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Rollatainters Ltd. Interim / Quarterly Report 2021

Aug 20, 2021

64159_rns_2021-08-20_303eebe3-15f6-4ce9-b9d5-20affe172429.pdf

Interim / Quarterly Report

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Ref.No.: RTL/BSE/NSE/2021-22 Date: 17" August 2021

G
ROLLATAINERS
EMERGING EVERYOAY
ROLLATAINERS LIMITED
Registered Office: Plot No. 73-74, Phase-III, Industrial Area, Dharuhera, District Rewari, Haryana-123106Tel. : 01274-243326, 242220 E-mail: www.rollatainers.in
CIN: L21014HR1968PLC004844
Ref.No.: RTL/BSE/NSE/2021-22
Date: 17" August 2021
To,
The Secretary The Secretary
BSE Limited National Stock Exchange Limited, Exchange Plaza
Phiroze Jeejeebhoy, Towers Limited Bandra Kurla Complex, Bandra (E)
Dalal Street, Mumbai - 4000 01 Mumbai - 400 051
Scrip Code: 502448 Symbol: ROLLT

Sub: Submission of Newspaper cutting pertaining to publication of Notice of Postponement of the Board Meeting for approving of Audited Standalone and Consolidated Financial Results for the Quarter and Year ended on March 31, 2021.

Pursuant to Regulation 47 of the SEBI (Listing Obligation & Disclosure Requirements), Regulations, 2015, please find enclosed herewith newspaper cuttings pertaining to Publication of Notice of Postponement of the Board meeting Notice for approving of Audited Standalone and Consolidated Financial Results for the Quarter and Year ended on March 31, 2021 published in the newspapers namely "Financial Express" (English Edition) and "Jansatta" (Hindi Edition) on 14" August 2021.

The aforesaid Newspaper Publications are also uploaded on Company's website.

You are requested to kindly take the same on record and oblige.

Thanking You, Yours faithfully,

For Rollatainers Limited

Aditi Jain (Company Secretary)

Enclosed : As stated above

FINANCIAL EXPRESS

38

ADVIK CAPITAL LIMITED

(formerly known as Advik Industries Limited) Regd Office: Plot No. 84, Khasra No. 143/84, Ground Floor, Extended Lal Dora, Kanjhawla, Delhi-110081 CIN - L65100DL1985PLC022505, Website: www.advikgroup.com/ail, Email: [email protected], [email protected]

Extract of unaudited financial results for the quarter ended 30 June 2021Rs. in Lacs
Standalone Consolidated
Particulars 30.06.2021Unaudited Quarter ended Quarter ended30.06.2020Unaudited Year ended31.03.2021Audited 30.06.2021Unaudited Quarter ended Quarter ended30.06.2020Unaudited Year ended31.03.2021Audited
Revenue from operations 12.07 11.55 47.71 72.51 80.47 627.96
Profit before tax 1.07 0.27 5.20 (0.11) (1.85) 10.23
Profit after tax 0.83 0.21 3.89 (0.11) (1.85) 7.63
Total Comprehensive Income (Comprising profit for the period andother comprehensive income after tax) 0.83 0.21 3.89 3 (1.85) 7.63
Paid-up equity share capital 458.74 458.74 458.74 608.74 608.74 608.74
Other equity as shown in the balance sheet of the previous year w. $\sim$ $\rightarrow$
Earnings Per Share (Not annualised) (Face value of Rs. 10 each)
Basic 0.018 0.005 0.085 W. ŵ. 0.13
Diluted 0.018 0.005 0.085 $\sim 10$ ü. 0.13

Note: The above is an extract of the unaudited financial results for the quarter ended 30 June 2021 which have been reviewed by the Audit Committee and approved by the Board of Directors at its meeting held on 13th August 2021 subjected to limited review by statutory auditors and filed with the stock exchanges under regulation 33 of SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015, as amended.

By the order of the Board Advik Capital Limited

Sd/-

WM-
Virender Kumar Agrawal
Place : New Delhi Managing Director
Date: 13.08.2021 Din:-00531255

Regd. Office: PD II, Jhilmil Metro Station, Jhilmil Industrial Area, Delhi - 110 095; Ph: 0129-4876177 Email: [email protected] | Website: www.cmilimited.in

EXTRACT OF AUDITED FINANCIAL RESULTS FOR THE QUARTER & YEAR ENDED 31.03.2021

Sr. PARTICULARS Quarter Ended (Rs. in Lakhs except per share data)Year Ended
No. 31-Mar-21 31-Dec-20 31-Mar-20 31-Mar-21 31-Mar-20
Audited Unaudited Aaudited Audited Audited
1. Total Income from Operations 6934.80 6473.33 11883.51 20612.09 51212.21
2. Net Profit for the period (before tax, Exceptional and/or
Extraordinary items) $-2540.37$ $-1515.07$ 195.20 $-7776.66$ 1058.34
$\overline{3}$ . Net profit for the period before tax (after Exceptional and/or
extraordinary item) $-16585.19$ $-1516.90$ 175.28 $-21820.81$ 1032.86
$\overline{4}$ . Net Profit for the period after tax(after Exceptional and/or
Extraordinary items) $-15544.13$ $-1134.46$ $-211.39$ $-19460.31$ 370.12
5. Total comprehensive income for the period {Comprising Profit for the
period (after tax) and Other Comprehensive Income (after tax)) 15533.86 $-1134.46$ $-220.76$ $-19450.04$ 360.75
6. Equity Share Capital 1602.74 1502.74 1502.74 1602.74 1502.74
7. Reserves (excluding Revaluation Reserve) as shown in the Audited
Balance Sheet of the previous year 10853.60 29903.64
8. Earnings per share of Rs. 10/- each (for continuing operations)
a) Basic $-102.62$ $-7.55$ $-1.14$ $-128.47$ 2.46
b) Diluted $-102.62$ $-7.55$ $-1.14$ $-128.47$ 2.46
Shivalik Rasayan Limited
gd. Office: Village Kolhupani, P. O. Chandanwari, Dehradun - 248007
(CIN: L24237UR1979PLC005041)
mail: [email protected], Website: www.shivalikrasayan.com

Extracts of Standalone and Consolidated Un-Audited Financial Results for the Quarter ended on 30.06.2021

(in Lakhs)
Standalone Consolidated
SI. Quarter Ended Year Ended Quarter Ended Year Ended
No. Particulars 30.06.2021 Un-Audited Un-Audited30.06.2020 Audited31.03.2021 30.06.2021 Un-Audited Un-Audited30.06.2020 Audited31.03.2021
1 Total income from operations (net) 2285.80 1835.51 8524.39 5046.70 4622.27 19871.40
$\overline{2}$ Net Profit/ (Loss) for the period(before tax, exceptional and/ orExtraordinary items) 490.28 156.67 1253.35 964.86 480.49 2892.75
3 Net Profit/ (Loss) for the periodbefore tax (after exceptionaland/ or Extraordinary items) 490.28 156.67 1253.35 964.86 480.49 2892.75
4 Net Profit/ (Loss) for the periodafter tax (after exceptional and/orExtraordinary items) 498.28 161.93 1267.55 913.42 386.33 2480.50
5 Total comprehensive income for theperiod {Comprising Profit/ (loss) forthe period (after tax) and otherComprehensive income (after tax)) 0.00 0.00 0.00 0.00. 0.00 0.00
$\ddot{6}$ Equity Share Capital 688.96 688.96 688.96 688.96 688.96 688.96
7 Reserves (excluding RevaluationReserve as shown in the BalanceSheet of previous year)
$\overline{\mathbf{8}}$ Earnings Per Share (of Rs.5/- each)(for continuing and discontinuedoperation)Basic:Diluted: 3.623.62 1.181.18 9.209.20 4.884.88 1.821.82 12.8812.88
  • The Un-audited Financial results for the quarter ended on June 30, 2021 have been reviewed by the Audit Committee and approved by the Board of Directors at its meeting held on August 13, 2021
  • The figures are regrouped in previous year also, wherever considered necessary
  • The Company operates in multiple business segments i.e. Agro- Chemicals, Pharma API & Pharma formulations
  • The Earning Per Share has been calculated as per Ind AS-33.
For Shivalik Rasayan Limited
Sdl-
Place: New Delhi Rahul Bishnoi
Date: 13.08.2021 Chairman

INDIA FINSEC LIMITED

Regd. Office: D-16, First Floor, Above ICICI Bank, Prashant Vihar, Sector-14, Rohini, New Delhi-110085 CIN: L65923DL1994PLC060827 E-Mail Id: [email protected], Website: www.indiafinsec.com EXTRACT OF STANDALONE AND CONSOLIDATED FINANCIAL RESULTS FOR THE QU

ARTER ENDED 30TH JUNE 2021 (IND-AS COMPLIANT) (R)
STANDALONE CONSOLIDATED
Sr.no Particulars Quarter Ended PreviousYear ended QuarterEnded PreviousYear ended
$30 - Jun - 21$(Unaudited) $31-Mar-21$(audited) 30-Jun-20(Unaudited) 31.03.2021(Audited) 30-Jun-21(Unaudited) 31-Mar-21Audited
1 Total income from operations (net) 17.83 55.04 21.01 107.13 488.85 1,825.01
$\overline{c}$ Net Profit for the period (before tax,Exceptional and Extraordinary Items) 7.42 33.28 (4.48) 4.08 239.78 613.05
3 Net Profit / (Loss) for the period before tax(After Exceptional and Extraordinary Items) 7.42 33.28 (4.48) ussu4.08 239.78 612.74
4 Net Profit / (Loss) for the period after tax(after Extraordinary items) 5.49 37.25 (4.48) 4.60 181.68 471.32
5 Total Comprehensive Income for the period[Comprising Profit/(Loss) for the period(after tax) and other ComprehensiveIncome (after tax)] 5.49 32.80 (12.72) 33.82 181.68 496.28
6 Paid-Up Equity Share Capital 2,494.17 2,494.17 2.494.17 2,494.17 2,494.17 2,494.17
7 Reserves (excluding Revaluation Reserveas shown in the Balance Sheet) 1,956.35 1.923.67 1,923.67 1,923.67 2,755.22 2,376.98
8 Earnings Per Share (before & afterextraordinary items) (of Rs. 10/- each)Basic:Diluted: 0.020.02 0.150.15 (0.02)(0.02) 0.020.02 0.730.73 1.891.89

Form No. INC-26 (Pursuant to Rule 30 of the Companies (Incorporation) Rules, 2014). Advertisement to be published in the newspaper for change of Registered Office

of the Company from one state to another Before the Central Government Northern Region, New Delhi Region In the matter of sub-section (4) of Section 13 of the Companies Act, 2013 and Clause (A) of Sub-rule(5) of rule 30 of the Companies Incorporation Rules, 2014 AND

In the matter of: APURVA PROJECTS & CONTRACTS PRIVATE LIMITED having it Registered Office at 301, 3" Floor, RG Trade Tower Netaji Subhash Place, Pitampura Delhi, 110034 ..Petitione

Notice is hereby given to the General Public that the company proposes to make application to the Central Government under section 13 of the Companies Act, 2013 seeking confirmation of alteration of the Memorandum of Association of the Company in terms of the special resolution passed at the Extra ordinary general meeting held on 09" August, 2021 to enable the company to change its Registered Office from "NCT OF PRADESH".

Any person whose interest is likely to be affected by the proposed change of the registered office of the company may deliver either on the MCA-21 portal (www.mca.gov.in) by filing investor complaint form or cause to be delivered or send by registerer post of his/her objections supported by an affidavi stating the nature of his/her interest and grounds of opposition to the Regional Director at the address Northern Region New Delhi within fourteen daysof the date of publication of this notice with a copy to the applicant company with a copy of the applicant company at its registered office at the address mentioned below

For and on behalf of the applicant Date : 14.08.2021 MADAN LAL Place : Delhi Director

ROLLATAINERS LIMITED (CIN: L21014HR1968PLC004844)

Regd. Office: Plot No. 73-74, Phase- III, Industrial Area, Dharuhera, District-Rewari

Rewari-123106 Phone: 01274-243326, 242220 E-mail: [email protected] Website: www.rollatainers.in

POSTPONEMENT OF BOARD MEETING

Pursuant to Regulation 29 read with Regulation 47 of the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015, notice is hereby given that due to unavoidable circumstances the meeting of Board of Directors of the Company which was rescheduled to be held on Friday, 13th August, 2021, is now postponed and further re-scheduled to be held on Friday, August 20, 2021 inter alia, to consider, approve and take on record the Standalone and Consolidated Audited Financial Results for the Quarter and Year ended on March 31, 2021.

The said Notice may be accessed on the Company's website at www.rollatainers.in & the website of BSE www.bseindia.com and NSE i.e. www.nseindia.com

S. E. RAILWAY TENDER e-Tender Notice No. : E-DRM-Engg-

ADRA-39-45-21 dated : 12.08.2021

Divisional Railway Manager (Engg.) South Eastern Railway, Adra for and on

behalf of the President of India invites e-Tenders for the following Bridge.

manpower and Spl. works : SI. No. e-Tender No. and Name of works:

(1) E-DRM-Engg-ADRA-39-21, Annual

maintenance charges of water level

monitoring system for 2 years at Railway

Bridge no. 414 between PRR-TAO onKassai river through "OEM" in Adra

Division, South Eastern Railway

(2) E-DRM-Engg-ADRA-40-21

Deployment of manpower for operation

The above Financial results have been reviewed by the Audit Committee & approved by the Board of Directors at their meeting held on 12th August, 2021

    1. The above is an extract of the detailed format of financial results filed with the Stock Exchanges under Regulation 33 of SEBI (Listing and other Disclosure Requirements) Regulations, 2015. The full format of the quarterly financial results are available on the stock exchange website(s), NSEwww.nseindia.com, BSE-www.bseindia.com and Company's website-www.cmilimited.in.
    1. The Statutory Auditors have carried out a Limited Review of the results of the Company
    1. Previous period figures have been regrouped / reclassified, wherever necessary.

For and on behalf of Board of Directors CMI Limited Sd/-Amit Jain (Managing Director) DIN: 00041300

CIN: L21012UP1986PLC007671Regd. Office: 4.5 KM., BHOPA ROAD, MUZAFFARNAGAR-251001, UTTAR PRADESHEmail: [email protected] Website: www.shakumbhripulp.com Contact No: 9548493030
UNAUDITED FINANCIAL RESULTS FOR THE QUARTER ENDED AS ON 30TH JUNE 2021
(Rs. In Lakhs)(STANDALONE)
30-Jun-21 31-Mar-21 30-Jun-20 March 31, 2021
SI.No. Particulars 3 months 3 months 3 months 12 months
(Unaudited) (Audited) (Unaudited) (Audited)
$\mathbf{1}$ Total Income from Operations 2428.77 2519.23 1064.74 7414.40
$\overline{2}$ Net Profit / (Loss) for the period (beforeTax & Exceptional) 54.74 171.23 7.84 228.33
$\overline{3}$ Net Profit / (Loss) for the period before tax (afterExceptional items) 54.74 171.23 7.84 228.33
$\overline{4}$ Net Profit / (Loss) for the period after tax 39.38 104.73 5.80 170.59
5 Total Comprehensive Income for the period[Comprising Profit / (Loss) for the period (after tax)and Other Comprehensive Income (after tax)] 40.49 107.37 7.08 173.36
6 Equity Share Capital 385.50 385.50 385.50 385.50
$\overline{7}$ Reserves (excluding Revaluation Reserve) 718.36
8 Earnings Per Share (of Rs. 10/- each).1. Basic:2. Diluted: 1.021.02 2.722.72 0.150.15 4.434.43

Shakumbhri Pulp & Paper Mills Limited

Notes:

Date: 13.08.2021

Place: New Delhi

The above is an extract of the detailed format of Quarterly Unaudited Financial Result filed with the Stock Exchanges under Regulation 33 of the SEBI (Listing and Other Disclosure Requirements) Regulations, 2015. The full format of the Quarterly Unaudited Financial Results are available on website of the company 'www.shakumbhripulp.com'.

The above results were reviewed and recommended by the audit committee and taken on record by the Board of Director at its meeting held on 13.08.2021 and same the has been subject to the limited review by the Company's Statutory Auditors.

Shakumbhri Pulp & Paper Mills Limited

Gi
Place : Muzaffarnagar
Date: 13-08-2021

NOTE:

Date: 13.08.2021

Place : New Delhi

  • The above is an extract of the detailed format of Quarterly / Annual Financial Results filed with the Stock Exchanges under Regulation 33 of the SEBI (Listing Obligation and Disclosure Requirements) Regulations, 2015. The full format of the Quarterly / Annual Financial Results is available on the Stock Excjanges websites i.e. (www.bseindia.com) and also available on the Company's Website www.indiafinsec.com.
  • The aforesaid results were placed before and reviewed by the Audit Committee and approved by the Board of Directors at its meeting held on 13th August, 2021.
  • The consolidated results include those of the subsidiary Company viz. IFL Housing Finance Limited.

Chairman & Managing Director

For India Finsec Limited

Gopal Bansal

Regd. Office: S-1A, Ground Floor, Bhagwan Dass Nagar, East Punjabi Bagh, New Delhi-110026

Corporate office: B-4, Bhagwan Dass Nagar, East Punjabi Bagh, New Delhi-110026Ph: 011-45803300 | Email: [email protected] | Website: www.bestagrolife.com EXTRACT OF UN-AUDITED FINANCIAL RESULTS FOR THE QUARTER ENDED 30TH JUNE, 2021

Rs. In Lakhs
STANDALONE CONSOLIDATED
PARTICULARS YEAR ENDEDQUARTER ENDED QUARTER ENDED YEAR ENDED
30-06-2021 31-03-2021 30-06-2020 31-03-2021 30-06-2021 31-03-2021 31-03-2021
Unaudited Audited Unaudited Audited Unaudited Audited Audited
lotal Income from operations 34,456.22 20,812.94 36,290.62 90,544.50 34,456.22 20,812.94 90,544.50
Vet Profit for the period (before Tax, Exceptional andor Extraordinary items) 3,482.34 3,464.83 958.08 5,078.57 3,482.34 3,464.83 5,078.57
Vet Profit /(Loss) for the period before Tax (afterExceptional and / or Extraordinary items) 3,482.34 3,464.83 958.08 5,078.57 3,482.34 3,464.83 5,078.57
Vet Profit /(Loss) for the period after Tax (afterxceptional and/ or Extraordinary items) 2,578.12 2,526.76 724.20 3,706.62 2,593.59 2,527.72 3,707.58
fotal Comprehensive Income for the periodComprising Profit / (Loss) for the period (after Tax )and Other Comprehensive Income (after Tax) 2,589.80 2,535.06 1,530.88 4,609.62 2,605.27 2,536.03 4,610.58
aid up Equity Share Capital (Face Value of Rs 10/-ach) 2,203.21 2,203.21 2,203.21 2,203.21 2,203.21 2,203.21 2,203.21
Earnings Per Share (EPS) (of Rs. 10/- each) on Netrofit (Not annualised)Basic and Diluted 11.70 11.47 3.29 16.82 11.77 11.47. 16.83

Notes:

Place: New Delhi

SI.

No.

$\overline{2}$

$\overline{3}$

8

Notes

Place : Delhi

Date: 13.08.2021

Date: August 13, 2021

Total Income from Operations

and/or Extraordinary items)

and/or Extraordinary items)

Earnings Per Share (of Rs. 10/- each)

Extraordinary items)

Income (after tax)] 6 Equity Share Capital

  1. Basic:

  2. Diluted:

  3. The above is an extract of the detailed format of Financial Results for the Quarter ended 30th June, 2021 filed with the Stock Exchanges under Regulation 33 of the SEBI (Listing Obligation& Disclosure Requirements) Regulations, 2015. The full formats of Quarter ended financial results are available on the website of the Stock Exchange (www.bseindia.com) and also on the Company's website: www.bestagrolife.com.

The above results have been reviewed by the Audit Committee and approved by the Board of Directors at its meeting held on 12th August, 2021 These results have been subjected to Limited review by the statutory Auditor.

AGARWAL DUPLEX BOARD MILLS LIMITED

CIN: L99999DL1984PLC019052

Regd. Office: 217, Agarwal Prestige Mall, Plot No. 2 Community Center, Along Road No. 44, Pitampura, Delhi - 110034

Board: +91 11 47527700 | Fax: +91 11 47527777 | E-mail: [email protected] | Website: www.agarwalduplex.net

UNAUDITED FINANCIAL RESULTS FOR THE QUARTER ENDED 30TH JUNE, 2021

(STANDALONE)

30-Jun-21

3 months

3882.84

41.27

41.27

30.88

30.88

1350.00

1417.2

$0.02$

$0.02$

For Best Agrolife Limited

30-Jun-20 31-Mar-21 31-Mar-21

3 months

(Audited)

4062.13

$-12.97$

$-12.97$

$-23.89$

$-27.05$

1350.00

1,417.20

$-0.02$

$-0.02$

Agarwal Duplex Board Mills Limited

3 months

1486.95

32.44

32.44

24.25

24.25

1350.00

1346.58

$0.18$

$0.18$

(Unaudited) (Unaudited)

Sd/ Vimal Kumar Managing Director

DIN: 01260082

(₹ In Lakhs)

12 months

(Audited)

12731.74

85.31

85.31

48.11

70.62

1350.00

1,417.20

0.36

0.36

For Rollatainers Limited Sd/-Pyush Gupta Date: 13.08.2021 (Director) Place: New Delhi DIN: 03392865

and maintenance of valves and other maintenance work related to water supply work in Adra & BKSC Settlement for 18 months. (3) E-DRM-Engg-ADRA-41-21 Development of SERSA ground at North Settlement, Adra. (4) E-DRM-Engg-ADRA-42-21, Renewal of H-Beam stee sleeper for Bridge no. 409 (Up) at km 310/31-311/9 in between SNTD-BJE in ADA-GMO section and bridge no. 403 (Up) at km 306/1-5 in between SNTD-RUI section in Adra Division. (5) E-DRM-Engg-ADRA-43-21, (i) Construction of material yards at ROH depot Bokaro Steel City and Sick line Bokaro Steel City. (ii) Provision of basic facilities for homing of electric locomotive at DLS/BKSC Balance Work). (6) E-DRM-Engg-ADRA-44-21. Provision of side pathway in the steel girder bridges of Br. Nos. 414 Up $1x24.4+5x30.5)$ & 414 Dr 1x24.4+5x30.5) of Adra-Chandil section, Br. No. 344 (2x30.5+10x45.7) of Bankura-Masagram section, Br. nos. 409 Up $(5x12.2+5x30.5)$ , 409 Di $5x12.2+5x30.5$ , 412 Up $(1x12.2+1x30.5+5x45.7)$ & 412 Up (1x12.2+1x30.5+5x45.7) of Adra-Gomoh section and Br. no. 432GC (2x30.5+3x45.7) of Bhojudih-Mohuda via GC section and Br. no. 284 Up (13x18.3) of Midnapore-Adra section under the jurisdiction of ADEN/BR/ADA of Adra Division (Third Call). (7) E-DRM-Engg-ADRA-45-21, Replacement of existing bearings by new bearings of higher axle load of Bridge Nos. 414 Up (1x24.4+5x30.5mG) at km 326/19-23 between Purulia-Tamna on Adra-Chandil section, 412 Dn (1x12.2+1x30.5+5x45.7 mG) at Km 314/16B-9A between Sudamdihi-Bhojudi on Gomo-Adra section, 520 Dn (22x30.5 mG) at km 314/30-6 between Damodar Madhukunda on Asansol-Adra section & 16 (1x24.4 mG) at km 319/17-18 between Damodar-Mohisila on Damodar-Mohisila section of Adra Division. Tender value: ₹9,19,000/- (for SI, No. 1), ₹78,42,103.1) (for SI, No. 2), ₹ 54,55,498.32 (for SI, No. 3), ₹ 1,20,34,863.96 (for SI. No. 4). 1,36,10,949.16 (for SI, No. 5) 5,41,93,645.54 (for SI, No. 6) ₹ 2,17,20,239.06 (for SI. No. 7). The closing date and time of e-tenders is on 14.09.2021 at 15.00 hrs. Details of above e-tenders may please be seen at website www.ireps.gov.in (PR-231) "IMPORTANT" Whilst care is taken prior to acceptance of advertising copy, it is not possible to verify its contents. The Indian Express (P) Limited cannot be held responsible for such contents, nor for any loss or damage incurred as a result of transactions with companies, associations or individuals advertising in its newspapers or Publications. We therefore recommend that readers make necessary inquiries before sending any monies or entering into any agreements with advertisers or otherwise acting on an advertisement in any manner whatsoever.

irish Kumar Agarwal Director DIN:06457199

$Sd/$

SAVARE TRADE ENTERPRISES LIMITED

CIN: L51909DL1990PLC040761

Regd. Off.: 3rd Floor, Gopala Tower, 25, Rajendra Place, New Delhi - 110008 Website : www.savaretrade.com | E-mail : [email protected]

Extract of Standalone Unaudited Financial Results for the Quarter ended 30.06.2021

Ks, in Lakhs
STANDALONE
Particulars 3 monthsended30.06.2021 3 monthsended31.03.2021 Correspondingquarter ended31.03.2020 Year ended31.03.2021
UNAUDITED AUDITED UNAUDITED AUDITED
Total income from operations (net) 0.80 3.35 1.50 8.00
Net Profit / (Loss) from ordinary activities after tax 0.06 2.16 0.32 0.14
Net Profit / (Loss) for the period after tax (after Extraordinaryitems) 0.06 2.16 0.32 0.14
Equity Share Capital 2.49 2.49 2.49 2.49
Reserves (excluding Revaluation Reserve as shown in theBalance Sheet of previous year) $\left\vert \left. \mathbf{m}\right\rangle \right\vert$ U. $\mathcal{P}$
Earnings Per Share (before extraordinary items) (of Rs.10/-each)Basic & Diluted 0.02 0.87 0.13 0.06
Earnings Per Share (after extraordinary items) (of Rs.10/-each)Basic & Diluted 0.02 0.87 0.13 0.06

The above results have been reviewed by the Audit Committee and approved by the Board of Directors at their meeting held on 12.08.2021

Note: The above is an extract of the detailed format of Quarterly Financial Results filed with the Stock Exchanges under Regulation 33 of the SEBI (Listing and Other Disclosure Requirements) Regulations, 2015. The full format of the Quarterly Financial Results are available on the Stock Exchange websites. (www.cseindia.com) and company's website www.savaretrade.com

By order of the Board For Savare Trade Enterprises Limited

$sd/$

Narender Kumar Makkar Director

Din No.: 00026857

Place: Delhi Date: 12/08/2021

meeting held on 13.08.2021 and the Statutary Auditor have carried Limited Review of the same.

Particulars

Net Profit / (Loss) for the period (before Tax, Exceptional and/or

Net Profit / (Loss) for the period before tax (after Exceptional

Net Profit / (Loss) for the period after tax (after Exceptional

Total Comprehensive Income for the period [Comprising Profit

/ (Loss) for the period (after tax) and Other Comprehensive

7 Reserves (excluding Revaluation Reserve) on yearly basis

  1. The above is an extract of the detailed format of Quarterly Unaudited Financial Results for the quarter ended 30/06/2021 filed

with the Stock Exchanges under Regulation 33 of the SEBI (Listing and Other Disclosure Requirements) Regulations, 2015. The

full format of the Quarterly Unaudited Financial Results are available on Stock Exchange websites (www.agarwalduplex.net).

The above results were reviewed and recommended by the audit committee and taken on record by the Board of Director at its

Sd/-

Neeraj Goel

DIN: 00017498

Managing Director

जनसत्ता, 14 अगस्त, 2021 27

"प्रपत्र सं. आइएनसी—26" कंपनी (निगमन) नियम, 2014 के नियम 30 के अनुसरम में कंपनी का रजिस्टीकत कार्यालय एक राज्य से केंद्र शासित प्रदेश में अंतरित करने के लिए समाचार पत्र में प्रकाशित किया जाने वाला विज्ञापन केन्द्रीय सरकार / प्रादेशिक निदेशक के समक्ष उत्तरी क्षेत्र, नई दिल्ली कंपनी अधिनियम, 2013 की घारा 13 की उपघारा (4) और कंपनी (निगमन) नियम, 2014 के नियम 30 वं उपनियम (6) के खंड (अ) के मामले में

ारीच बीएसएन कॅपिटल सर्विसेज प्रा. लि

(CIN: U67120CH1994PTC014659) जिसका रजिस्ट्रीकृत कार्यालय : प्लॉट नं. 45, फस्ट पलोर, इंडस्ट्रियल एरिया, फेस 1, चंडीगढ़-180001 में रिकात है

..याचिकाकत सूचना

आम जनता को यह नोटिस दी जाती है कि यह कंपनी केन्द्रीय सरकार के समक्ष कंपनी अधिनियम, 2013 की पारा 13 के अधीन आवेदन फाइल का प्रस्ताव करती है जिसमें कंपनी का रजिस्ट्रीकृत कार्यालय "केंद्र शासित प्रदेश चंडीगढ' से "राष्ट्रीय राजधानी क्षेत्र दिल्ली" में स्थानांतरित करने के लिए तारीख शुक्रवार 13 अगस्त, 2021 को आयोजित असाबारण खानान्य बैठक में पारित विशेष संकल्प के संदर्भ ने कंपनी के संघम जापन मे संशोधन की पुष्टि की मांग की गई हैं।

कंपनी के रजिस्ट्रीकृत कार्यालय के प्रस्तावित स्थानांतरण से यदि किसी व्यक्ति का हित प्रमावित होता है तो वह व्यक्ति या तो निवेशक शिकायत प्ररुप फाइल कर एमसीए-21 पोर्टल (www.mca.gov.in) में शिकायत दर्ज कर सकता है या एक शपथ पत्र जिसमें उनके हित का प्रकार और उसके विरोध का कारण उल्लिखित हो के साथ अपनी आपत्ति प्रादेशिक निदेशक को इस सुचना के प्रकाशन की तारीख से 14 दिनों के भीतर बी-2 विंग, द्वितीय तल, पर्यावरण भवन, सीजीओ कॉम्प्लेक्स, नई दिल्ली-110003 पते पर पंजीकृत डाक दवारा भेज सकता है या सुपूर्द कर सकते हैं और इसकी प्रति आवेदक कंपनी को उनके उपरोक्त रचिरद्रीकृत कार्यालय के पते पर भी भेजेगा।

CONTRACTOR AND RELEASED FOR A STATISTIC CONTRACTOR बोर्ड की ओर से
बीएसएन कॅपिटल सर्विसेज प्रा. लि
$6551.7 -$
रुचिन माहेश्वरी
रथान : बढीगढ निर्देशक
除向: 14.08.2021 डीजाईएन : 02903502

प्रपत्र सं. आईएनसी-26 रुकम्पनी (निगमन) नियमावली, 2014 के नियम 30 के अनुसरण में, रुम्पनी का पंजीकृत कार्यालय एक राज्य से दसरे राज्य में स्थानांतरित करने के लिए समाचारपत्र में प्रकाशन हेत विज्ञापन केंद्र सरकार (क्षेत्रीय निदेशक). उत्तरी क्षेत्र, नई दिल्ली कंपनी अधिनियम, 2013 की धारा 13 की ठप-धारा (4) और कंपनी निगमन नियम, 2014 के नियम 30 के उप-नियम (5) के खंड (ए) के मामले में इस मामले में अपूर्वी प्रोजेक्टस एंड कॉन्टैक्टस प्राइवेंट लिमिटेड विसका .पंजीकृत कार्यालय 301, तीसरी मंजिल पर है, आरजी ट्रेड टॉवर नेताजी सुभाष प्लेस, पीतमपुरा दिल्ली-110034 याचिकाकत लदहारा सर्वे साम्राटण को सुबना दी जाती है कि कंपन प्रतिनियम जानव की धारा नव तो लाख कीए मराकार को आदेश

वरने का प्रस्ताव करती है, जिसमें कंपनी के मेमोरेंडम ऑर एसेसिएशन के परिवर्तन की पुष्टि के लिए विजेष प्रस्ताव पालित किया गया है। कंपनी को अपने पंजीकृत कार्यालय को ''राष्ट्रीय राजधानी क्षेत्र दिल्ली'' से ''हिमाचल प्रदेश राज्य'' ' स्थानांतरित करने में सहाम बनाने के लिए 09 अगस्ता, 2021 को असफारण आम सभा आयोजित की नई। सोई भी व्यक्ति जिलका हित सम्पनी से पंजीसत सहसंलय व सिवेश परिवर्तन से प्रभावित होने की समावना है, अपने हिंत स्वरूप तथा विरोध के अधार के उल्लेखकारी शफवपत्र हा समर्थित अपनी आपत्तियां निवेशक शिकायत प्रपत्र भरक प्परीए–21 पोर्टल (www.mca.gov.in) पर सुपूर्द कर सकता है सब्बा क्षेत्रीय निदेशक को बी–2 विंग, द्वितीय तल पर्यायरण मवन, सीजीओ कॉन्जेक्स, नई दिल्ली–110003 छे पते पर इस सूचना के प्रकाशन के चीदह (14) दिन के मील सुपुर्द करवा सकता है अपदा पंजीकृत डाक से मेज सकता जिसकी एक प्रति आवेदक कम्पनी को नीचे लिखे पते पर रिश्ट पंजीकृत कार्यालय भेजी जानी चाहिए । आवेदक के लिए और ससकी ओर तिथि : 14.08.2021 मदन लाल रचान : दिल्ली निदेशक

डीएमआई हाउसिंग फाइनेन्स प्राइवेट लिमिटेड एक्सप्रेस विल्डिंग, तृतीय तल, 9-10, बहाद्र शाह जफर मार्ग, नई दिल्ली-110002, देलीफोन: +91 11-41204444, फेक्स: +91 11-41204000, ई-मेल: [email protected], www.dmihousingfinance.in

ई–नीलामी विक्रय सूचना (सरफेसी अधिनियम के अंतर्गत) अचल सम्पत्तियों की विक्रय हेतु विक्रय सूचना

प्रतिभूति हित (प्रवर्तन) नियम, 2002 के नियम 8(6) के परन्तुक के साथ पठित विल्तीय आस्तियों का प्रतिभूतिकरण और पुनर्गठन तथा प्रतिभूति हित का प्रवर्तन अधिनियम 2002 के अधीन अचल प्रतिभूत आस्तियों के विक्रय हेतु ई-नीलामी विक्रय सूचना!

जन साधारण को साधारणतया तथा ऋणीयों और जमानतदारों को विशेष रूप से यह सूचित किया जाता है कि प्राधिकृत अधिकारी डीएमआई हाउसिंग फाइनेंस प्राईबेट लिमिटेड (सुरक्षित ऋणदाता) के द्वारा नीचे वर्णित सम्पलियों को विल्तीय आस्तियों का प्रतिभूतिकरण और पुनर्गठन तथा प्रतिभूति हित का प्रवर्तन अधिनियम 2002 की धारा 13(4) के प्रावधानों के अन्तर्गत 17 सितम्बर 2019 को भौतिक कब्जा लिया था। जबकि प्रतिभूति लेनदार के जरिये प्राधिकृत अधिकारी ने विलीय आस्तियों का प्रतिभूतिकरण एवं पुनंगठन एवं प्रतिभूति हित प्रवर्तन (सरफेसी) अधिनियम 2002 की धारा 13(4) के अन्तर्गत प्रदत्त शक्तियों के अनुप्रयोग में नीचे वर्णित बकाया और आगे के व्याज, प्रभार एवं लागतों की वसूली हेतू निम्न वर्णित सम्पलियों को ई-नीलामी में रखा जाएगा। सम्पलियों को "जहां है जैसी है" तथा

''जो है जैसी है'' तथा ''बहां जो कुछ भी उपलब्ध है'' के आधार पर किसी वारंटी और क्षतिपूर्ति के बिना बेचा जाएगा। नीचे वर्णित सम्पत्तियों को ऑनलाईन ई-नीलामी जरिये वेबसाईट https://www.bankeauctions.com के द्वारा बेचा जाएगा।

निरीक्षण की दिनांक व समय: 06.09.2021 को प्रात: 11.00 बजे से सांच 4.00 बजे तक।

.ई-नीलामी की दिनांक व समय: 17.09.2021 को प्रात: 11.00 बजे से दोपहर 1.00 बजे तक।

निबिता/र्दछपडी जया कराने की अंतिम दिनांक: 15.09.2021 सांघ 4.00 खजे तक।

ऋणी का नाम प्रतिभूति आस्ति $(\overline{mwd})$
बकाया राशि का विवरण आरक्षित मूल्य इंएमडी 10%
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नियम एवं शतेः

MD

प्राधिकृत अधिकारी के सर्वोत्तम जानकारी एवं ज्ञान के अनुसार सम्पत्तियों पर कोई अन्य ऋणभार नही हैं तथापि इच्छक बोलीदाताओं को अन्य ऋणभारों नीलामी में रखी गई सम्पत्तियों के स्वामित्व तथा सम्पत्ति को प्रभावित करने वाले दावों/अधिकारों/बकाया राशियों के सम्बन्ध में अपनी ओर से स्वयं स्वतंत्र जाँच, अपनी बोली प्रस्तृत करने से पहले कर लेनी चाहिए। ई-नीलामी विज्ञापन, बैंक की कोई वचनबद्दता निर्मित नहीं करता है और ना ही कोई वचनबद्धता का प्रविनिधित्व करता है, सम्पत्तियों की विक्री सभी ज्ञात व अज्ञात तथा विद्यमान एवं भावी ऋणभारों सहित की जा रही हैं। प्राधिकृत अधिकारी/प्रत्याभूति लेनदार, किसी भी अन्य तृतीय पक्ष राखों /अधिकारों /देव राशियों इंत्यादि के लिए जिम्मेदार नहीं होगा।

बोली लगाने से पूर्व संपलि और विनिर्देश के बारे में निरीक्षण करना तथा उसे संतुष्ट करना बोलीदाताओं की जिम्मेदारी होगी। इच्छुक बोलीदाताओं को नीलामी में रखी गई संपत्तियों का निरीक्षण प्रत्येक संपत्ति के विवरण के विरूद्ध वर्णित साईटों पर करने की अनुमति होगी।

इच्छुक बोलीदाताओं को अपनी अग्रिम धनराशि (ईएमडी) का विवरण और दस्तावेजों को वेबपोर्टल https://www.bankeauctions.com पर लॉगिन आईडी और पासवर्ड (https://www.bankeauctions.com के साथ पंजीकृत करके युजरआईडी और पासवर्ड निःशल्क प्राप्त कर सकते है) के द्वारा जमा कराए। इच्छुक बोलीदाताओं जिन्हें लॉगिन आईडी और पासवर्ड, डेटा अपलोड करने, निविदा दस्तावेज जमा कराने, आर्नेलाईन बोली लगाने में प्रशिक्षण व प्रदर्शन ईत्यादि हेतु मेसर्स सो। इंडिया प्राईवेट लिमिटेड, उद्योग विहार, फेज 2, गुल्फ पेट्रोकेम बिल्डिंग, बिल्डिंग नं. 301, गुडुगांव, हरियाणा, पिन: 122015, ई-मेल आईडी: [email protected], हेल्यलाईन नं.: 0124-4302020, 21,22,23, सम्पर्क नम्बर: 7291981124, 25,26, सम्पर्क सूत्र: श्री विनोद चोहान मो. नं. +919813887931 से सम्पर्क कर सकते है और सम्पत्ति से संबंधित पूछताछ के लिए प्राधिकृत अधिकारी: श्री राहुल

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ईएमडी एनईएफटी/आस्टीजीएस के द्वारा दिनांक 15.09.2021 को साथ 4.00 बजे तक निम्न खाते - कोटक महिन्द्रा बैंक, गुड़गांव ऑस्ड जुडिसियल काम्पलेक्स शाखा, गुरुग्राम, खाता संख्या 8811684709, खाता का नाम: डीएमआई हाउसिंग फाइनेंस प्राईवेट लिमिटेड, आईएफएससी कोड: KKBK0000193 में देव होगी अथवा डीएमआई हाउसिंग फाइनेंस प्राइंवेट लिमिटेड, प्राधिकृत अधिकारी का पता: एक्सप्रेस बिल्डिंग, तृतीय तल, 9-10, बहादर शाह जफर मार्ग, नई दिल्ली- 110002 के पक्ष में डिमांड डाफ्ट/ पे ऑर्डर के द्वारा देय होगी।

सम्पत्तियों की बिक्री आरक्षित मूल्य से कम पर नहीं की जाएगी। प्राधिकृत अधिकारी उच्चतम बोली को स्वीकार करने हेतु बाध्य नहीं है और प्राधिकृत अधिकारी के पास कोई भी कारण बताए बिना किसी भी अथवा सभी प्रस्तावों को स्थगित/ नीलामी स्वीकार या अस्वीकार करने का पूर्ण अधिकार है।

सफल बोलीदाता द्वारा जमा अग्रिम धनराशि को विक्रय प्रतिफल के हिस्से के रूप में रोक लिया जायेगा तथा असफल बोलीदाताओं की अग्रिम धनराशि को नीलामी के दिनांक से 7 कार्यदिवसों के भीतर लौटा दिया जायेगा। अग्रिम धनराशि पर कोई ख्याज देय नहीं होगा। सफल बोलीदाता को विक्रय राशि का 25% जिसमें चुकाई गई अप्रिम धनराशि भी सम्मिलित है को समायोजित करने के पश्चात उसी दिन अथवा अगले कार्यदिवस के भीतर तथा शेष विक्रय मूल्य का 75% 15 वें दिवस को या उस से पूर्व या प्राधिकृत अधिकारी हारा उसके विवेकाधीन सहमति से लिखित में कि गई समयावृद्धि के भीतर जमा कराना होगा।

नियम व शतों की अधिक जानकारी के लिए वेबसाईट https://www.dmihousingfinance.in और ई-नीलामी में भाग लेने व निविदा जमा कराने से पूर्व https://www.bankeauctions.com देखें।

ऋणियों/जमानतरारों को यह सूचना प्रतिभूत हित (प्रवर्तन) अधिनियम, 2002 के नियम 8(6) के रूप में लेनी चाहिए और इसके तहत दायित्वों का निवर्हन करने का अंतिम अवसर दिया जाता है जैसा कि उपरोक्त दिनांक से 30 दिनों के भीतर बताया गया है। यह सूचना विफल होने पर संपल्ति अधोलिखित नियमों व - शर्तों के आधार पर बेची जाएगी। हस्ताक्षर/- (प्राधिकृत अधिकारी) डीएमआई हाउसिंग फाइनेंस प्राईवेट लिमिटेड रुखान: नई दिल्ली दिनांक: 14.08.2021

INTERNATIONAL SECURITIES LIMITED CIN- L74899DL1993PLC053034 Regd. Office: STATESMAN HOUSE, 148, BARAKHAMBA ROAD, NEW DELHI -110001

Tel No-011-42284301 E-Mail : [email protected], Website : www.internationalsecuritiesltd.com Statement of Standalone Unaudited Financial Results for the Quarter ended As on June 30, 2021 /Rs In Lakhs)

Quarter Ended Year Ended
PARTICULARS 38.06.2021(Unaudited) 31.03.2021(Audited) 30.06.2020(Unaudited) 31.03.2021(Audited)
Total income from operations (net) $-35.88$ $-6.05$ $-8.45$ 240.80
Net Profit for the period(before tax, exceptional and/or extraordinary items) $-63.30$ $-80.27$ $-38.92$ 73.08
Net Profit for the period before tax.(after exceptional and/or extraordinary items) $-63.30$ $-80.27$ $-38.92$ 73.08
Net Profit for the period after tax(after exceptional and/or extraordinary items) $-63.30$ $-127.17$ $-38.92$ 26.18
Total Comprehensive Income for the period(Comprising profit/(loss) for the period (after tax)and other comprehensive income (after tax)] $-63.30$ $-127.17$ $-38.92$ 26.18
Б Paid up Equity Share Capital(Face value of Rs. 10/- each) 300.00 300.00 300.00 300.00
Reserve (excluding Revaluation Reserves) asshown in the Audited Balnace Sheet of PreviousYear 304.55 367.85 302.74 367.85
8 Earnings Per Share (Face value of Rs. 10/- each)(Not Annualised)Basic: $-211$ $-4.24$ $-1.29$ 0.87
Diuted: $-2.11$ $-4.24$ $-1.29$ 0.87

a) The above is an extract of the detailed format of standalone results for Quarter ended on June 30, 2021 filed with the stock exchanges under regulation 33 of the SEBI (Listing Obligations and Disclosure Requirements) Requiations, 2015. The full format of the Standalone Quarterly financial results are available on Company's Websites www.internationalsecuritiesttd.com and on the website of the Metropolitan Stock Exchange of India Limited i.e. www.msei.in.,

b) The above results have been reviewed by the Audit Committee and thereafter approved by the Board of Directors at their meeting held on August 13, 2021 and had undergone a 'Limited Review' by the Statutory Auditor of the Company. The standalone financial results have been prepared in accordance with Indian Accounting Standards (IND-AS) as prescribed under section 133 of the Companies Act, 2013 read with Rule 3 of the Companies (Indian Accounting Standards) Rules, 2015 and relevan amendment rules thereafter. On behalf of the Board of Directors

Rajeev Kumar Gupta Whole Time Director DIN No.: 0003939

Place : New Delhi

Date: August 13, 2021

कब्जा सूचना (धारा 13(4)

तबकि अधोडस्ताक्षरी ने वित्तीय परिसंपत्तियो के प्रतिमूतिकरण एवं पुनर्निर्माण तथा प्रतिमूति डित अधिनियम के प्रवर्तन के अधीन केनरा बैंक, का प्राधिकृत अधिकारी डोने तथा प्रतिमृति हित (प्रवर्तन) नियमावली 2002 (2002 का 54) (इसके बाद "अधिनियम" के रूप में संदर्भित) के नियम 3 के साथ पठित धारा 13(12) के अधीन प्रदत शक्तियों के अंतर्गत कर्जदार मैसर्स वी जे ट्रेडिंग कंपनी (उधारकता), श्री मान सिंह (प्रोपराईटर) पुत्र रामअचल सिंह को एक मांग सूचना दिनांक 08.06. 2021 को जारी किया था जिसमें सूचना मे उल्लेखित राशि क 23,54,676/- (रु. तेईस लाख चौवन हजार छः सौ छिहत्तर मात्र) उक्त सूचना की प्राप्ति की तिथि से 60 दिनों के अंदर भुगतान करने को कहा गया था।

कर्जदारों उक्त राशि का भुगतान करने मे असफल हो गये हैं, इसलिए एतदद्वारा कर्जदारों तथा आम जनता को सुचित किया जाता है कि अधोहस्ताक्षरी ने इसमे नीचे वर्णित संपत्ति का कब्जा, उक्त अधिनियम की धारा 13(4), उक्त नियमो के नियम 8 और 9 के साथ पठित के अधीन उन्हे प्रदत्त शक्तियों के इस्तेमाल के अन्तर्गत 12 अगस्त 2021 को लिया है।

विशेष रूप से कर्जदारों तथा जनसाधारण को एतदद्वारा उक्त संपत्ति के साथ लेन—देन न करने के लिए साक्धान किया जाता है तथा संपत्ति के साथ कोई भी लेन देन केनरा बैंक, द्वारा उल्लेखित राशि रू 23,54,676/- (रु. तेईस लाख चौवन हजार छः सौ छिहत्तर मात्र) दिनांक 31.05.2021 तक और दिनांक 01.06.2021 से भविष्य का ब्याज, लागत, खर्चे इत्यादि सहित के अधीन होगा।

कर्जदारों का ध्यान एक्ट की धारा 13 की उप धारा (8), के प्राक्धानों के अंतर्गत सुरक्षित परिसंपत्तियों के मुक्त करने हेतु उपलब्ध समय सीमा की ओर आकर्षित किया जाता है।

अचल संपत्तियों का विवरण

  1. साम्यिक बंधक व्यवसायिक दकान प्रथम तल. बिना छत के अधिकार के. निर्मित सम्पत्ति नं. 1394 (पुराना) और 2808 (नया) वार्ड नं. VI, चट्टा सुफीजी, पीपल महादेव, चावड़ी बाजार, हौज काजी, दिल्ली—110006 में स्थित, यह सम्पत्ति श्री मान सिंह (प्रोपराईटर) मैसर्स वी जे ट्रेडिंग कं. के नाम पर है। चौहद्दी: उत्तर में — नीचे रास्ता, दक्षिण में — सामान्य गालियारा, पूरब में — गली, पश्चिम में – अन्य की सम्पत्ति 2. साम्यिक बंधक व्यवसायिक दुकान द्वितीय तल, बिना छत के अधिकार के, निर्मित सम्पत्ति नं. 1394 (पुराना) और 2808 (नया) वार्ड नं. VI, चट्टा सुफीजी, पीपल महादेव, चावड़ी बाजार, हौज काजी, दिल्ली--110006 में स्थित, यह सम्पत्ति श्री मान सिंह (प्रोपराईटर) मैसर्स बी जे टेडिंग कं. के नाम पर है। चौहदी: उत्तर में – अन्य की सम्पत्ति, दक्षिण में – सीढ़ियां और नीचे गली, पूरब में - नीचे गली, पश्चिम में — गुरूद्धारा

Selan Exploration Technology Limited

Regd. Office: J-47/1, Shvam Vihar, Dindarpur, Najafgarh, New Delhi-110043 CIN: L74899DL1985PLC021445; Website: www.selanoil.com E-mail: [email protected]; Tele Fax No.: 0124-4200326

NOTICE FOR ANNUAL GENERAL MEETING

Notice is hereby given that the Thirty Sixth Annual General Meeting (AGM) of the Company will be held on Tuesday, 07 September 2021 at 09:30 A.M. through Video Conferencing (VC) / Other Audio Visual Means (OAVM) facility in compliance with the applicable provisions of the Companies Act, 2013 framed thereunder and the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015 read with General Circular Nos. 14/2020, 17/2020, 20/2020 and 02/2021 dated 8 April 2020, 13 April 2020, 5 May 2020 and 13 January 2021 respectively issued by the Ministry of Corporate Affairs and Circular No SEBI/HO/CFD/CMD1/CIR/P/2020/79 and SEBI/HO/CFD/CMD2/CIR/P/2021/11 dated 12 May 2020 and 15 January 2021 issued by the Securities and Exchange Board of India (SEBI Circular), without the physical presence of Members at a common venue to transact the business stated in the Notice of the Thirty Sixth AGM.

Dispatch of the Notice of the AGM for the Financial Year 2020-2021 has been completed on 13 August 2021 to members by electronic mode whose e-mail ids are registered with the Company or Depository Participant(s). Members can join and participate in the 36th AGM through VC/OAVM facility only. The instructions for joining the 36th AGM and the manner of participation in the remote electronic voting or casting vote through the e-voting system during the 36th AGM are provided in the Notice of the 36th AGM. The Annual Report for Financial Year 2020-21 is available and can be downloaded from the Company's website https://www.selnaoil.com and the website of National Securities Depository Limited (NSDL) http://www.evoting.nsdl.com.

Book Closure: Pursuant to Section 91 of the Companies Act, 2013, the Register of Members and Share Transfer Books of the Company will remain closed from Tuesday, 31 August 2021 to Tuesday, 07 September 2021 (both days inclusive) for the purpose of AGM.

e-Voting: Pursuant to the provisions of Section 108 of the Companies Act, 2013 read with Rule 20 of the Companies (Management and Administration) Rules. 2014, as amended by the Companies (Management and Administration) Amendment Rules, 2015, Secretarial Standard -2 and Regulation 44 of the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015, the Company is offering remote e-Voting facility to its Members in respect of businesses to be transacted at the 36th AGM.

Details of e-Voting schedule are as under:

  1. The cut-off date: Tuesday, 31 August 2021

  2. Date & time of commencement of e-Voting: Saturday, 04 September 2021 at $9:00 A.M (IST).$

  3. Date & time of end of e-Voting: Monday, 06 September 2021 at 5:00 P.M (IST).

  4. e-Voting shall not be allowed beyond the date & time mentioned above.

Please note that a person whose name is recorded in the register of members or in the register of beneficial owners maintained by the Depositories as on the cut-off date only shall be entitled to avail the facility of remote e-Voting as well as voting at the AGM.

Any person, who acquires shares of the Company and becomes a member of the Company after dispatch of the Notice of AGM and is holding shares as on the cut-off date i.e. 31 August 2021, may obtain the login ID and password by sending a request at [email protected] or [email protected] However, if a person is already registered with NSDL for e-Voting then existing user ID and password can be used for casting vote.

The Members who have cast their votes by remote e-Voting prior to the AGM may also attend/participate in the AGM through VC/OAVM but shall not be entitled to cast their vote again.

The Notice of the AGM is available on NSDL website: https://www.evoting.nsdl.com. The Annual Report alongwith Notice is also available on the Company's website, i.e. www.selanoil.com. Attention is also invited to Notes to the 36th AGM Notice, giving instructions on how the business of the Meeting is to be transacted through electronic voting system.

In case of any queries, you may refer to the "Frequently Asked Questions (FAQs)" and "e-Voting user manual" for shareholders available at the Download

ROLLATAINERS LIMITED (CIN: L21014HR1968PLC004844) Regd. Office: Plot No. 73-74, Phase- III, Industrial Area, Dharuhera, District-Rewar

Rewari-123106 Phone: 01274-243326, 242220 E-mail: [email protected] Website: www.rollatainers.in

POSTPONEMENT OF BOARD MEETING Pursuant to Regulation 29 read with Regulation 47 of the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015, notice is hereby given that due to unavoidable circumstances the meeting of Board of Directors of the Company which was rescheduled to be held on Friday, 13th August, 2021, is now postponed and further re-scheduled to be held on Friday, August 20, 2021 inter alia, to consider, approve and take on record the Standalone and Consolidated Audited Financial Results for the Quarter and Year ended on March 31, 2021

The said Notice may be accessed on the Company's website at www.rollatainers.in & the website of BSE www.bseindia.com and NSE i.e. www.nseindia.com

Date: 13.08.2021 Place: New Delhi

सार्वजनिक सूचना कल्पतरु फिनकैप लिमिटेड iजीकृत कार्यालय:— बी—219, अंसल चौम्बसे – १,३ भीकाजीकामा प्लेस नई दिल्ली–११००६६ मौजूदा कॉर्पोरेट कार्यालय ०८ स्कारलेट गेंटवे के सामने रिवेरा एटिला कॉपोरेट रोड सैटेलाइट अहमदाबाद, गुजरात–३८००१५ विषय:- अहमदाबाद में कॉर्पोरेट कार्यालय का स्थान बदलना और मुंबई में नया शाखा कार्यालय खोलना। उपरोक्त विषय के संदर्भ में सूचना दी जा रही है कि कल्पतरु फिनकैप लिमिटेंड ने अहमदाबाद में कॉर्पोरेट कार्यालय स्थान बदल रहा है और मुंबई में नया शाखा कार्यालय खोल रहे है। पुराना पता:- ७०८, स्कारलेट गेटवे के सामने रिवेराएंटिला. कॉरपोरेटरोड. सैटेलाइट.अहमदाबाद | गुजरात - ३८,००१५ नया पता:-- ७०१, अवधेश हाउस, |गुरुद्वारा के सामने , एस.जी.हाईवेथलतेज,|

PARSVNATH DEVELOPERS LIMITED Regd. & Corporate Office: Parsvnath Tower, Near Shahdara Metro Station, Shahdara, Delhi - 110 032 CIN: L45201DL1990PLC040945; Tel.: 011-43050100, 43010500; Fax: 011-43050473

E-mail: [email protected]; website: www.parsvnath.com

Extract of Standalone and Consolidated Unaudited Financial Results for the Quarter ended 30 June, 2021 (? in Lakhs) Quarter ended Particulars مستور42,962.27 $2,002.75$ $-2,299.20$ $-33,800.5$ $3,728.7$ Extraordinary items $(23, 672,$ $(5.159)$ Profit / (Loss) for I $3.587.2$ $(5,159.6)$ $(24, 202, 7)$ $(9,850.2)$ $(42,786,20)$ $(8.932.3)$ $3,532.6$ $(5, 125.9)$ $(24, 152.8)$ $(42, 736.4)$ for the period (after tax) and other Comprehensive Income (after tax) 21,759.06 $(3,680.09)$ $1,01,414.7$ alance sheet of the previous year mings Per Share (of Rs. 5/- each) for continuing and operations Basic fir $(9.82)$ $(2.26)$ $(9.82)$

Notes:-

  1. The above financial results have been reviewed by the Audit Committee and approved by the Board of Directors at their respective meetings held on 13 August, 2021. The Statutory Auditors have also carried out a Limited Review of the unaudited results for the quarter ended 30 June, 2021.

  2. The above is an extract of the detailed format of the standalone and consolidated Financial Results for the quarter ended 30 June, 2021, filed with the Stock Exchanges under Regulation 33 of the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015. The full format of the standalone and consolidated Financial Results for the quarter ended 30 June, 2021 are available on the Stock Exchange websites (www.nseindia.com and www.bseindia.com) and Company's website (www.parsvnath.com).

  3. The outbreak of Coronavirus (COVID-19) pandemic has caused significant disturbance and slowdown of economic activity. COVID-19 has adversely impacted the business operations of the company, by way of interruption of construction activities, supply chain disruption, unavailability of labour, etc. The Company has assessed the economic impact of Covid-19 on its business by evaluating various scenarios on certain assumptions and current indicators of future economic conditions and on the basis of internal and external sources of information. Based on this, the Company has assessed recoverability and carrying value of its assets comprising inventory, receivables, investments, investment properties, intangible assets, right of use assets, advances, deferred tax assets and other financial and nonfinancial assets and believes that it will recover the carrying value of all its assets. The management will continue to closely monitor any material changes arising out of future economic conditions and impact on its business.

  4. Figures for the previous quarter / period have been regrouped, wherever necessary, for the purpose of comparison.

Pradeep Kumar Jain Place : Delhi Chairman For Rollatainers Limited Date: 13 August, 2021 DIN: 00333486 Sol Pyush Gupta (Director) KDDL LIMITED DIN: 03392865 ethos (CIN: L33302HP1981PLC008123) Regd. Office: Plot No. 3, Sector - III, Parwanoo, Distt. Solan (H.P.) - 173220 Tel.: +91 172 2548223 / 24 Fax: +91 172 2548302 Website: www.kddl.com ; Email id: [email protected] STATEMENT OF UNAUDITED FINANCIAL RESULTS FOR THE QUARTER ENDED 30 JUNE 2021 (Rs. in Lakhs except earnings per share Consolidated Standalone Particulars Corres-Year ended Quarter Corres-Year ended Quarter (Refer notes below) ponding 31 March ended ended ponding 31 March 30 June 30 June Quarter 2021 Quarter 2021 ended 2021 ended 30 June 30 June 2020 2020 Unaudited Unaudited Audited Unaudited Unaudited Audited

दिनांक: 12-08-2021, स्थान : दिल्ली प्राधिकृत अधिकारी, केनरा बैंक

section of https://www.evoting.nsdl.com or contact NSDL at e-mail id: [email protected] or at telephone no. 1800-222-990.

Members holding shares in physical mode are requested to inform about change of address/e-mail ids/ dividend mandate/ ECS requests, if any, to the Company's Registrar and Share Transfer Agent-MCS Share Transfer Agent Ltd. Unit: Selan Exploration Technology Ltd., F-65, First Floor, Okhla Industrial Area Phase-I, New Delhi-110020. Members holding shares in Demat mode should inform their Depository Participants (DP) about such change.

The above information is being issued for the information and benefit of all members of the Company and is in compliance with the MCA Circular/s and the SEBI Circular. By Order of the Board

For SELAN EXPLORATION TECHNOLOGY LTD. Sd/

Place: New Delhi Date: 13 August, 2021

Deepa Bhalla Company Secretary

आरसीआई इंडस्ट्रीज एंड टेक्नोलॉजीज लिमिटेड पंजी, कार्या.: यूनिट नं. 421, चौथा तल, पर्ल ओमेक्स, नेताजी सुभाष प्लेस, पीतमपुरा, दिल्ली-110034 CIN:L74900DL1992PLC047055, दूरभाष: 011-27371334, ई-मेल: [email protected], वेबसाईट: www.rciind.com

30 जन, 2021 को समाप्त तिमाही के स्टैण्डएलॉन एवं समेकित अनंकेक्षित वित्तीय परिणामों का विवरण

क्र. विवरण स्टेडएलॉन समोकत
सं. समाप्त तिमाही समाप्त वर्ष समाप्त वर्ष
30.06.2021ंअलेखापरीक्षित ) 31.03.2021लेखापरीक्षित) 30.06.2020(अलेखापरीक्षित) 31.03.2021( लेखापरीक्षित) 30.06.2021्अलेखापरीक्षित ) 31.03.2021्लेखापरीक्षित ) 30.06.2020(अलेखापरीक्षित 31.03.2021लेखापरीक्षित
प्रचालनों से कुल आय 2457.75 2,021.46 895.10 6,943.89 2457.75 2,021.94 900.24 7,155.66
2 1 अवधि हेतु निबल लाभ/हानि (कर, अपवादित तथा/अथवाअसाधारण मदों से पूर्व) (352.64) (6,610.14) (630.35) (9, 224.97) (353.29) (9, 169.86) (1,668.24) 15,865.70)
3 कर पूर्व अवधि हेतु निबल लाभ/(हानि) (अपवादिततथा/अथवा असाधारण मदों के पश्चात) (352.64) (6,610.14) (630.35) (9, 224.97) (353.29) (9, 169.86) (1,668.24) 15,865.70)
4 कर पश्चात अवधि हेतु निबल लाभ/(हानि) (अपवादिततथा/अथवा असाधारण मदों के पश्चात) (325.86) (6, 499.83) (602.61) (9,054.60) (326.51) (9,059.55) (1,640.51) 15,695.33)
ऽ अवधि हेतु कुल व्यापक आय [अवधि हेतुलाभ/(हानि) (कर पश्चात) तथा अन्य व्यापक आय(कर पश्चात) सहित] (323.06) (6, 494.22) (600.75) (9,043.41) (317.27) (9,037.99) (1,626.28) 15,878.58)
6 प्रदत्त इक्विटी शेयर पूँजी (रु. 10/– प्रत्येक काअंकित मूल्य)आय प्रति शेयर (रु. 1/- प्रत्येक) (सतत तथा असततप्रचालनों हेतु) 1,567.64 1,567.64 1,567.64 1,567.64 1,567.64 1,567.64 1,567.64 1,567.64
(अ) बेसिक (2.08) (41.46) (3.84) (57.76) (2.08) (57.79) (10.46) (100.12)
(ब) डाइल्यूटेड (2.08) (41.46) (3.84) (57.76) (2.08) (57.79) (10.46) (100.12)

तिथि: 13.08.2021

स्थानः नई दिल्ली

For and on behalf of the Board

2021

उपरोक्त विवरण सेबी (सूचीयन तथा अन्य उद्घाटन अपेक्षा) विनियमन, 2015 के विनियमन 33 के अंतर्गत स्टॉक एक्सचेंजों के पास दाखिल की गई 30 जून, 2021 को समाप्त तिमाही के अनंकेक्षित स्टैण्डएलॉन एवं समेकित वित्तीय परिणामों का संपूर्ण विवरण प्रारूप का सार है। 30 जून, 2021 को समाप्त तिमाही के अनंकेक्षित वित्तीय परिणामों का संपूर्ण प्रारूप स्टॉक एक्सचेंज की वेबसाईट अर्थात www.bseindia.com तथा कम्पनी की वेबसाईट www.rciind.com पर उपलब्ध है।

उपर्युक्त परिणामों की समीक्षा लेखापरीक्षा समिति द्वारा की गयी और 13 अगस्त, 2021 को आयोजित उनकी बैठक में निदेशक मण्डल द्वारा अनुमोदित की गयी।

  1. 31 मार्च, 2021 को समाप्त वर्ष के दौरान कम्पनी के ऋणदाताओं ने बकाया ब्याज के गैर भुगतान और कर्ज ली गयी राशि के कारण खाते को नॉन-परफॉर्मिंग (एनपीए) घोषित कर दिया।

  2. चालू अवधि के आँकड़े के साथ तुलनीय बनाने के लिये जहां भी जरूरी हुआ, गत अवधि के आंकड़े पुनर्समुहीकृत/पुनर्व्यवस्थित/पुनर्कथित किये गये हैं।

आरसीआई इण्डस्ट्रीज एण्ड टेक्नोलॉजीज लिमिटेड के लिए

हस्ता./

राजीव गुप्त

प्रबंध निदेशव

DIN-00503196

DCM SHRIRAM INDUSTRIES LIMITED CIN: L74899DL1989PLC035140 Regd. Office: 5th Floor, Kanchenjunga Building, 18 Barakhamba Road, New Delhi - 110 001 TEL.: 011-43745000, FAX: (011) 23315424 E-mail: [email protected], Website: www.dcmsr.com STATEMENT OF UNAUDITED FINANCIAL RESULTS FOR THE QUARTER ENDED 30TH JUNE, 2021

अहमदाबाद, गुजरात –३८००५४ Total income from operations 4757 2177 14941 14474 5861 58724 Standalone Consolidated
नई शाखा कार्यालय का पता:- 2 Net Prafiti(Loss) for the period 390 (590) 515 423 (2028) 1062 S Quarter ended Year ended Quarter ended Year ended
9999ए, बीविंग, कनकिया वॉल स्ट्रीट, अंधेरीकुर्ला from ordinary activities (before No. PARTICULARS 30.06.2021 31.03.2021 30.06.2020 31.03.2021 30.06.2021 31.03.2021 30.06.2020 31.03.2021
रोड(चकला ), अंधेरी ( ईस्ट ) मुंबई–४०००९३ tax, exceptional items and/orextraordinary items) (Unaudited) (Audited) (Unaudited) (Audited) (Unaudited) (Audited) (Unaudited) (Audited)
सिभी हितधारकों और जमाकर्ताओं से अनुरोध है कि 3 Net Profit/(Loss) for the period 390 (590) 515 423 (2028) 1062 Total income from operations 46615 52252 40410 19594 46629 52270 40431 196019
वे उपरोक्त जानकारी पर ध्यान दें।कल्पतरु फिनकैप लिमिटेड from ordinary activities before tax Net Profit / (Loss) for the period (before Tax, 1936 3207 786 9998 1965 2996 80 9861
नवीन गुप्ता! (after exceptional items and/orextraordinary items) Exceptional and / or Extraordinary items)
निर्देशक Net Profit/(Loss) for the period 275 (482) 339 (1559) 697 Net Profit / (Loss) for the period before Tax(after Exceptional and / or Extraordinary items) 1936 3207 786 9998 1965 2996 807 9861
from ordinary activities after tax 282 Net Profit / (Loss) for the period after Tax 1298 2119 494 6588 1320 1951 509 6475
(after exceptional items and/or (after Exceptional and / or Extraordinary items)
extraordinary items) Total Comprehensive Income {Comprising net 1342 2533 433 671 1368 2363 449 6603
Criminal Courts, Ludhiana Total Comprehensive Income(Loss) for the period (comprising 275 (486) 357 322 (1551) 678 profit / (loss) & Other Comprehensive Income/(Loss) after tax}
In The Court Of Ms. Divya SharmaJMIC Ludhiana profit for the period (after tax) Equity Share Capital 1740 1740 1740 1740 1740 1740 1740 1740
next date, purpose of case, onters and judgments and other comprehensive Other Equity 58247 59948
as well as other case information is available onhttp://districts.consults.gov.col.uffair.ia income(after tax))Paid-up equity share capital Earnings Per Share (of Rs. 10/- each)
CNR NO. PBLD03-001815-2019 (Face value in Rs 10 per share) 1274 1165 1165 1274 1165 1165 - Basic/Diluted (Rs.) (Not annualised) 7.46 12.18 2.84 37.87 7.59 11.2' 2.93 37.22
Noxt Date: 08-10-2021 Reserves (excluding revaluation 16133 17482 Notes:
Kotak Mahindra BankVs reservesi In accordance with the accounting policy consistently followed by the Company, off-season expenditure aggregating Rs. 639 Lakhs (corresponding previous quarter Rs. 702)
Javed AlamNotice To: Jeved Alam S/a Not Known Rio Earnings per share (of Rs 10/ Lakhs) has been deferred for inclusion in the cost of sugar to be produced in the remainder of the year.2. These financial results of the Company have been prepared in accordance with recognition and measurement principles laid down in the Indian Accounting Standards (Ind AS)
House No. 185- A-14-3, Street No. 10 each) (not annualized): 2.23 (4.05) 2.85 2.10 (10.73) 4.76 as prescribed under section 133 of the Companies Act, 2013 read with relevant rules issued thereunder and the other accounting principles generally accepted in India.
Chauhan Bangar, Mew Silampor, Near (a) Basic (Rs)(b) Diuted (Rs) 2.23 (4.05) 2.85 2.10 (10.73) 4.76 3. The figures for the quarter ended 31 March 2021 are the balancing figures between the audited figures in respect of the full previous financial year and the published unaudited
Khadde Wall Masod, New Delhi-110053whereas it has proved to the satisfaction of tres year to date figures up to the third quarter of the relevant financial year.
court that you, the above named accused/ Notes:1. The above Unaudited financial results were reviewed by the Audit Committee and approved by the Board Proceedings in a petition challenging the preferential issue of equity warrants by the Company, filed by a shareholder before the Hon'ble Company Law Board (nowNational Company Law Tribunal), are continuing since November 2007.
someed persons can't be served in the ordinaryway of service Hence this predamation under $2. of Directors at its meeting held on 13 August 2021. The unaudited financial results for the current quarter . In preparation of the financial results for the quarter, the Company has taken into account the possible impact of Covid-19 and the related internal and external factors known to
of code of criminal procedure is hereby issued have been subjected to limited review by the Statutory Auditors of the Company. The unmodified reviewreport of the Statutory Auditors is being fled with the BSE and National Stock Exchange the management up to the date of approval of these results. Based on its review and current indicators of future economic conditions, there is no impact on these financial
against you with a direction that you shouldappear personally before this court on The above is the extract of the detailed farmat of the Unaudited quarterly financial Results filled with the results6. The above results have been reviewed by the Audit Committee and then approved by the Board of Directors in its meeting held on 13 August 2021. The above results are
38/10/2021 at 10:00 a.m. or within 30 days from Stock Exchange under Regulation 33 of the SEBI (Listing Obigations and Disclosure Requirements)Regulations, 2015. The full format of the Unaudited quarterly financial results are available on the websites available on the Company's website www.dcmsr.com and also on www.bseindia.com.
the date of publication of this proclamation. Elke-solice that, in case of default on your part to of the Stock Exchanges i.e. www.bseindia.com and www.nse.india.com and the company's website For and on behalf of the Board
appear as directed above, the sibone said caseswill be heard and determined on per law, in your www.kddl.com For and on the behalf of Board of Directors Sd/-
absence. for details logon to: Place: Chandigarh Yashovardhan Saboo(Chairman and Managing Director) Place: New Delhi w DCMSHRIRAM ALOK B. SHRIRAMSr. Managing Director & CEO
titps://highcourichd.gov.kv/?trendstnct_nation Date : 13 August, 2021 DIN-00012158 Date: 13.08.2021 DIN: 00203808
MarchanesJMIC Luchiana
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