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Polymechplast Machines Ltd. Earnings Release 2026

May 23, 2026

64000_rns_2026-05-23_445cd30d-3ac1-4f21-b00a-35a623a14f96.pdf

Earnings Release

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polymachplast MACHINES LTD.

MANUFACTURERS OF GOLD CON-BRAND PLASTIC PROCESSING MACHINES

Regd. Office : "GOLD CON HOUSE" 776, G.I.D.C. MAKARPURA, VADODARA-390 010. GUIARAT. (INDIA) PHONE : 0091-265-2632210

Email : [email protected] Web Site : www.polymechplast.com

CIN : L27310GJ1987PLC009517

TUV NORD

Reg. Office : "GOLDCOIN" House, 775, GIOC, Makarpura, Vadodara - 390010. Gujarat, INDIA

Tel : +91-265-2632210 • E-mail : [email protected]

MUMBAI : • Ph. : +91-22-28460678, 28858190, Email : [email protected]

KOLKATA : • Ph. : +91-33-22298400, Email : [email protected]

DELHI : • Ph. : +91-11-65170869, 27028101, Email : [email protected]

BANGLORE : • Ph. : +91-80-23467177, Email : [email protected]

CHEMNAI : • Mo. : +91-9600145737, Email : [email protected]

Export Division : • Mo. : +91-8511127253, Email : [email protected]

23rd May, 2026

To,

BSE Limited,

Phiroze Jeejeebhoy Towers,

Dalal Street, Fort, Mumbai - 400 001,

Maharashtra

Scrip ID / Code: POLYCHMP / 526043

Subject: Newspaper Publication of Audited Financial Results for the Quarter and Financial Year ended 31st March, 2026

Dear Sir / Madam,

Pursuant to provisions of Regulation 30 and 47 of SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015, ('Listing Regulations'), the Company had duly published the Audited Financial Results for the Quarter and Financial Year ended 31st March, 2026 in Financial Express (English) and Loksatta Jansatta (Gujarati) dated 23rd May, 2026.

Copies of said publications are enclosed herewith for your information and record.

Thanking you,

For POLYMECHPLAST MACHINES LIMITED

VAISHALI
VIMALKUMAR PUNJABI

Digitally signed by VAISHALI
VIMALKUMAR PUNJABI
Date: 2026.05.23 14:19:55 +05'30'

VAISHALI PUNJABI
Company Secretary & Compliance Officer

Encl.: a/a


SATURDAY, MAY 23, 2024

ARKYASYMANICALEXPRESS.COM

FINANCIAL EXPRESS

POLYMECHPLAST MACHINES LIMITED

CIR: L273150L11667FL0069517

Registered Office: "Gold Coin House", TR, G.I.D.C., Milwaukee, Indicators - 390 010, Gujarat.

Email Id: [email protected]. Website: www.polymechplast.com. Contact: (0293) 2632218

EXTRACT OF STATEMENT OF AGENTS FINANCIAL RESULTS FOR THE QUARTER AND YEAR ENDED 31/07 MARCH, 2026

No. Particulars STANDARD FINANCIAL
Quarter ended Year ended Quarter ended Year Ended
Southeast Eastern Southeast Eastern Eastern Southeast Eastern Southeast Eastern Eastern
1 Total Income from Operations 41,678.46 39,183.27 1,044.46 2,044.46 41,678.46 39,183.27 1,044.46 2,044.46 41,678.46 1,044.46
2 Net Profit / Lease for the period before Tax, Eastern 419.58 1103.05 1218.53 1218.53 1218.53 1218.53 1218.53 1218.53 1218.53 1218.53
3 Net Profit / Lease for the quarterly government tax (after Expenditure) paid for in Expenditure/Assets 380.99 182.46 23.62 218.14 128.11 356.04 182.46 23.62 433.84 128.11
4 Net Profit / Lease for the quarterly non-tax (after Expenditure) paid in Expenditure/Assets 352.18 44.45 11.11 206.95 98.50 281.67 48.94 10.58 578.01 88.18
5 Net Profit / Net Cash flow (the period before tax) paid for in Expenditure/Assets 252.18 44.45 11.11 206.95 98.50 281.67 48.94 10.58 578.01 88.18

By the Shareholder, except for the period and immediately before taxes for the period were taken as a reference to the current year ended December 31, 2018.

Date: 21st May, 2026
Place: Kankata

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By Order of the Board
For Polymorphism Machines Limited
Wahrenbrädel Bloss
Chairman & Director
CIR: 02014092

ARYAMAN FINANCIAL SERVICES LIMITED

Registered Office: 107, Ganga Dianhans, Ilo1, R.O.E., Kankta, Gujarat. E-mail: [email protected]

Date: 21st May, 2026
Place: Kankata

ARYAMAN FINANCIAL SERVICES LIMITED

Registered Office: PTC Building, 4th Floor, DP-5, Salt Lake, Seolar-U, Kankata, 700081, Nisai Street, P.O. Box 10000, LOK, U241400001881PL2263188

Email: [email protected] | website: www.arahan.in

Financial Results for the quarter and year ended March 31, 2026

(Regulation 523) read with Regulation 52 (4) of the SEDI (Listing Obligations and Disclosure Requirements) Regulations, 2015 (All amounts in table of RRL unless otherwise stated)

No. Particulars Unrealized Results
Quarter Ended Year Ended % Change
31.05.2020 31.12.2020 31.05.2020 31.05.2020
1 Total Income from Operations 41,678.46 39,183.27 1,044.46 2,044.46 41,678.46
2 Net Profit / Lease for the period before Tax, Eastern 419.58 1103.05 1218.53 1218.53 1218.53
3 Net Profit / Lease for the quarterly government tax (after Expenditure) paid in Expenditure/Assets 352.18 1103.05 1218.53 1218.53 1218.53
4 Net Profit / Net Cash flow (the period after tax) paid in Expenditure/Assets 252.18 1103.05 1218.53 1218.53 1218.53

By the Shareholder, except for the period and immediately before taxes for the period after tax and other comprehensive income (after tax)

1 Total Income
2 419.58
1 419.58
--- ---
1 419.58
--- ---
1 419.58
--- ---

GREENLAM INDUSTRIES LIMITED

Saurabh Mittal Managing Director & CEO [DIN: 00273917]

Date: May 22, 2026
Place: New Delhi

Cumulative Identity Number: L213150L2218FL006940
Registered & Corporate Officer: CIR: 211441, West of Bihar, West Bengal, India

UJJGAL

No. Particulars Unrealized Results
Quarter Ended Year Ended % Change
31.05.2020 31.12.2020 31.05.2020 31.05.2020
1 Total Income from Operations 41,678.46 39,183.27 1,044.46 2,044.46 41,678.46
2 Net Profit / Lease for the period before Tax, Eastern 419.58 1103.05 1218.53 1218.53 1218.53
3 Net Profit / Lease for the quarterly government tax (after Expenditure) paid in Expenditure/Assets 352.18 1103.05 1218.53 1218.53 1218.53

GREENLAM INDUSTRIES LIMITED

Saurabh Mittal Managing Director & CEO

No. Particulars Unrealized Results
Quarter Ended Year Ended % Change
31.05.2020 31.12.2020 31.05.2020 31.05.2020
1 Total Income from Operations 41,678.46 39,183.27 1,044.46 2,044.46 41,678.46
2 Net Profit / Lease for the period before Tax, Eastern 419.58 1103.05 1218.53 1218.53 1218.53

GREENLAM INDUSTRIES LIMITED

Saurabh Mittal Managing Director & CEO

No. Particulars Unrealized Results
Quarter Ended Year Ended % Change
31.05.2020 31.12.2020 31.05.2020 31.05.2020

Please Note: The above is an extract of the detailed format of the quarterly and yearly financial results filed with SED, Ltd., under Regulation 52 of the SEDI (Listing Obligations and Disclosure Requirements) Regulations, 2015 (All amounts in table of RRL unless otherwise stated)

No. Particulars Quarter ended March 31, 2026 (doubled) Quarter ended March 31, 2026 (doubled) Year ended March 31, 2026 (doubled) Year ended March 31, 2026 (doubled)
1 Total Income from Operations 41,678.46 39,183.27
1 Total Income from Operations 41,678.46 39,183.27 1,044.46 2,044.46 41,678.46 1,044.46
2 Net Profit / Lease for the period before Tax, Eastern 419.58 1103.05 1218.53 1218.53 1218.53 1218.53

Please Note: The above is an extract of the detailed format of the quarterly and yearly financial results filed with SED, Ltd., under Regulation 52 (4) of the SEDI (Listing Obligations and Disclosure Requirements) Regulations, 2015. The full format of the Quarterly and yearly financial results is available on the websites of SED, Ltd. (www.bisemill.com) and the Company (www.aroham.in).

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