से 5,30,443.72 करोड़ रुपए पर और आइसीआइसीआइ बैंक का 9,574.95 करोड़ रुपए टूटकर 5,49,434.46 करोड़ रुपए पर आ गया।
बजाज फाइनेंस का बाजार मूल्यांकन 8,987.52 करोड़ रुपए के नुकसान से 4,22,938.56 करोड़ रुपए पर और इंफोसिस का 8,386.79 करोड़ रुपए की गिरावट के साथ 7,23,790.27 करोड़ रुपए रह गया।
समीक्षाधीन सप्ताह में भारती एअरटेल को 3,157.91 करोड़ रुपए का घाटा हुआ और उसका बाजार पूंजीकरण 3,92,377.89 करोड़ रुपए पर आ गया। एचडीएफसी बैंक की बाजार हैसियत 2,993.33 करोड़ रुपए घटकर 8,41,929.20 करोड़ रुपए रह गई।
।धिकृत अधिकारा — माहित राजा संपर्क नंबर — 9711404914, 9874702021
जो हैं'' और ''वहां जो कुछ भी हैं'' आधार पर किया जाएगा।
परिशिष्ट $-IV-A$ (नियम 8 (6) का प्रावधान देखें) अचल संपत्तियों के विक्रयार्थ विक्रय सूचना
प्रतिभूति हित (प्रवर्तन) नियमावली 2002 के नियम 8(6) के प्रावधान के साथ पठित वित्तीय परिसम्पत्तियों के प्रतिभूतिकरण एवं पुनर्निर्माण तथा प्रतिभूति हित प्रवर्तन अधिनियम 2002 के अंतर्गत अचल परिसंपत्तियों के विक्रयार्थ ई–नीलामी विक्रय सूचना। एतदद्वारा जनसाधारण को तथा विशेष रूप में उधारकर्ता(ओं) और गारंटर(रों) को सूचित किया जाता है कि प्रतिभूत ऋणदाता के पास बंधक ⁄ प्रभारित रखी गई निम्न विवरणित अचल संपत्तियों. जिनका भौतिक कब्जा जो है वह आईडीएफसी बैंक लि. अब आईडीएफसी फर्स्ट | बैंक लिमिटेड के प्राधिकृत अधिकारी द्वारा ले लिया गया है, का विक्रय क्लोर एक्वा केमिकल्स प्रा. लि., धनंजय त्रिपाठी, सुनीता त्रिपाठी | (उधारकर्ता / सह—उधारकर्ता(ओं)) की ओर से आईडीएफसी फर्स्ट बैंक लिमिटेड (पूर्व में कैपिटल फर्स्ट होम फाइनेंस) को देय—भुग्तेय दिनाक .14.04.2021 के अनुसार आईएनआर रु. 1,04,51,548.07 ⁄ – की वसली करने के लिए, दिनांक 18.03.2022 को 'जैसी हैं जहां हैं", "जैसी हैं
नीलामी की स्थिति
| , आरक्षित मूल्य | आईएनआर रु. 1,03,00,000/- |
|---|---|
| धरोहर राशि जमा की रकम | आईएनआर रु. 10,30,000/- |
| ंबोली/धरोहर राशि जमा प्रस्तुत करने की तिथि | 17.03.2022 को सायं 5.00 बजे तक |
| संपत्ति के निरीक्षण की तिथि | 12.03.2022 को 11.00 बजे से 4.00 बजे |
| नीलामी की तिथि | 18.03.2022 को 11.00 बजे से 1.00 बजे |
| संपत्ति के विवरण | पीतमपुरा आवासीय योजना, पीतमपुरा, दिल्ली में स्थित फ्लैट स.केडी—210 जो प्रथम तल पर एमआईजी कैटेगरी के अंतर्गत स्थितहै, जिसका अधिमापन 85 वर्ग मीटर है और जिसका परिसीमन इसप्रकार हैः उत्तर- प्रवेश, दक्षिण- अन्य फ्लैट, पूर्व- खुला, पश्चिम- अन्य फ्लैट |
विक्रय के विस्तृत नियमों एवं शर्तों के लिए कृपया लिंक अर्थात् https://idfcfirstbank.auctiontiger.net/EPROC का संदर्भ ग्रहण करें। अभिखंडनः कृपया नोट करें कि उक्त सूचना जो है वह केवल अचल संपत्ति के विक्रयार्थ निर्गत की गई है और आईडीएफसी फर्स्ट बैंक लिमिटेड के पास, अचल संपत्ति स्थल पर वर्तमान में पड़ी चल परिसंपत्तियों, यदि कोई हो, को बेचने का कोई अधिकार नहीं है।
प्राधिकृत अधिकारीआईडीएफसी फर्स्ट बैंक लिमिटेड (पूर्व में कैपिटल फर्स्ट लि. के रूप में अभिज्ञात)
PARAMOUNT
पैरामाउंट कम्युनिकेशंस लिमिटेड पंजीकृत कार्यालय: सी-125, नारायणा औद्योगिक क्षेत्र, फेज-1, नारायणा, नई दिल्ली-110028
|फोनः +91-11-45618800, फैक्सः +91-11-25893719/20, वेबसाइट : www.paramountcables.com
सीआईएन: L74899DL1994PLC061295
31 दिसम्बर, 2021 को समाप्त तिमाही तथा नौमाही हेतु अलेखापरीक्षित स्टैण्डएलोन तथा समेकित वित्तीय परिणामों के विवरण का सारांश (प्रति शेयर डाटा को छोडकर रु. लाख में)
दिनांक: 10.02.2022
स्थान : दिल्ली
| विवरण | स्टैण्डएलोन | समेकित | Email [email protected] | |||||||||||||||||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| समाप्त तिमाही | समाप्त नौमाही | समाप्त वर्ष | समाप्त तिमाही | समाप्त नौमार्ही | समाप्त वर्ष | |||||||||||||||
| 31.12.2021 | 30.09.2021 | 31.12.2020 | 31.12.2021 | 31.12.2020 | 31.03.2021 | 31.12.2021 | 30.09.2021 | 31.12.2020 | 31.12.2021 | 31.12.2020 | 31.03.2021 | |||||||||
| अलेखापरीक्षित | अलेखापरीक्षित | अलेखापरीक्षित | अलेखापरीक्षित | अलेखापरीक्षित35,471.64 | लेखापरीक्षित | अलेखापरीक्षित16,328.29 | अलेखापरीक्षित13,809.02 | 15,226.28 | अलेखापरीक्षित अलेखापरीक्षित अलेखापरीक्षित39,776.01 | 35,471.64 | लेखापरीक्षित51,908.33 | |||||||||
| प्रचालनों से कुल व्यापक आयवित्तीय लागतों के पश्चात किन्तु अपवादित मदों से पूर्व साधारण | 16,328.29273.50 | 13,809.02158.98 | 15,226.28190.44 | 39,776.01333.85 | 52.21 | 51,908.33310.02 | 273.50 | 158.98 | 190.44 | 333.85 | 52.21 | 310.02 | पीएनसी इन्फ्राटेक लिमिटेड | |||||||
| गतिविधियों से लाभ/(हानि) | पंजीकृत कार्यालयः एनबीसीसी प्लाजा, टॉवर ।।, चतुर्थ तल, पुष्प विहार, सेक्टर–5, नई | |||||||||||||||||||
| किर पर्व सामान्य गतिविधियों से लाभ/(हानि) | 273.50 | 158.98 | 190.44 | 333.85 | 52.21 | 310.02 | 273.50 | 158.98 | 190.44 | 333.85 | 52.21 | 310.02 | दिल्ली-110017 | |||||||
| किर पश्चात सामान्य गतिविधियों से निवल लाभ/(हानि) | 273.50 | 158.98 | 190.44 | 333.85 | 52.21 | 310.02 | 273.50 | 158.98 | 190.44 | 333.85 | 52.21 | 310.02 | ||||||||
| अन्य व्यापक आय/(हानि) | 8.01 | 8.02 | (5.23) | 24.04 | (15.69) | 32.06 | 8.01 | 8.02 | (5.23) | 24.04 | (15.69) | 32.06 | सीआईएनः L45201DL1999PLC195937, ईमेलः [email protected], | |||||||
| क़ुल व्यापक आय (अवधि हेतु लाभ/(हानि) तथा अन्य व्यापक आय | 281.51 | 167.00 | 185.21 | 357.89 | 36.52 | 342.08 | 281.51 | 167.00 | 185.21 | 357.89 | 36.52 | 342.08 | daviled: www.pncinfratech.com | |||||||
| प्रदत्त इक्विटी शेयर पूंजी$\vert$ (रु. 2/- प्रति इक्विटी शेयर का अंकित मूल्य) | 3,883.68 | 3,883.68 | 3,682.68 | 3,883.68 | 3,682.68 | 3,883.68 | 3,883.68 | 3,883.68 | 3,682.68 | 3,883.68 | 3,682.68 | 3,883.68 | 31 दिसंबर 2021 को समाप्त तिमाही एवं नौ माह के | |||||||
| पुनर्मूल्यांकन आरक्षिति को छोड़कर अन्य इंक्विटी | ||||||||||||||||||||
| आय प्रति शेयर (रु. 2/- प्रत्येक) वार्षिकीकृत नहीं) | वित्तीय परिणामों का सारांश | |||||||||||||||||||
| (क) बेसिक | 0.14 | 0.08 | 0.11 | 0.17 | 0.03 | 0.17 | 0.14 | 0.08 | 0.11 | 0.17 | 0.03 | 0.17 | रु. लाख में (ईपीएस को छोड़कर) | |||||||
| (ख) डाइल्यूटेड | 0.14 | 0.08 | 0.11 | 0.17 | 0.03 | 0.17 | 0.14 | 0.08 | 0.11 | 0.17 | 0.03 | 0.17 | क्र | विवरण | एकल | समेकित | ||||
| उपर्युक्त सेबी (सुचीबद्धता दायित्व एवं प्रकटन अपेक्षाएं) विनियम, 2015 के विनियम 33 के तहत स्टॉक एक्सचेंज के साथ दाखिल 31 दिसम्बर, 2021 को समाल तिमाही तथा नौमाही के अलेखापरीक्षित वित्तीय परिणामों के विस्तत प्रारूप का सारांश∣का पूर्ण प्रारूप कम्पनी की वेबसाइट www.paramountcables.com तथा स्टॉक एक्सचेंज की वेबसाइट www.nseindia.com तथा www.bseindia.com पर उपलब्ध हैं। | समाप्त | समाप्त | समाप्त | समाप्त | समाप्त | समाप्त | ||||||||||||||
| निदेशक मंडल की ओर रं | तिमाही | तिमाही | नौ माह | तिमाही | तिमाही | नौ माह | ||||||||||||||
| कृते पैरामाउण्ट कम्युनिकेशन्स लिमिटेड | (31.12.2021) | (31.12.2020) | (31.12.2021) | (31.12.2021) | (31.12.2020) | (31.12.2021) | ||||||||||||||
| अलेखापरीक्षित अलेखापरीक्षित अलेखापरीक्षित | अलेखापरीक्षित अलेखापरीक्षित | अलेखापरीक्षित | ||||||||||||||||||
| संदीप अग्रवाल | ||||||||||||||||||||
| दिश्यान : नई दिल्ली | प्रबन्ध निदेशक | प्रचालनों से कुल आय | 1,53,253.76 1,34,668.08 4,43,393.00 | 1,73,940.13 | 1,61,692.69 | 5,04,968.98 | ||||||||||||||
| तिथि : 12.02.2022 | डीआईएन नं. : 00002646 | अवधि हेतु निवल लाभ/(हानि) (कर, | 12,166.98 | 15,936.99 | 44,730.20 | 12,424.06 | 23,686.87 | 49,728.38 | ||||||||||||
| ∣ आपवादिक तथा ∕ अथवा असाधारणमदों से पूर्व) | ||||||||||||||||||||
| सोनल मर्कन्यइल लिमिटेड | ||||||||||||||||||||
| पंजीकृत कार्यालयः ३६५, वर्द्धमान प्लाजा, तृतीय तल, सेक्टर–३, रोहिणी, नई दिल्ली–११००८५ | कर पूर्व अवधि हेतु निवल लाभ / (हानि)(आपवादिक तथा / अथवा असाधारण मदों | 12,166.98 | 15,936.99 | 44,730.20 | 12,424.06 | 23,686.87 | 49,728.38 | |||||||||||||
| सीआईएनः L51221DL1985PLC022433), वेबसाइटः www.sonalmercantile.in, ईमेलः [email protected] | के उपरांत) | |||||||||||||||||||
| 31 दिसंबर 2021 को समाप्त तिमाही के अलेखापरीक्षित समेकित एवं एकल वित्तीय परिणामों का सारांश | (रुपए लाख में) | उपरांत अवधि हेतु निवलकर | 8,095.95 | 10,317.25 | 30,962.55 | 8,297.75 | 17,614.34 | 33,323.85 | ||||||||||||
| विवरण | एकल | समेकित | $\mid$ लाभ $\lor$ (हानि) (आपवादिक तथा $\lor$ अथवा $\mid$ | |||||||||||||||||
| समाप्त तिमाही | समाप्त नौ माह | समाप्त वर्ष | समाप्त तिमाही | समाप्त नौ माह | समाप्त वर्ष | असाधारण मदों के उपरांत) | ||||||||||||||
| ञलेखापरीक्षित अलेखापरीक्षित अलेखापरीक्षित अलेखापरीक्षित लेखापरीक्षित अलेखापरीक्षित अलेखापरीक्षित अलेखापरीक्षित अलेखापरीक्षित लेखापरीक्षित क्लियापरीक्षित केखापरीक्षित केखापरीक्षित केखापरीक्षित केखापरीक्षित केखापरीक्षित 31.12.2021 30.09.2021 31.12.2020 31.12.2021 31.12.2020 31.03.2021 31.12.2021 30.09.2021 31.12.2020 31.12.2021 31.12.2020 31.03.2021 | अवधि हेतु कुल व्यापक आय (अवधि | |||||||||||||||||||
| 499.40 | 503.50 | 471.42 | 1,509.84 | 1,389.54 | 1,850.51 | 499.40 | 503.50 | 471.42 | 1,509.84 | 1,389.54 | 1,850.51 | $\frac{1}{5}$ हेतु लाभ / (हानि) (कर उपरांत) तथा | 8,093.89 | 10,367.87 | 30,956.34 | 8,291.65 | 17,678.77 | |||
| 154.76 | 172.12 | 147.68 | 506.77 | 423.97 | 625.63 | 154.76 | 172.12 | 147.68 | 506.77 | 423.97 | 625.63 | अन्य व्यापक आय (कर उपरांत) से | ||||||||
| निवल लाभ/(हानि) | समाविष्ट) | |||||||||||||||||||
| 154.76 | 172.12 | 147.68 | 506.77 | 423.97 | 625.63 | 123.58 | 119.38 | 110.51 | 377.57 | 317.06 | 451.59 | 6 समता अंश पूंजी | 5,130.78 | 5,130.78 | 5,130.78 | 5,130.78 | 5,130.78 | 33,305.695,130.78 | ||
| अवधि हेतु निवल लाभ/(हानि) | ||||||||||||||||||||
| 123.58 | 119.38 | 110.51 | 377.57 | 317.06 | 451.59 | 123.58 | 119.38 | 110.51 | 377.57 | 317.06 | 451.59 | आरक्षितियां (पुनर्मूल्यांकन आरक्षित | ||||||||
| 123.58 | 119.38 | 110.51 | 377.57 | 317.06 | 451.59 | 273.95 | 492.36 | 332.14 | 1,141.68 | 991.42 | 3,219.80 | 7 को छोड़कर) पूर्ववर्ती वर्ष के लेखाप. | ||||||||
| 1,473.85 | 1,473.85 | 1,473.85 | 1,473.85 | 1,473.85 | 1,473.85 | 1,473.85 | 1,473.85 | 1,473.85 | 1,473.85 | 1,473.85 | 1,473.85 | रीक्षित तुलन-पत्र में निदर्शितानुसार | ||||||||
| आय प्रति अंश (रु. 2/– प्रत्येक का) | ||||||||||||||||||||
| क) मूल (रु. प्रति अंश) | 0.84 | 0.81 | 0.75 | 2.56 | 2.15 | 3.06 | 1.86 | 3.34 | 2.25 | 7.75 | 6.73 | 9.59 | $\frac{1}{8}$ (चालू तथा बंद परिचालनों के लिए) | 3.16 | 4.02 | 12.07 | 3.23 | |||
| ख) तरलीकृत (रु. प्रति अंश) | 0.84 | 0.81 | 0.75 | 2.56 | 2.15 | 3.06 | 1.86 | 3.34 | 2.25 | 7.75 | 6.73 | 9.59 | 1. मूल: | 12.99 | ||||||
| 2. तरलीकृतः | ||||||||||||||||||||
| संवेधानिक लेखा–परीक्षकों ने 31 दिसंबर 2021 को समाप्त तिमाही के उपरोक्त अलेखापरीक्षित एकल वित्तीय परिणामों की सीमित समीक्षा की है। हालांकि, प्रबंधन ने यह सुनिश्चित करने के लिए अनिवार्य यथोचित परिश्रम किया है कि | टिप्पणियां: | |||||||||||||||||||
| वित्तीय परिणामों से इसके कार्यो का सत्य एवं उचित दृष्टिकोण प्राप्त हुआ है। | 1) उपरोक्त जो है वह सेबी (सूचीकरण दायित्व एवं प्रकटीकरण आवश्यकताएं) विनियमावली 2015 के विनियम 33 के अंतर्गत स्टॉक | |||||||||||||||||||
| एक्सचेंजों के पास दर्ज समाप्त तिमाही ⁄ नौ माह के वित्तीय परिणामों के विस्तृत प्रारूप का एक सारांश है। समाप्त तिमाही ⁄ नौ | ||||||||||||||||||||
| सारांशों को प्रकाशित करने का विकल्प चुना है। ये वित्तीय परिणाम वेबसाइट– https://www.sonalmercantile.in/ पर उपलब्ध हैं। | माह के वित्तीय परिणामों का पूर्ण प्रारूप जो है वह स्टॉक एक्सचेंजों की वेबसाइट अर्थात् (www.bseindia.com, | |||||||||||||||||||
| www.nseindia.com) और कंपनी की वेबसाइट अर्थात् (www.pncinfratech.com) पर उपलब्ध है। | ||||||||||||||||||||
| लेखा–परीक्षकों द्वारा एक सीमित समीक्षा किए जाने के अधीन हैं। | 2) उपरोक्त एकल / समेकित परिणामों की लेखा-परीक्षक समिति द्वारा समीक्षा की गई है और निदेशक मंडल द्वारा 12 फरवरी 2022 | |||||||||||||||||||
| को आयोजित अपनी बैठक में इनका अनुमोदन किया गया है। | ||||||||||||||||||||
| बोर्ड की ओर से | कृते पीएनसी इन्फ्राटेक लिमिटेड | |||||||||||||||||||
| कृते सोनल मर्कन्यइल लिमिटेड | ||||||||||||||||||||
| हस्ता./- | ||||||||||||||||||||
| $\sqrt{5}$ .$ \ddot{x}$ .$\begin{array}{ c c c c c }\hline \text{I} & \text{J} & \text{J} & \text{J} & \text{J} \ \hline \text{I} & \text{J} & \text{J} & \text{J} & \text{J} & \text{J} \ \hline \end{array}$2 कर एवं आपवादिक मदों से पूर्व की अवधि हेतू8 कर पूर्व तथा आपवादिक मदों के पश्चात की4 कर पश्चात् अवधि हेतु निवल लाभ/(हानि)5 अवधि हेतु कुल व्यापक आय। 6 चुकताकृत समता अंश पूंजी$\sqrt{7}$ आय प्रति अंशटिप्पणियांः2) कंपनी ने सेबी (सूचीकरण दायित्व एवं प्रकटीकरण आवश्यकताएं) विनियमांवली 2015 के विनियम 33 के अनुसार उपलब्ध कराए गए विकल्प के अनुरुप, एकल वित्तीय परिणामों के अतिरिक्त अलेखापरीक्षित समेकित वित्तीय परिणामों व3) चूंकि कंपनी जो है वह प्राथमिक रूप में वित्त–पोषण के व्यवसाय में कार्यव्यस्त है और अत: तद्नुसार यहां परिचालनात्मक खण्डवार का लेन–देन करनेवाले आईएनडी एएस 108 के अनुसार कोई प्रथक प्रतिवेदनयोग्य खण्डवार नहीं है। 4) उपरोक्त परिणामों की लेखा-परीक्षक समिति द्वारा समीक्षा कर दी गई है तथा निदेशक मंडल ने रिनांक 12 फरवरी 2022 को आयोजित की गई अपनी बैटक में इनका अनुमोदन कर दिया है और उपरोक्त उल्लेखितानुसार संवैधानिक5) पूर्ववर्ती अवधि के आंकड़ों को, चालू अवधि के वर्गीकरण के अनुसार अभिपुष्टि करने के लिए, जहां अनिवार्य समझा गया है, वहां पुनर्समूहित किया गया है। स्थान : नई दिल्लीदिनांकः 12.02.2022 | प्रभजीत कौकंपनी सचिव | स्थानः आगरादिनांक: 12.02.2022 | हस्ता. $/$ –चक्रेश कुमार जैनप्रबंध निदेशक(डीआईएन: 00086768) |
न्यूनतम योग्यता आवश्यक न्यूनतम योग्यता इस प्रकार है:- $2.$
(ए) किसी मान्यता प्राप्त विश्वविद्यालय से M.Sc भौतिकी और एईआरबी (परमाणु ऊर्जा अनुसंधान बोर्ड) द्वारा विधिवत मान्यता प्राप्त रेडियोलॉजिकल फिजिक्स (DRP) में M.Sc, डिप्लोमा / डिग्री पोस्ट करें।
(बी) परमाणु ऊर्जा अनुसंधान बोर्ड द्वारा मान्यता प्राप्त विश्वविद्यालय से चिकित्सा भौतिकी में एम.एससी या समकक्ष
- सुविधा उपलब्ध. रेडिएशन ऑन्कोलॉजी में लीनियर एक्सेलेरेटर, टेलीकोबाल्ट मशीन, एचडीआर ब्रेकीथेरेपी और इमेज गाइडेड रेडियो सर्जरी के लिए लेक्सेल गामा नाइफ आइकन उपलब्ध हैं। इस अस्पताल के न्यूक्लियर मेडिसिन विभाग में मेडिकल साइक्लोट्रॉन, CT-PET, SPECT और हाई डोज थेरेपी की सुविधा उपलब्ध है।
- वेतन, चिकित्सा भौतिक विज्ञानी सह रेडियोलॉजिकल सुरक्षा अधिकारी स्तर III और $4.$ रेडियोलॉजिकल सुरक्षा अधिकारी स्तर III के लिए कुल वेतन अनुबंध की पूरी अवधि के लिए रुपये 75000 / - प्रति माह (2885/- प्रति दिन @ 26 कार्य दिवस) निर्धारित किया गया है।
-
- उपरोक्त पदों के लिए प्रारंभिक संविदा अवधि, नियुक्ति के दिन से 31 मार्च 2022 तक होगी, जिसे नियम और शर्तों के आधार पर आगे बढाया जा सकता है।
- इच्छुक उम्मीदवारों को मूल शैक्षिक दस्तावेज और अन्य आवश्यक सत्यापन दस्तावेज लाने होंगे और 21 February 2022 (Monday) को प्रातः 9:00 बजे से दोपहर 1:00 बजे के बीच शारीरिक साक्षात्कार के लिए प्रशासनिक ब्लॉक में रिपोर्ट करना होगा।
सेना अस्पताल (आर एंड आर) टेली नंबर 011-23338190, 9365647416

| ख) डाइल्यूटेड.[क्त सेबी (सूचीबद्धता दायित्व एवं प्रकटन अपेक्षाएं) विनियम, 2015 के विनियम 33 के तहत स्टॉक एक्सचेंज के साथ दाखिल 31 दिसम्बर, 2021 को समाप्त तिमाही तथा नौमाही के अलेखापरीक्षित वित्तीय परिणामों के विस्तृत प्रारूप का सारांपूर्ण प्रारूप कम्पनी की वेबसाइट www.paramountcables.com तथा स्टॉक एक्सचेंज की वेबसाइट www.nseindia.com तथा www.bseindia.com पर उपलब्ध हैं। | 0.11 | 0.03 | 0.17 | 0.11 | 0.17 | |||||||||||||||
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| क्र | विवरण | एकल | समेकित | |||||||||||||||||
| समाप्त | समाप्त | समाप्त | समाप्त | समाप्त | समाप्त | |||||||||||||||
| कृते पैरामाउण्ट कम्युनिकेशन्स लिमिटेड | निदेशक मंडल की ओर से | तिमाही(31.12.2021) | तिमाही(31.12.2020) | नौ माह(31.12.2021) | तिमाही(31.12.2021) | तिमाही(31.12.2020) | नौ माह(31.12.2021) | |||||||||||||
| अलेखापरीक्षित अलेखापरीक्षित | ्अलेखापरीक्षित अलेखापरीक्षित अलेखापरीक्षित | अलेखापरीक्षित | ||||||||||||||||||
| न ः नई दिल्ली | संदीप अग्रवालप्रबन्ध निदेशक | । प्रचालनों से कु ल आय | 1,53,253.76 1,34,668.08 4,43,393.00 | 1,73,940.13 1,61,692.69 | 5,04,968.98 | |||||||||||||||
| : 12.02.2022 | डीआईएन नं. : 00002646 | अवधि हेतु निवल लाभ / (हानि) (कर, | ||||||||||||||||||
| आपवादिक तथा / अथवा असाधारण | 12,166.98 | 15,936.99 | 44,730.20 | 12,424.06 | 23,686.87 | 49,728.38 | ||||||||||||||
| सोनल मर्कन्यइल लिमिटेड | मदों से पूर्व) | |||||||||||||||||||
| पंजीकृत कार्यालयः ३६५, वर्द्धमान प्लाजा, तृतीय तल, सेक्टर–३, रोहिणी, नई दिल्ली–११००८५ | कर पूर्व अवधि हेतु निवल लाभ $\mathcal{N}$ (हानि) | 12,166.98 | 15,936.99 | 44,730.20 | 12,424.06 | 23,686.87 | 49,728.38 | |||||||||||||
| सीआईएनः L51221DL1985PLC022433), वेबसाइटः www.sonalmercantile.in, ईमेलः [email protected] | (आपवादिक तथा / अथवा असाधारण मदोंके उपरांत) | |||||||||||||||||||
| 31 दिसंबर 2021 को समाप्त तिमाही के अलेखापरीक्षित समेकित एवं एकल वित्तीय परिणामों का सारांश | (रूपए लाख में) | कर उपरांत अवधि हेतु निवल | ||||||||||||||||||
| विवरण | एकल | समेकित | लाभ / (हानि) (आपवादिक तथा / अथवा | 8,095.95 | 10,317.25 | 30,962.55 | 8,297.75 | 17,614.34 | 33,323.85 | |||||||||||
| समाप्त तिमाही | समाप्त नौ माह | समाप्त वर्ष | समाप्त तिमाही | समाप्त नौ माह | समाप्त वर्ष | असाधारण मदों के उपरांत) | ||||||||||||||
| ञलेखापरीक्षित अलेखापरीक्षित अलेखापरीक्षित अलेखापरीक्षित लेखापरीक्षित अलेखापरीक्षित अलेखापरीक्षित अलेखापरीक्षित अलेखापरीक्षित लेखापरीक्षित केखापरीक्षित केखापरीक्षित केखापरीक्षित केखापरीक्षित केखापरीक्षित केखापरीक्षित केखापर 31.12.2021 30.09.2021 31.12.2020 31.12.2021 31.12.2020 31.03.2021 31.12.2021 30.09.2021 31.12.2020 31.12.2021 31.12.2020 31.03.2021 | अवधि हेतु कुल व्यापक आय (अवधि | |||||||||||||||||||
| 1 प्रिचालनों से कुल आय (निवल) | 499.40 | 503.50 | 471.42 | 1,509.84 | 1,389.54 | 1,850.51 | 499.40 | 503.50 | 471.42 | 1,509.84 | 1,389.54 | 1,850.51 | हेतु लाभ ⁄ (हानि) (कर उपरांत) तथा | 8,093.89 | 10,367.87 | 30,956.34 | 8,291.65 | 17,678.77 | 33,305.69 | |
| -2 किर एवं आपवादिक मदों से पूर्व की अवधि हेतू निवल लाभ/(हानि) | 154.76 | 172.12 | 147.68 | 506.77 | 423.97 | 625.63 | 154.76 | 172.12 | 147.68 | 506.77 | 423.97 | 625.63 | अन्य व्यापक आय (कर उपरांत) सेसमाविष्ट) | |||||||
| 3 किर पूर्व तथा आपवादिक मदों के पश्चात की | 154.76 | 172.12 | 147.68 | 506.77 | 423.97 | 625.63 | 123.58 | 119.38 | 110.51 | 377.57 | 317.06 | 451.59 | समता अंश पूंजी | 5,130.78 | 5,130.78 | 5,130.78 | 5,130.78 | 5,130.78 | 5,130.78 | |
| अवधि हेतु निवल लाभ/(हानि) | ||||||||||||||||||||
| कर पश्चात् अवधि हेतु निवल लाभ/(हानि) | 123.58 | 119.38 | 110.51 | 377.57 | 317.06 | 451.59 | 123.58 | 119.38 | 110.51 | 377.57 | 317.06 | 451.59 | आरक्षितियां (पुनर्मूल्यांकन आरक्षितको छोड़कर) पूर्ववर्ती वर्ष के लेखाप. | |||||||
| अवधि हेतु कुल व्यापक आय | 123.58 | 119.38 | 110.51 | 377.57 | 317.06 | 451.59 | 273.95 | 492.36 | 332.14 | 1,141.68 | 991.42 | 3,219.80 | रीक्षित तूलन–पत्र में निदर्शितानुसार | |||||||
| चुकताकृत समता अंश पूंजी | 1,473.85 | 1,473.85 | 1,473.85 | 1,473.85 | 1,473.85 | 1,473.85 | 1,473.85 | 1,473.85 | 1,473.85 | 1,473.85 | 1,473.85 | 1,473.85 | ||||||||
| ं आय प्रति अंश | आय प्रति अंश (रु. 2/– प्रत्येक का) | |||||||||||||||||||
| क) मूल (रु. प्रति अंश) | 0.84 | 0.81 | 0.75 | 2.56 | 2.15 | 3.06 | 1.86 | 3.34 | 2.25 | 7.75 | 6.73 | 9.59 | (चालू तथा बंद परिचालनों के लिए) | 3.16 | 4.02 | 12.07 | 3.23 | 6.87 | 12.99 | |
| ख) तरलीकृत (रु. प्रति अंश) | 0.84 | 0.81 | 0.75 | 2.56 | 2.15 | 3.06 | 1.86 | 3.34 | 2.25 | 7.75 | 6.73 | 9.59 | 1. मूलः2. तरलीकृतः | |||||||
| प्पणियांः | ||||||||||||||||||||
| सवैधानिक लेखा–परीक्षकों ने 31 दिसंबर 2021 को समाप्त तिमाही के उपरोक्त अलेखापरीक्षित एकल विलीय परिणामों की सीमित समीक्षा की है। हालांकि, प्रबंधन ने यह सुनिश्चित करने के लिए अनिवार्य यथोचित परिश्रम किया है किवित्तीय परिणामों से इसके कार्यो का सत्य एवं उचित दृष्टिकोण प्राप्त हुआ है। | टिप्पणियां | |||||||||||||||||||
| कंपनी ने सेबी (सूचीकरण दायित्व एवं प्रकटीकरण आवश्यकताएं) विनियमातवी 2015 के विनियम 33 के अनुसार उपलब्ध करण कर अनुरूप, एकल वित्तीय परिणामों के अतिरिक्त अलेखापरीक्षित समेकित वित्तीय परिणामों के अतिरिक्त अलेखापरीक्षित समेकित | [1] उपरोक्त जो है वह सेबी (सूचीकरण दायित्व एवं प्रकटीकरण आवश्यकताएं) विनियमावली 2015 के विनियम 33 के अंतर्गत स्टॉक | |||||||||||||||||||
| सारांशों को प्रकाशित करने का विकल्प चुना है। ये वित्तीय परिणाम वेबसाइट– https://www.sonalmercantile.in/ पर उपलब्ध हैं। | एक्सचेंजों के पास दर्ज समाप्त तिमाही ⁄ नौ माह के वित्तीय परिणामों के विस्तृत प्रारूप का एक सारांश है। समाप्त तिमाही ⁄ नौमाह के वित्तीय परिणामों का पूर्ण प्रारूप जो है वह स्टॉक एक्सचेंजों की वेबसाइट अर्थात् (www.bseindia.com, | |||||||||||||||||||
| चूंकि कंपनी जो है वह प्राथमिक रूप में वित्त–पोषण के व्यवसाय में कार्यव्यस्त है और अतः तद्नुसार यहां परिचालनातमक खण्डवार का लेन–देन करनेवाले आईएनडी एएस 108 के अनुसार कोई पृथक प्रतिवेदनयोग्य खण्डवार नहीं है। | www.nseindia.com) और कंपनी की वेबसाइट अर्थात् (www.pncinfratech.com) पर उपलब्ध है। | |||||||||||||||||||
| उपरोक्त परिणामों की लेखा–परीक्षक समिति द्वारा समीक्षा कर दी गई है तथा निदेशक मंडल ने दिनांक 12 फरवरी 2022 को आयोजित की गई अपनी बैठक में इनका अनुमोदन कर दिया है और उपरोक्त उल्लेखितानुसार संवैधानिकलेखा–परीक्षकों द्वारा एक सीमित समीक्षा किए जाने के अधीन हैं। | 2) उपरोक्त एकल∕समेकित परिणामों की लेखा—परीक्षक समिति द्वारा समीक्षा की गई है और निदेशक मंडल द्वारा 12 फरवरी 2022 | |||||||||||||||||||
| पूर्ववर्ती अवधि के आंकड़ों को, चालू अवधि के वर्गीकरण के अनुसार अभिपुष्टि करने के लिए, जहां अनिवार्य समझा गया है, वहां पुनर्समूहित किया गया है। | को आयोजित अपनी बैठक में इनका अनुमोदन किया गया है। | |||||||||||||||||||
| बोर्ड की ओर से | कृते पीएनसी इन्फ्राटेक लिमिटेड | |||||||||||||||||||
| कूते सोनल मर्कन्दाइल लिमिटेड | हस्ता./—चक्रेश कुमार जैन | |||||||||||||||||||
| हस्ता./प्रभजीत कौर | स्थानः आगरा | प्रबंध निदेशक | ||||||||||||||||||
| गान ः नई दिल्लीनांकः 12.02.2022 | कंपनी सचिव | दिनांक: 12.02.2022 | (डीआईएन: 00086768) |