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Sadhana Nitrochem Ltd. — Proxy Solicitation & Information Statement 2020
Feb 18, 2020
64100_rns_2020-02-18_2774a54c-dcca-44f4-a0a7-f5b49d9c49e9.pdf
Proxy Solicitation & Information Statement
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SADHANA NITRO CHEM LIMITED
CIN : L24110MH1973PLC016698
10, Bruce Street, 1st Floor, 8/12 Homi Mody Street, Fort, Mumbai 400001 Se Tel. : 022-68663300, Email : [email protected], Website : www.sncl.com
Date: 17t February, 2020
To Bombay Stock Exchange Limited, 1st Floor, P.J. Towers, Dalal Street, Mumbai - 400001
Subject: Intimation of Newspaper Publication for notice of Postal Ballot under Regulation 30 and 47 read with Schedule III of SEBI (Listing Obligations and Disclosures Requirements) Regulations, 2015.
Scrip Code - 506642
Sir/Ma'am,
Pursuant to provisions of Regulation 30 and 47 read with Schedule III of SEBI (Listing Obligations and Disclosures Requirements) Regulations, 2015 please find enclosed the copy of Postal Ballot Notice published in the following newspapers:
-
- Financial Express
-
- Mumbai Lakshadeep
Kindly take the same on record.
FOR SADHANA NITRO CHEM LIMITED itin Rameshchandra Jani
Company Secretary Membership No.: A4757 Address: - Plot No. 177, Room No.16, Jawahar Nagar Road No.2, Goregaon (West) Mumbai — 400062
Encl: Postal Ballot
Registered Office : Hira Baug, 1st Floor, Kasturba Chowk (C.PR Tank), Mumbai - 400 004, INDIA
22
FE SUNDAY

BHANDARI HOSIERY EXPORTS LIMITED
and Other Disclosure Requirements) Regulations, 2015. The full format of the Quarterly Annual Financial Results are available on the BSE/NSE Website i.e. www.bseindia.com OR www.nseindia.com and at Company's Website i.e. www.bhandariexport.com.
| For Bhandari Hosiery Exports Limited | |
|---|---|
| $Sd/\sim$ $Sd/\sim$ (DAVINDER SINGH GANDHI) (NITIN BHANDARI) |
|
| Dated: 14,02,2020 Place : Ludhiana |
IRP Managing Director |

Stress Asset Management Branch 444, Agarkar High School Building, Somwar Peth, Pune-411001. Phone: 020-26133029 / 26130030.
POSSESSION NOTICE
WHEREAS, the undersigned being the Authorised Officer of the Bank of Maharashtra under the Securitisation and Reconstruction of Financial Assets and Enforcement of Security Interest Act, 2002 and in exercise of the powers conferred under Section 13(12) read with Rule 3 of Security Interest (Enforcement) Rules, 2002, issued a Demand Notice dated 07/12/2019 calling upon the Borrower M/s. Ashruly Engineering Pvt. Ltd. and Mr. Nandkumar Zamdeo Gaikwad (Director & Guarantors), Mrs. Nandani Nandkumar Gaikwad (Director & Guarantors), Mr. Zamdeo Narayan Gaikwad (Guarantor), Ashok Laxman Pawar (Guarantor) and Hemlata Ashok Pawar (Guarantor) to repay total amount mentioned in the Notice being Rs.5,26,35,827.08 (Rupees Five Crore Twenty Six Lakhs Thirty Five Thousand Eight Hundred Twenty
SADHANA NITRO CHEM LIMITED
CIN: L24110mh1973PLC016698
四 Registered Office: Hira Baug, 1st Floor, Kasturba Chowk, (C. P. Tank), Mumbai 400 004, INDIA Tel.: 022 - 23865629 / 23875630; Fax: 022-23887235 E-mail: [email protected]; Website: www.sncl.com
POSTAL BALLOT NOTICE
Members of the Company are hereby informed that the Company has, on 15th February, 2020 completed the dispatch of Notice of Postal Ballot pursuant to the applicable provisions of Companies Act, 2013 and the rules made thereunder along with the Postal Ballot Form and self-addressed postage pre-paid envelope to the Members whose e-mail IDs are not registered and sent e-mail to the Members whose e-mail IDs are registered as on $7th$ February, 2020 seeking approval by postal ballot including e-voting by electronic means.
Mrs. Kumudini Bhalerao, partner of M/s. Makarand M. Joshi & Co., Practicing Company Secretary has been appointed as the scrutinizer to scrutinize the e-voting process and physical postal ballot in a fair and transparent manner.
The voting period begins from Sunday, 16th February, 2020 (09:00 A.M) and ends on Monday, 16th March, 2020 (5:00 P.M); the e-voting module shall be disabled by NSDL thereafter. Once the vote on a resolution is cast by the members, the members shall not be allowed to change it subsequently. Any postal ballot form received by post from the members after 16th March (5.00 P.M.) 2020 will be strictly treated as if no reply from such member(s) has been received.
In case any Member has any query or issues regarding e-voting, he/she can refer the Frequently Asked Questions ('FAQs') and e-voting manual available at www.evoting.nsdl.com under Help / FAQs Section or write an email to [email protected] or write e-mail to Mr. Nitin Jani, Company Secretary at [email protected] Members who have not received the Form and are desirous of seeking a duplicate Form can send email to [email protected]. Further, the notice is also displayed on the website of the company www.sncl.com and on the website of the e-voting agency www.evoting.nsdl.com
Any grievance pertaining to the Postal Ballot process including voting by e-voting can contact Mr. Nitin Jani, Company Secretary at Hira Baug, 1st Floor, Kasturba Chowk (C.P. Tank), Mumbai - 400004, Phone No: 022-23865629 Email ID: [email protected]
The results of the voting of postal Ballots and e-voting will be declared by the Chairman or any other Director of the Company on or before Wednesday, 18th March, 2020 at the registered office of the Company. The result will also be intimated to the Stock Exchange and updated on the Company's website www.sncl.com
By Order of the Board For Sadhana Nitro Chem Ltd Sd/-Nitin R. Jani Company Secretary
KARNAVATI FINANCE LIMITED
Place: Mumbai
Date: 15/02/2020
CIN: L65910MH1984PLC034724
Registered Office: 705, Palm Spring Centre, Above Croma, Near New Infinity Mall, Link Road, Malad (West), Mumbai - 400064 Corporate Office : "Vraj Building", 05th Floor, Opp. Hotel President, Near Bhumi Press, Limda Lane, Jamnagar - 361001 Telephone :+91 022 28809111 . e-mail : [email protected] Website: www.karnavatifinancelimited.com
| Seven and Paise Eight Only) plus future interest @ applicable rate w.e.f. 29/05/2015 for the credit facilities availed within 60 days from the |
Extract of Standalone Un-audited Financial Results for the quarter and nine months ended on December 31, 2019 | (Rs. In Lakhs except EPS) | Listing and Other Disclosure Requirements) Regulations, 2015. The full format of the Quarterly Financial Results is available on th Stock Exchange website viz. www.bseindia.com and the Company's website viz. www.niraj.co.in. |
For Niraj Cement Structurals Ltd | ||||||||||||||||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| date of the said Notice. The Borrower/Guarantors having failed to repay the amount, Notice is hereby given to the Borrower and the Public in general that the undersigned has taken |
Sr No | Particulars | 31.12.2019 | Quarter ended on | 31.12.2018 | Gulshan Vijaykumar Chopra | ||||||||||||||
| Symbolic possession of the property described herein below in exercise of powers conferred on him under Section 13(4) of the said Act read with rule 8 |
(Unaudited) | (Unaudited) | Place: Mumbai Date: 14th February, 2020 |
Managing Directo DIN: 0106805 |
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| of the said rules, 2002 on this 14/02/2020. The Borrower/Guarantors in particular and the Public in general is hereby |
Total Income from operations (net) | 52.79 | 75.52 | |||||||||||||||||
| cautioned not to deal with the property and any dealings with the property will be subject to the charge of the Bank of Maharashtra, SAM Branch for an |
2 Net Profit / (Loss) for the period (before Tax, Exceptional and/or Extraordinary items#) | 94.19 | (23.18) | Parle Industries Limited | ||||||||||||||||
| amount of Rs. 5,26,35,827.08 and interest thereon. The Borrower/Guarantor's attention is invited to provisions of sub-section |
ifems#) | Net Profit / (Loss) for the period before tax (after Exceptional and/or Extraordinary | 94.19 | (23.18) | (Formerly known as Parle Software Limited) | |||||||||||||||
| (8) of section 13 of the act, in respect of time available, to redeem the secured assets. This notice is also being published in vernacular. The |
84.53 | Regd(O): B/6 Knox Plaza, Ground Floor, Mind Space, Malad West, Mumbai 400064 | CIN:L21000MH1983PLC029128 | |||||||||||||||||
| English version shall be final if any question of interpretation arises. | Description of Mortgaged Property | Net Profit / (Loss) for the period after tax (after Exceptional and/or Extraordinary items#) Total Comprehensive Income for the period [Comprising Profit / (Loss) for the period |
(22.98) | Tel No. 022 40033979 Fax: 40033979, | ||||||||||||||||
| Secured Assets : Flat No. 603 area admeasuring about 64.5 sq.mtrs. | (after tax) and Other Comprehensive Income (after tax)) | 0.00 | Email:[email protected], [email protected], Website: www.parlesoftwares.com STATEMENT OF UNAUDITED FINANCIAL RESULTS FOR THE 3RD |
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| Carpet Area on 6th floor, in Bldg. No. A-45, in the Scheme & Society known as Happy Valley Ph 1 Co-Op. Hsg. Society Ltd. on the land i.e. |
Equity share capital of the company Reserves (excluding Revaluation Reserve) as shown in the Audited Balance Sheet of the previous year |
1005.00 | 1,005.00 | QUARTER AND NINE MONTHS ENDED 31st DECEMBER, 2019 | (Rs.in Lakhs except EPS) | |||||||||||||||
| Gat No. 59, Village Chitalsar Manpada in Taluka & Dist. Thane within the local limits of Thane Municipal Corporation, Thane-400610. |
Earning Per Share of Rs.10 each (for continuing and discontinued operations) - | Quarter Ended | Nine Month ended Year Ended | |||||||||||||||||
| Date: 14/02/2020 Place: Thane, Pune |
Authorised Officer & DGM. Bank of Maharashtra |
Basic: Diluted: |
0.84 0.84 |
(0.23) (0.23) |
PARTICULARS | 31.12.2019 30.09.2019 31.12.2018 31.12.2019 31.12.2018 31.03.2019 Unaudited Unaudited Unaudited Unaudited Unaudited Audited |
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| SHIVAGRICO IMPLEMENTS LIMITED | Notes | The above is an extract of the detailed format of Quarterly Financial Results filed with the stock exchange under Regulation | Income Revenue from Operations |
18.47 | 287.18 | 352.19 | 428.44 | 997.72 | 1,135.01 | |||||||||||
| Regd. Office: A-1, Gr. Floor, Adinath Apartment 281, Tardeo Road, Mumbai 400007 (T)+91 22 23893022 / 23 Email id : [email protected] Website : www.shivagrico.com |
CIN. L28910MH1979PLC021212 | 33 of the SEBI (Listing Obligation and Disclosure Requirements) Regulation, 2015. The above results were reviewed by the Audit Committee and approved at the meeting of Board of Directors held on |
Other Income Total Income |
10.82 29.29 |
9.05 296.24 |
352.19 | 28.84 457.28 |
0.08 997.72 1,135.10 |
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| EXTRACT OF STANDALONE UN-AUDITED FINANCIAL RESULTS FOR THE | QUARTER AND NINE MONTHS ENDED 31ST DECEMBER, 2019 | February 14, 2020, and the Statutory Auditor have carried out Limited Review of the results for the quarter ended on | Expenses Cost of Materials Consumed |
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| (In terms of Regulations 47 (1)(b) of the SEBI ( Listing Obligations and Disclosure | Requirements) Regulations, 2015.) | Rs. In Lacs | December 31, 2019. | The full format of the quarterly Financial Results are available on the Bombay Stock Exchange Website at www.bseindia.com and | Purchase of stock in trade Changes in Inventories of Finished Goods |
17.71 | 253.28 | 293.21 | 353.17 | 794.50 | 979.74 | |||||||||
| PARTICULARS | Quarter ended |
Quarter Ended |
Ended | Nine Months Nine Months Year ended Ended |
as on | Company's website at www.karnavatifinancelimited.com | Stock-in-Trade and Work-in-Progress Employee Benefits Expense |
(4.76) 46.70 |
(11.48) 68.16 |
2.98 4.31 |
(20.08) 133.35 |
(2.43) 8.78 |
(74.09) 18.43 |
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| as on 31.12.2019 Unaudited |
31.12.2018 Unaudited |
as on 31.12.2018 Unaudited |
as on 31.12.2019 Unaudited |
31.03.2019 Audited |
By Order of the Board For, Karnavati Finance Limited |
Finance costs Depreciation and Amortisation |
11.14 | 11.76 | 13.41 | 34.12 | 25.8' | 39.24 | ||||||||
| Total Income from operations (Net ) |
771.16 | 667.72 | 1883.12 | 1944.60 | 2568.8 | Place: Jamnagar | Whole-Time Director | Expenses Other Expenses |
0.11 27.92 98.81 |
0.0 28.51 350.31 |
0.10 14.85 328.86 |
0.30 86.08 586.93 |
0.29 23.62 850.57 |
0.39 33.26 996.98 |
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| Net Profit / (Loss) for the period (before tax. |
Date: 14-02-2020 | Raman Morzaria (DIN: 00203310) | Total Expenses 3 Profit / (loss) before exceptional |
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| Exceptional and/or Extra ordinary items) |
17.83 | (26.31) | (65.01) | (42.49) | (111.13) | items and tax (1-2) Exceptional item |
(69.51) | (54.07) | 23.33 | (129.64) | 147.15 | 138.12 | ||||||||
| Net Profit / (Loss) for the period before tax (after |
KDDL LIMITED | ēthos | Profit / (loss) before tax(3-4) 6 Tax Expenses - Current Tax |
(69.51) | (54.07) | 23.33 | (129.64) | 147.15 41.60 |
138.12 41.60 |
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| Exceptional and/or Extra ordinary items) |
17.83 | (26.31) | (65.01) | (42.49) | (111.13) | (CIN: L33302HP1981PLC008123) | INISS WATCH STESIOS | - Deferred Tax | 3.60 | 0.81 | ||||||||||
| Net Profit / (Loss) for the period after tax (after |
Regd. Office: Plot No. 3, Sector - III, Parwanoo, Distt. Solan - 173220 (H.P.) | Tel.: +91 172 2548223 / 24 Fax: +91 172 2548302 | - Excess/Short provision of Tax Total Tax Expenses / (Income) |
0.12 3.72 |
0.12 41.72 |
0.10 42.50 |
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| Exceptional and/or Extra ordinary items) |
17.83 | (21.67) | (55.44) | (33.18) | (B3.37) | website: www.kddl.com, email id: [email protected] | Profit / (loss) for the Period from continuing operations (5-6) |
(69.51) | (54.07) | 19.61 | (129.64) | 105.43 | 95.62 | |||||||
| Total Comprehensive Income for the period (comprising |
STATEMENT OF UNAUDITED FINANCIAL RESULTS FOR THE QUARTER AND NINE MONTHS ENDED 31 DECEMBER 2019 |
Profit / (loss) from discontinuing operations 9 Tax expense of discontinuing operations |
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| Profit / (Loss) for the period (after tax) and Other |
(Rs. in Lakhs except earnings per share) | 10 Profit / (loss) from discontinuing operations after tax (8-9) |
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| Comprehensive Income (after tax) |
17.83 | (21.67) | (55.44) | (33.18) | (83.97) | No | Particulars (Refer notes below) |
Quarter | Standalone Quarter |
Year to Date | Quarter | Consolidated Quarter |
Year to Date | 11 Profit / (loss) for the period (7+10) 12 Other comprehensive income |
(69.51) | (54.07) | 19.61 | (129.64) | 105.43 | 95.62 |
| Equity Share Capital Earnings Per Share (after |
501.36 | 501.36 | 501.36 | 501.36 | 501.36 | ended | ended 31 |
figure for the current period |
ended 31 |
ended 31 |
figure for the current period |
13 Total Comprehensive Income for the Period $(11+12)$ |
(69.51) | (54.07) | 19.61 | (129.64) | 105.43 | 95.62 | ||
| extraordinary items) (of Rs. 10/- each) |
December 2019 |
December 2018 |
ending 31 Dec. 2019 |
December 2019 |
December 2018 |
ending 31 Dec. 2019 |
Earnings per Equity Share (for continuing operation): (Paid-up Value Rs. 10) |
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| a)Basic: b)Diluted |
0.26 0.26 |
(0.43) (0.43) |
(1.11) (1.11) |
(0.66) (0.66) |
(1.66) (1.66) |
Total income from operations | (Unaudited) 4340 |
Unaudited 4358 |
(Unaudited) 14399 |
(Unaudited) 20655 |
Unaudited) 17300 |
(Unaudited) 52062 |
(Not annualised) (a) Basic Earning Per Share |
(0.50) | (0.39) (0.39) |
0.14 0.14 |
(0.93) | 0.75 0.75 |
0.68 0.68 |
|
| The above is an extract of the detailed format of Results for the quarter and nine months | Net Profit for the period from ordinary activities (before tax, exceptional |
226 | 490 | 1246 | 814 | 1937 | 1011 | (b) Diluted Earning Per Share Earnings per Equity Share (for |
(0.50) | (0.93) | ||||||||||
| period ended on 31st Dec, 2019 filed with the stock exchange (BSE Limited) under Regulation 33 of the SEBI ( Listing Obligations and Disclosure Requirements) Regulations, 2015. The full |
items and/or extraordinary items) | discontinued operation): (Paid-up Value Rs. 10) (Not annualised) |
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| format of the quarterly Financial results are availble in the " Investors" section of the company's website (www.shivagrico.com) and on the stock exchange (www.bseindia.com) |
Net Profit for the period from ordinary activities before tax (after exceptional |
226 | 490 | 1246 | 814 | 1937 | 1011 | (a) Basic Earning Per Share (b) Diluted Earning Per Share |
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| For Shivagrico Implements Limited | items and/or extraordinary items) | Net Profit for the period from ordinary | 158 | 325 | 864 | 440 | 1196 | 316 | Earnings per Equity Share (for continuing) & discontinued operation): |
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| Date :- 14-02-2020 Place : Mumbai |
Hernant Ranawat Executive Director |
items and/or extraordinary items) | activities after tax (after exceptional | (Paid-up Value Rs. 10) (Not annualised) (a) Basic Earning Per Share |
(0.50) | (0.39) | 0.14 | (0.93) | 0.75 | 0.68 | ||||||||||
| AUTHUM INVESTMENT & INFRASTRUCTURE LIMITED | Total Comprehensive Income for the | 144 | 308 | 824 | 433 | 1124 | 338 | (b) Diluted Earning Per Share Paid up Equity Share Capital |
(0.50) | (0.39) | 0.14 | (0.93) | 0.75 | 0.68 | ||||||
| Website: www.authum.com, Email: [email protected], | CIN No.: L51109MH1982PLC319008, | period [comprising profit for the period (after tax) and other |
(Paid-up Value Rs. 10/- Each) | 1,400.00 | 1,400.00 | 1,400.00 | 1,400.00 | 1,400.00 | 1,400.00 | |||||||||||
| Registered Office: 707, Raheja Centre, Free Press Journal Marg, Nariman Point, | Ph: 033-40068296, 022-67472117 | 6 Paid-up equity share capital (Face | comprehensive income(after tax)] | 1164 | 1163 | 1164 | 1164 | 1163 | 1164 | Notes: The unaudited financial results for the quarter and nine months ended 31st December, 2019 have been |
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| Corporate Office : 7, Mangoe Lane, 2 nd Floor, Room No. 212, Kolkata - 700 001. | Mumbai - 400 021. | value in Rs 10 per share) | Earnings per share (of Rs 10/- each) | reviewed by the Audit Committee and approved by the Board of Directors at their meeting held on 14th February, 2020. The unaudited Financial Results are prepared in accordance with Companies (Indian |
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| EXTRACT OF STATEMENT OF STANDALONE UNAUDITED FINANCIAL RESULTS FOR THE QUARTER & NINE MONTHS |
(not annualized): | Accounting Standard) Rule, 2015 as prescribed under Section 133 of the Companies Act, 2013. The Statutory Auditors or the Company have carried out a Limited Review of the results for the Quarter & |
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| ENDED DECEMBER 31, 2019 | (Rs. In Lakhs) | (a) Basic (Rs) (b) Diluted (Rs) |
1.36 .36 |
2.80 2.80 |
7.43 7.43 |
2.73 2.73 |
8.34 8.32 |
2.39 2.38 |
Nine Months ended ended 31.12.2019. The figures for the previous period have been regrouped, rearranged and reclassified, wherever necessary. |
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| ∣Sr. Particulars No. |
Quarter Ended |
Nine Months |
Quarter Ended |
Notes :- | The Company has incorporated a subsidiary named "PSL Recycling Private Limited" in the Quarter ended 30th June 2019. The same was also informed to the Bombay Stock Exchange through its communication |
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| 31.12.2019 (Unaudited) |
Ended 31.12.2019 |
31.12.2018 (Unaudited) |
1. Standalone Financial Result: The Company has adopted IND AS 116 "Leases" effective from April 01, 2019 (transition date), using the modified retrospective method has also elected not to apply the requirements of Ind AS 116 to short term leases and to |
dated 29th May 2019. We would like to state that as on 31st December 2019, there have been no transactions with the said subsidiary other than the payment of share capital. Since there have been no |
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| Total Income from Operations (Net) | 1,325.54 | (Unudited) 5,100.39 |
1,856.54 | to the lease liability of INR 870 lakhs, INR 40 lakhs net investment in sub lease of Right to use assets and reclassification of | leases for which underlying asset is of low value. The Company has recognised Right-of-use asset (ROU) at an amount equivalent | transactions and since the same is not material, the Company has not submitted Consolidated Results for the Quarter ended 31st December 2019. |
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| Net Profit / (Loss) for the period (before Tax, Exceptional and/or |
18.05 | (919.82) | 209.80 | leasehold land amounting to INR 561 lakhs and current/non-current assets for INR 18 lakhs in the standalone unaudited financial results. Consequently, there has been no adjustment to the opening balance of retained earnings as at April 01, 2019 and |
The Company had commenced Activities of Waste Paper and Allied Products in the preceding financial year and therefore the Company has two reportable segment i.e Infrastucture and Real Estate and Waste Paper |
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| Extraordinary items) Net Profit / (Loss) for the period |
18.05 | (919.82) | 209.80 | of use assets and finance cost for interest accrued on lease liability. Accordingly, the results for the quarter ended December 31 | thereafter. Accordingly, the comparatives for the year ended March 31, 2019 have not been retrospectively adjusted. In the statement of profit and loss for the current period, operating lease expenses has changed from rent to depreciation cost for the right |
& Allied products. In accordance with Indian Accounting Standards (Ind-AS 108), the Company has disclosed Segment results in the Financial Results. |
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| before tax (after Exceptional and/or Extraordinary items) |
2019, September 30, 2019 and the nine months period ended December 31, 2019 include INR 65 lakhs, INR 65 lakhs and INR 199 lakhs respectively towards depreciation of Right to Use Assets and INR 23 lakhs, INR 27 lakhs and INR 78 lakhs respectively as |
Segment wise Revenue Results and Capital Employed | Quarter Ended | Nine Month Ended Year Ended | ||||||||||||||||
| Net Profit / (Loss) for the period after tax (after Exceptional and/or |
18.05 | (920.21) | 209.80 | finance cost in relation to unwinding of discount on lease liability with a corresponding impact on rent expense which has reduced by INR 71 lakhs, INR 79 lakhs and INR 226 lakhs respectively due to recognition of operating leases as Right-of-Use Assets and a |
PARTICULARS | 31.12.2019 30.09.2019 31.12.2018 31.12.2019 31.12.2018 31.03.2019 Unaudited Unaudited Unaudited Unaudited Unaudited Audited |
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| Extraordinary items) Total Comprehensive Income for |
(140.79) | (1,091.96) | 209.80 | corresponding lease liability. The net impact on profit before tax for the quarter ended December 31, 2019, September 30, 2019 and the nine months ended December 31, 2019 is INR 17 lakhs, INR 13 lakhs and INR 51 lakhs respectively and related impact on |
Segment Revenue a. Infrastructure & Real Estate |
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| the period (Comprising Profit/(Loss) for the period (after tax)) and Other |
earnings/(loss) per share is INR (0.10), INR (0.09) and INR (0.31) respectively (Basic and diluted). 2. Consolidated Financial Result: The Group has adopted IND AS 116 Leases" effective from April 1, 2019 (transition date), using |
b. Trading in Papers, Waste Papers & Allied Products |
29.29 | 296.24 | 352.19 | 457.28 | 997.72 | 1,135.10 | ||||||||||||
| Comprehensive Income (after tax) Equity Share Capital (face value of |
1,152.81 | 1,152.81 | 1,152.81 | liability of Rs. 12872 lakhs and reclassification of leasehold land and current/non-current assets for Rs 1086 lakhs in the | the modified retrospective method has also elected not to apply the requirements of Ind AS 116 to short term leases and to leases for which underlying asset is of low value. The Group has recognised Right-of-use asset (ROU) at an amount equivalent to the lease |
Net Sales/Income From Operation Segment Results |
29.29 | 296.24 | 352.19 | 457.28 | 997.72 1,135.10 | |||||||||
| the share: Rs. 10 each) Earnings Per Share (Face Value of |
consolidated unaudited financial results. Consequently, there has been no adjustment to the opening balance of retained earnings as at 1 April 2019 and thereafter. Accordingly, the comparatives for the year ended March 31, 2019 have not been retrospectively |
a. Infrastructure & Real Estate | ||||||||||||||||||
| Rs.10/- Per Share) (for continuing and discontinued operations) |
adjusted. In the statement of profit and loss for the current period, operating lease expenses has changed from rent to depreciation cost for the right of use assets and finance cost for interest accrued on lease liability. Accordingly, the results for the quarter ended |
b. Trading in Papers, Waste Papers & Allied Products |
16.34 | 54.43 | 56.00 | 124.19 | 205.65 | 229.45 | ||||||||||||
| 1. Basic : 2. Diluted: |
(1.22) (1.22) |
(9.47) (9.47) |
1.82 1.82 |
Rs. 2295 lakhs respectively towards depreciation of Right to Use Assets and Rs 326 lakhs, Rs. 294 lakhs and Rs. 857 lakhs | December 31, 2019, September 30, 2019 and the nine months period December 31, 2019 include Rs. 811 lakhs, Rs. 782 lakhs and | Less: Interest and Finance Charges Total Segment Result before Tax |
11.14 5.21 |
11.76 42.67 |
13.41 42.59 |
34.12 90.08 |
25.81 179.84 |
39.24 190.20 |
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| The above un-audited financial results for the quarter ended on 31.12.2019 were | respectively as finance cost in relation to unwinding of discount on lease liability with a corresponding impact on rent expense which has reduced by Rs. 955 lakhs, Rs. 809 and Rs. 2556 lakhs respectively due to recognition of operating leases as Right-of-Use |
Less: Other Unallocable Expenditure Total Profit Before Tax |
74.72 (69.51) |
96.74 (54.07) |
19.26 23.33 |
219.72 (129.64) |
32.69 147.15 |
52.08 138.12 |
||||||||||||
| approved and taken on record in the Board meeting held on 14.02.2020 after being reviewed and recommended by the Audit Committee on the same date. |
September 30, 2019 and nine months ended December 31, 2019 is Rs 182 lakhs, Rs. 267 lakhs and Rs. 596 lakhs respectively and | Assets and a corresponding lease liability. The net impact on profit before tax for the quarter ended December 31, 2019, | Capital Employed (Segment Assets - Segment Liabilities) |
|||||||||||||||||
| 2 The above is an extract of the detailed format of Quarterly Financial Results filed with the Stock Exchanges under Regulation 33 of the SEBI (Listing and |
of the Group, Pasadena Retail Private Limited has adopted IND AS 116 "Leases" and the proportionate impact, which is not | related impact on earnings per share is Re 0.87, Rs. 1.27 and Rs 2.86 per share respectively (Basic and diluted). The Joint venture | a. Infrastructure & Real Estate b. Trading in Papers, Waste Papers & |
1,723.40 | 1,723.40 | 1,990.00 | 1,723.40 1,990.00 | 1,723.40 | ||||||||||||
| Other Disclosure Requirements) Regulations, 2015. The full format of the Quarterly Financial Results are available on the website of the Stock exchange (www.bseindia.com) & on Company's website (www.authum.com) |
material, included on account of consolidation of Joint Venture. 3. The above unaudited financial results were reviewed by the Audit Committee and approved by the Board of Directors at its |
Allied Products c. Unallocable |
506.11 (287.88) |
514.35 (226.62) |
118.41 (27.33) |
506.11 (287.88) |
118.41 (27.33) |
408.17 (60.31) |
||||||||||||
| The Company has adopted Indian Accounting Standards ('IND AS') with effect from 1 April, 2019 and consequently, these financial results have been prepared |
meeting held on 14 February 2020. The unaudited financial results for the current quarter and nine months ended 31 December 2019 have been subjected to limited review by the Statutory Auditors of the Company. The unmodified review report of the Statutory |
TOTAL CAPITAL EMPLOYED | $1,941.63$ $2,011.14$ $2,081.08$ | 1,941.63 2,081.08 | 2,071.26 | |||||||||||||||
| in accordance with the recognition and measurement principles laid down ir 'IND AS 34 Interim Financial Reporting' prescribed under section 133 of the |
Auditors is being filed with the BSE and National Stock Exchange. 4. The above is the extract of the detailed format of Unaudited quarterly & nine months Financial Results filled with the Stock |
6 Items of Incomes/Expenses/Assets/Liabilities including borrowings/ advances, provision for various taxes, common administrative expenses, etc., which are not directly attributable/identifiable/allocable to an |
||||||||||||||||||
| Companies Act, 2013, read with relevant rules issued there under and other accounting principles generally accepted in India. |
By Order of Board | of the Unaudited quarterly and nine months ended 31st December 2019 are available on the websites of the Stock Exchanges i.e. | Exchange under Regulation 33 of the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015,. The full format www.bseindia.com and www.nseindia.com and the company's website www.kddl.com |
operating segment have been shown as Unallocable items. | By order of the Board of Directors | |||||||||||||||
| For Authum Investment & Infrastructure Limited | For and on the behalf of Roard of Directors | For Parle Industries Limited |
NIRAJ CEMENT STRUCTURALS LIMITED
Regd Office: Niraj House Sunder Baug, Opp Deonar Bus Depot, Deonar, Chembur, Mumbai 400088
CIN NO. L26940MH1998PLC114307 EXTRACT OF STATEMENT OF UNAUDITED FINANCIAL RESULTS FOR THE OUARTER & NINE MONTHS ENDED 31ST DECEMBER 2019 (₹ in Lakhs except EPS)
Year Ended Nine Months Ended Quarter Ended Previous Particulars year ended $\big\vert$ 31.12.2019 30.09.2019 31.12.2018 31.12.2019 31.12.2018 31.03.2019 (Unaudited) (Unaudited) (Unaudited) (Audited) (Unaudited) (Unaudited) 2,018.55 8,018.35 11,031.49 3.052.35 $-2,492.12$ $6,647.66$ Total Income from Operations (Net) Net Profit / (Loss) for the period (before Tax. Exceptional and/or Extraordinary items) 48.22 12.91 21.07 88.60 49.88 52.66 Net Profit/ (Loss) for the period before tax (after Exceptional and/or Extraordinary items) 48.22 12.91 21.07 88.60 49.88 116.09 Net Profit/ (Loss) for the period after tax (after Exceptional and/or Extraordinary items) 40.72 9.35 73.54 124.12 14.75 38.07 Total Comprehensive income for the period [Comprising] Profit/(Loss) for the period (after tax) and Other 9.35 Comprehensive Income (after tax)] 40.72 17.28 73.24 126.61 38.07 1,865.53 Equity Share Capital 1.865.53 1.865.53 1.865.53 1.865.53 1,865.53 Reserves (excluding Revaluation Reserve) as Shown in the Audited Balance Sheet of the previous year Earnings Per Share (of Rs10/- each) (for continuing and discontinuing operations) $0.020$ Basic $0.022$ 0.005 0.008 0.700 0.013 Diluted $0.022$ 0.005 0.008 $0.020$ 0.013 $0.700$
Notes:-
-
This statement has been prepared in accordance with companies (Indian Accounting Standards) Rules, 2015 (Ind AS) prescribed under section 133 of the companies Act, 2013 and other recognised accounting practices and policies to the extent applicable.
-
Contract revenue and sub contract cost includes uncertified work related GST and TDS compliances will be done when work is certified. Niraj Cement Structurals Ltd has booked turnover and related cost of Joint Venture entities and partners in its books of account. However, the whole projects have been handled by Joint Venture Partners / Entities and related GST and TDS complied by Joint Venture Partners/Entities. Also, no TDS has been deducted on the provision made of sub-contract charges of uncertified work.
. Figures for the previous periods have been regrouped, whenever necessary to make them comparable with current period. Balance of Trade Payable, Trade receivable, advances received and advances given are subject to confirmation and reconciliation
- The management is hopeful for recovery of trade receivables.
-
- The balance of the work-in-progress inventory remains unchanged.
-
- During the quarter ended 31st December 2019 total NIL investors complaints were received which were refressed during the quarter itself. There was no complaint pending at the beginning or at the end of the quarter.
-
- Tax expenses for the quarter ended 31st December 2019 includes adjustments due short tax provision of earlier years, MAT and deffered tax asset.
-
- The company is engaged primarily in business of civil construction and infrastructure and accordingly there are no separate reportable segments as per Indian Accounting standards (Ind AS) 108 dealing with Segment Reporting.
-
- There is no dilution to the basic EPS as there are no outstanding potentially dilutive shares.
-
- The above is an extract of the detailed format of Quarterly Results filed with the Stock Exchange under Regulation 33 of the SEB ulations, 2015. The full format of the Quarterly Financial Results is available on the and the Company's website viz. www.niraj.co.in.
Gulshan Vijaykumar Chopra Managing Director DIN: 01068051

| Parle Industries Limited | ||||||
|---|---|---|---|---|---|---|
| (Formerly known as Parle Software Limited) | ||||||
| CIN:L21000MH1983PLC029128 | ||||||
| Regd(O): B/6 Knox Plaza, Ground Floor, Mind Space, Malad West, Mumbai 400064 | ||||||
| Tel No. 022 40033979 Fax: 40033979, | ||||||
| Email:[email protected], [email protected], Website: www.parlesoftwares.com | ||||||
| STATEMENT OF UNAUDITED FINANCIAL RESULTS FOR THE 3RD QUARTER AND NINE MONTHS ENDED 31st DECEMBER, 2019 |
||||||
| (Rs.in Lakhs except EPS) Nine Month ended Year Ended |
||||||
| PARTICULARS | Quarter Ended | 31.12.2019 30.09.2019 31.12.2018 31.12.2019 31.12.2018 31.03.2019 | ||||
| Unaudited Unaudited Unaudited Unaudited Unaudited | Audited | |||||
| ome | ||||||
| venue from Operations | 18.47 | 287.18 | 352.19 | 428.44 | 997.72 | 1,135.01 |
| er Income | 10.82 | 9.05 | 28.84 | 0.08 | ||
| Total Income | 29.29 | 296.24 | 352.19 | 457.28 | 997.72 | 1,135.10 |
| penses | ||||||
| st of Materials Consumed | ||||||
| chase of stock in trade | 17.71 | 253.28 | 293.21 | 353.17 | 794.50 | 979.74 |
| anges in Inventories of Finished Goods, ck-in-Trade and Work-in-Progress |
(4.76) | (11.48) | 2.98 | (20.08) | (2.43) | (74.09) |
| ployee Benefits Expense | 46.70 | 68.16 | 4.31 | 133.35 | 8.78 | 18.43 |
| ance costs | 11.14 | 11.76 | 13.41 | 34.12 | 25.81 | 39.24 |
| oreciation and Amortisation | ||||||
| benses | 0.11 | 0.07 | 0.10 | 0.30 | 0.29 | 0.39 |
| er Expenses | 27.92 | 28.51 | 14.85 | 86.08 | 23.62 | 33.26 |
| Total Expenses | 98.81 | 350.31 | 328.86 | 586.93 | 850.57 | 996.98 |
| ofit / (loss) before exceptional | ||||||
| $ns$ and tax $(1-2)$ ceptional item |
(69.51) | (54.07) | 23.33 | (129.64) | 147.15 | 138.12 |
| ofit / (loss) before tax(3-4) | (69.51) | (54.07) | 23.33 | (129.64) | 147.15 | 138.12 |
| Expenses | ||||||
| - Current Tax | 3.60 | 41.60 | 41.60 | |||
| - Deferred Tax | 0.81 | |||||
| - Excess/Short provision of Tax al Tax Expenses / (Income) |
0.12 3.72 |
0.12 41.72 |
0.10 42.50 |
|||
| ofit / (loss) for the Period from | ||||||
| itinuing operations (5-6) | (69.51) | (54.07) | 19.61 | (129.64) | 105.43 | 95.62 |
| fit / (loss) from discontinuing operations | ||||||
| expense of discontinuing operations | ||||||
| ofit / (loss) from discontinuing | ||||||
| erations after tax (8-9) ofit / (loss) for the period (7+10) |
(69.51) | (54.07) | 19.61 | (129.64) | 105.43 | 95.62 |
| er comprehensive income | ||||||
| al Comprehensive Income for | ||||||
| Period (11+12) | (69.51) | (54.07) | 19.61 | (129.64) | 105.43 | 95.62 |
| gs per Equity Share (for continuing | ||||||
| tion): (Paid-up Value Rs. 10) nnualised) |
||||||
| sic Earning Per Share | (0.50) | (0.39) | 0.14 | (0.93) | 0.75 | 0.68 |
| uted Earning Per Share | (0.50) | (0.39) | 0.14 | (0.93) | 0.75 | 0.68 |
| ngs per Equity Share (for | ||||||
| ntinued operation): | ||||||
| up Value Rs. 10) (Not annualised) sic Earning Per Share |
||||||
| uted Earning Per Share | ||||||
| gs per Equity Share (for continuing | ||||||
| :ontinued operation): |
DIN:06919510
$Sd$
Place: Chandigarh
Date: 14 February 2020
Amit Dangi
DIN: 06527044
Director
Place: Mumbai
Diame mediual per 4p2020 apr.in
For and on the behalf of Board of Directors Yashovardhan Saboo (Chairman and Managing Director) DIN-00012158
- ormed to the Bombay Stock Exchange through its communication to state that as on 31st December 2019, there have been no her than the payment of share capital. Since there have been no material, the Company has not submitted Consolidated Results for
- s of Waste Paper and Allied Products in the preceding financial year ortable segment i.e Infrastucture and Real Estate and Waste Paper Indian Accounting Standards (Ind-AS 108), the Company has al Results.
Dital Employed
Date: 14th February, 2020
| Quarter Ended | Nine Month Ended Year Ended | |||||
|---|---|---|---|---|---|---|
| PARTICULARS | 31.12.2019 30.09.2019 31.12.2018 31.12.2019 31.12.2018 31.03.2019 | |||||
| Unaudited Unaudited Unaudited Unaudited Unaudited | Audited | |||||
| Segment Revenue | ||||||
| a. Infrastructure & Real Estate | ||||||
| b. Trading in Papers, Waste Papers & | ||||||
| Allied Products | 29.29 | 296.24 | 352.19 | 457.28 | 997.72 | 1,135.10 |
| Net Sales/Income From Operation | 29.29 | 296.24 | 352.19 | 457.28 | 997.72 | 1,135.10 |
| Segment Results | ||||||
| a. Infrastructure & Real Estate | ||||||
| b. Trading in Papers, Waste Papers & | ||||||
| Allied Products | 16.34 | 54.43 | 56.00 | 124.19 | 205.65 | 229.45 |
| Less: Interest and Finance Charges | 11.14 | 11.76 | 13.41 | 34.12 | 25.81 | 39.24 |
| Total Segment Result before Tax | 5.21 | 42.67 | 42.59 | 90.08 | 179.84 | 190.20 |
| Less: Other Unallocable Expenditure | 74.72 | 96.74 | 19.26 | 219.72 | 32.69 | 52.08 |
| Total Profit Before Tax | (69.51) | (54.07) | 23.33 | (129.64) | 147.15 | 138.12 |
| Capital Employed (Segment Assets - Segment Liabilities) |
||||||
| a. Infrastructure & Real Estate | 1,723.40 | 1,723.40 | 1,990.00 | 1,723.40 | 1,990.00 | 1,723.40 |
| b. Trading in Papers, Waste Papers & | ||||||
| Allied Products | 506.11 | 514.35 | 118.41 | 506.11 | 118.41 | 408.17 |
| c. Unallocable | (287.88) | (226.62) | (27.33) | (287.88) | (27.33) | (60.31) |
| TOTAL CAPITAL EMPLOYED | 1,941.63 | 2,011.14 | 2,081.08 | 1,941.63 | 2,081.08 | 2,071.26 |
| 6 Items of Incomes/Expenses/Assets/Liabilities including borrowings/ advances, provision for various taxes, | ||||||
| common administrative expenses, etc., which are not directly attributable/identifiable/allocable to an | ||||||
| operating segment have been shown as Unallocable items. | By order of the Board of Directors | |||||
| For Parle Industries Limited | ||||||
| sd/l | ||||||
| Rakeshkumar D. Mishra | ||||||
| Place: Mumbai | Exe-Director |
रविवार, दि. १६ फेब्रुवारी २०२०
(रु.लाखात)
| BALASHRI COMMERCIAL LIMITED 209, Standard House, 83, M.K. Road, Marine Lines Mumbai Mumbai City MH 400002 IN CIN: L15321WB1958PLC024002, Telephone No:033-2362 978, |
चंद्रपूर जिल्ह्यात वाघाच्या हल्ल्यात महिला ठार | |||||||||
|---|---|---|---|---|---|---|---|---|---|---|
| Webmail:www.balashri.com, Email ID: [email protected] EXTRACT OF UNAUDITED FINANCIAL RESULTS FOR THE QUARTER ENDED DECEMBER 31, 2019 |
(Rs. in lakhs) | चंद्रपूर, दि.१४ : जिल्ह्यातील सावली वनपरिक्षेत्रातील त्यावेळी अचानक दबा धरञ्न बसले मोरवाही येथे शेतात काम करीत असताना एका म |
दोधींनी तिथून पळ काढला. त्य | |||||||
| Standalone | हिलेवर हल्ला करून वाघाने ठार केल्याची घटना घडली. | वाघाने हल्ला केला. तेव्हा मैत्रिणीने 3 | ||||||||
| Sr. No. |
Particulars | Quarter Ended | Nine Months Ended |
सदर घटना शुक्रवारी दुपारी सव्वा दोनच्या सुमारास | त्यावेळी गावकरी तेथे जमा झाले | |||||
| December 31, 2019 Unaudited |
Nine Month ended 31.12.2019 Unaudited |
Quarter ended 31.12.2018 Unaudited |
घडली. सदर घटनास्थळापासून ताडोबा-अंधारी व्याघ्र प्रकल्पाचा बफर झोन एक किलोमीटर अंतरावर आहे. राजोली उपक्षेत्रातील चितेगाव क्षेत्रालगत असलेल्या |
सरिता जागीच ठार झाली होती. ते काढला. या घटनेप्रकरणी वनविभाग कर्मचारी घटनारथळी ताबडतोब दाख |
||||||
| Total Income from Operations | (624.42) | (814.23) | (2298.09) | |||||||
| $\overline{c}$ | Net Profit / (Loss) for the period (before Tax, Exceptional and/or Extraordinary items) |
(822.31) | (1161.97) | (3062.40) | शामराव पाल यांच्या शेतात सरिता श्रीकृष्ण पाल ही म हिला आपल्या मैत्रिणीबरोबर तूरीच्या शेंगा तोडत होती. |
नातेवाईकांना तातडीची मदत म्हणून ः रक्कम म्हणून दिल्याची माहिती वनविं |
||||
| Net Profit / (Loss) for the period (before tax (afterExceptional and/or Extraordinary items) |
(822.31) | (1161.97) | (3062.40) | Regd. Office: B-3,204 Saket Complex, Thane (West), MH | ||||||
| $\overline{4}$ | Net Profit / (Loss) for the period after tax (after Exceptional and/or Extraordinary items) |
(712.74) | (1276.21) | (3063.51) | KCL INFRA PROJECTS LTD |
CIN: L45201MH1995PLC167630 | Email: [email protected] Web: www.kclinfra.com | |||
| 5 6 |
Share of Profit / (Loss) of associates | $\alpha$ | EXTRACT | OF THE STANDALONE UNAUDITED FINANCIAL RESULTS | ||||||
| Net Profit / (Loss) for the period after tax (after Share of Profit) Loss) of associates |
$\tilde{\phantom{a}}$ | lSr. | FOR THE QUARTER ENDED 31st DECEMBER, 2019 | Quarter Ended | Nine Months End | |||||
| Total Comprehensive Income for the period [Comprising Profit/Loss for |
Particulars lNo. |
31.12.2019 (Unaudited) |
30.09.2019 (Unaudited) |
31.12.2018 (Unaudited) |
31.12.2019 (Unaudited) |
31.12 (Unau |
||||
| the period (after tax) and other Comprehensive Income (after tax)] |
(712.71) | (1276.18) | (3063.41) | Total Income form Operations (Net) 2 Net Profit / (Loss) for the period before tax |
6.58 | 7.67 | 227.33 | 192.96 | 41 | |
| 8 | Equity Share Capital (Face Value Rs 10/- per share) |
503.75 | 503.75 | 503.75 | and Exceptional items Net Profit / (Loss) for the period before tax and after Exceptional items |
(14.20) (14.20) |
(11.74) (11.74) |
2.76 2.76 |
(30.56) (30.56) |
$\vert$ 1: $\ddagger$ |
| 9 | Reserves (excluding Revaluation Reserve) as per Audited Balance |
4 Net Profit for the period after Tax (after Extraordinary Items) |
(14.20) | (11.74) | 2.76 | (30.56) | $\ddot{ }$ | |||
| 10 | Sheet as at March 31, 2019 Earnings Per Share (of Re. 1/- each) |
NA. | N.A. | N A. | 5 Total Comprehensive Income for the period | (14.20) | (11.74) | 2.76 | (30.56) | $\overline{1}$ |
| (for continuing and discontinued | 6 Equity Share Capital | 526.62 | 526.62 | 526.62 | 526.62 | 52 | ||||
| operations) - Basic & Diluted |
(14.15) | (25.33) | (60.81) | 8 Earning per Share-Basic (after extraordinary items) (of Rs. 2/-each) |
(0.05) | (0.04) | 0.01 | (0.12) | ||
| Note: a. The above is an extract of the detailed format of Quarterly and Nine months ended Financial |
9 Earning per Share-Diluted (after extraordinary items) (of Rs. 2/-each) |
(0.05) | (0.04) | 0.01 | (0.12) | |||||
| Results filed with the Stock Exchange under Regulation 33 of the SEBI (Listing Obligation and Disclosure Requirements) Regulation, 2015 The full format of the quarterly and Nine months ended Financial results is available on www.cse-india.com and www.balashri.com. |
Note: (1) The above result is an extract of the detailed format of financial results for the quarter and Nine Months ended 31.12.20 Exchange under Regulation 33 of the SEBI (LODR) Regulation 2015. The full format of the Quarterly Result as on 31.1 |
|||||||||
| b. The Company has adopted Indian Accounting Stadanrds (IND AS) with effect from 01st April, 2019 and consequently, these financial results have been prepared in accordance with the recognition and measurement principles laid down in IND AS 34 interim Financial Reporting prescribed under section 133 of the Companies Act, 2013 read with relevant |
company website. (2)The above un-audited financial results for the quarter and Nine Months ended 31.12.2019 were reviewed by the Audit Con held on 14th February, 2020 and approved by the Board of Directors at their meeting held on 14th February, 2020. |
|||||||||
| rules issued there under and other accounting principles generally accepted in India. The date of transition to Ind AS is 01st April 2018 and the impact of transition has been ac- counted for in opening reserves and the comparative period results disclosed here are restated accordingly. |
Place: Thane | FOR AND BEHALF BO | For KCL | |||||||
| For Balashri Commercial Limited | Sd/- | Date: 14 th February, 2020 | ||||||||
| Rajesh Nuwal | ||||||||||
| Place: Mumbai Date: 14.02.2020 |
Director DIN: 00009660 |
41. | साधना नायटो केम लिमिटेड |
अचानक दबा धरून बसलेला वाघ दिसताच तिथून पळ काढला. त्यावेळी सरितावर हल्ला केला. तेव्हा मैत्रिणीने आरडाओरड केली. गावकरी तेथे जमा झाले. मात्र तोपर्यंत जागीच ठार झाली होती. तेथून वाघाने पळ या घटनेप्रकरणी वनविभागाचे अधिकारी व घटनास्थळी ताबडतोब दाखल झाले. मृतकाचे .
कांना तातडीची मदत म्हणून २५ हजारांची रोख हणून दिल्याची माहिती वनविभागाने दिली.
Saket Complex, Thane (West), MH 400601. m Web: www.kclinfra.com C167630 TED FINANCIAL RESULTS DECEMBER, 2019 (रै in Lakhs nths Ended
31.12.2018
| (Unaudited) Year Ended
31.03.2019
(Unaudited) Nine Mor
31.12.2019
(Unaudited) 31.12.2018 227.33 192.96 414.72 841.64 2.76 $(30.56)$ 12.59 29.09 2.76 12.59 29.09 $(30.56)$ 2.76 $(30.56)$ 12.59 29.09 $2.76$ $(30.56)$ 12.59 $29.09$ 526.62 526.62 526.62 526.62 $0.01$ $(0.12)$ 0.05 $0.11$ $0.01$ $(0.12)$ $0.05$ $0.11$
arter and Nine Months ended 31.12.2019 filed with the Stock mat of the Quarterly Result as on 31.12.2019, is available or
2.2019 were reviewed by the Audit Committee at their meeting eld on 14th February, 2020.
FOR AND BEHALF BOARD OF DIRECTORS FINALF BUNNU OF BRIDGES
For KCL Infra Projects Limited
Mohan Jhawar
(Director)
DIN:00495473 ठिकाण : मुंबई
दिनांक: १४ फेब्रुवारी, २०२०
साधना नायट्रो केम लिमिटेड
Ÿ, सीआयएन: एल२४११०एमएच१९७३पीएलसी०१६६९८
नोंदणीकृत कार्यालय: हिरा बाग, १ला मजला, कस्तुरबा चौक (सी.पी.टँक), मुंबई−४००००४, भारत दूर: 0२२-२३८६५६२९/२३८७५६३०, फॅक्स: ०२२-२३८८७२३५, ई-मेल: [email protected] वेबसाईट: www.sncl.com
टपाल मतदान सूचना
.
कंपनीच्या सदस्यांना येथे सुचित करण्यात येत आहे की, कंपनीने विद्युत स्वरुपाने ई–वोटिंग तसेच टपाल मतदानाने मान्यत
घेण्यासाठी ज्यांचे ई–मेल दिनांक ०७ फेब्रुवारी, २०२० रोजी प्रमाणे नोंद आहेत त्या सदस्यांना ई–मेल आणि ज्या सद .
मेल नोंद नाहीत त्यांना स्वपत्त: लिहिलेले व मुद्रांक शुल्क भरलेले लिफाफा आणि टपाल मतदानपत्रिकासह कंपनी कायदा २०१३ आणि नियमाअंतर्गत लागू तरतुदीनुसार टपाल मतदान सूचना वितरणाची प्रक्रिया कंपनीने १५ फेब्रुवारी, २०२० रोजी पुर्ण केली आहे. कंपनीच्या संचालक मंडळाने टपाल मतदान व ई–वोटिंग प्रक्रिया योग्य व पारदर्शकरित्या संचालनाकरिता तपासनीस म्हणून कार्यरत कंपनी सचिव मे. मकरंद एम. जोशी ॲण्ड कंपनीच्या भागीदार श्रीमती कुमुदिनी भालेराव यांची नियुक्ती केली आहे. मतदान कालावधी, रविवार, १६ फेब्रुवारी, २०२० रोजी स.९.००वा. प्रारंभ होईल आणि सोमवार, १६ मार्च, २०२० रोजी
सायं.५.००वा. समाप्त होईल, तद्नंतर एनएसडीएलद्वारे ई–वोटिंग पद्धत बंद केली जाईल. सदस्याने ठरावावर दिलेले मत पुढे
..................................... , असणार नाही आणि सदस्यांकडून कोणताही प्रतिसाद मिळाला नाही असे समजले जाईल
ई-वोटिंगबाबत काही प्रश्न किंवा तक्रारी असल्यास हेल्पसेक्शन/एफएक्यु सेक्शन अंतर्गत www.evoting.nsdl.com वर र साल किन्दुली आस्वह क्वेश्वन्स (एफएक्यु) आणि ई-वोटिंग मॅन्युअलचा संदर्भ ध्याया किंवा evoting.com पर
| उपलब्ध फ्रिकेन्टली आस्वह क्वेश्वन्स (एफएक्यु) आणि ई-वोटिंग मॅन्युअलचा संदर्भ ध्याया किंवा [email protected]
| वर ई-मे .
ज्या सदस्यांना टपाल मतदानपत्रिका मिळाल्या नसतील आणि ज्यांना दुय्यम पत्रिका ह्रव्या असतील त्यांनी [email protected] वर ई-मेल करावा. यापुढे सदर सूचना कंपनीच्या www.sncl.com व ई-
alटिंग एजन्सीच्या www.evoting.nsdl.com वेबसाईटवर सुद्धा प्रदर्शित केले आहेत. ई–वोटिंगनी मतदानासह टपाल मतदान प्रक्रियेबाबत काही तक्रारी असल्यास संपर्क श्री. नितीन जानी, कंपनी सचिव, हिरा बाग, १ल
.
मजला, कस्तुरबा चौक (सी.पी.टँक), मुंबई–४००००४, द्र्.:०२२–२३८६५६२९, ई–मेल [email protected] टपाल मतदान व ई–वोटिंगने मतदानाचा निकाल बुधवार, १८ मार्च, २०२० रोजी कंपनीच्या नोंदणीकृत कार्यालयात कंपनीचे अध्यक्ष किंवा अन्य इतर संचालक यांच्याद्वारे घोषित केला जाईल. सदर निकाल स्टॉक एक्सचेंजकडे कळविला जाईल आणि कंपनीच्या www.sncl.com वेबसाईटवर प्रसिद्ध केला जाईल.
मंडळाच्या आदेशान्व साधना नायटो केम लिमिटेडकरित सही $/$ नितीन आर. जार्न
व्यापक औषधांचे उत्पादक व
कंपनी सचिव
ठिकाण: मुंबई । दिनांक: १५.०२.२०२०

नोंद. कार्याल
तपशि
.
कार्यचलनातून महसूल
∥ब. वस्तूंच्या यादीतील बदल
ः
अः वापरण्यात आलेल्या साहित्याचा खर्च
इतर उत्पन्न
्
एकूण उत्पन्न
खर्च
| . RUGS & PHARMACEUTICALS LTD. |
रसायने व द्रावकांचे विक्रेता | |||||
|---|---|---|---|---|---|---|
| सीआयएन: एल९९९९९९एमएच१९९०पीएलसी०५६५३८ | ||||||
| मुख्य कार्यालय: १०७, २०४, सहकार भवन, ३४०/४८, एन.एन. स्ट्रीट, मुंबई–४००००९. दर.क्र.:०२२–६६३१३१६६ ई–मेल: [email protected] | ||||||
| ब: ई३४, एमआयडीसी, तारापूर, बोईसर, जिल्हा पालघर. दर.:(०२५२५) २७१०४९ ई-मेल: [email protected] वेबसाईट: www.aareydrugs.com | ||||||
| ३१ डिसेंबर. २०१९ रोजी संपलेल्या तिमाहीकरिता अलेखापरिक्षित वित्तीय निष्कर्षाचा अहवाल | रु. लाखात | |||||
| संपलेली | संपलेली | संपलेली | संपलेले | संपलेले | संपलेले | |
| तिमाही | तिमाही | तिमार्ही | ९ महिने | ९ महिने | मागील वर्ष | |
| 38.99.99 | 30.09.99 | 39.99.96 | 99.99.99 | 39.99.96 | 39.03.99 | |
| $\vert$ अलेखापरिश्चित् । अलेखापरिश्चित् ।अलेखापरिश्चित् ।अलेखापरिश्चित्त ।अलेखापरिश्चित् । | लेखापरिश्रित |
$\xi \nless q \nless q, \xi \nless$
0.99
হ্স্বও.३७∣
६१०७.८६
$488\times$
६०४९.३
$4462.5$
| रु. लाखात । | ाक्षत वित्ताय निष्कर्षाचा अहवाल | |||
|---|---|---|---|---|
| संपलेले | संपलेले | संपलेले | संपलेली | |
| मागील वर्ष | ९ महिने | ९ महिने | तिमार्ही | |
| NIDHI MER | 38.03.88 | 39.99.96 | 89.99.99 | 39.99.96 |
| CIN NO. L51 Read. Off: B/306-309, Dynasty Busines |
लेखापरिक्षित | अलेखापरिक्षित | अलेखापरिक्षितत | अलेखापरिक्षित |
| Tel. No. 022-61115222, Fax no 022-2822786 | 34868.88 | 28083.00 | 8280.083 | 93.8830 |
| Statement of Unaudited Financial Re | 833.03 | २५१.८० | ३२७.२० | ७३.२१ |
| 34900.90 | २१९९४.८० | 89780.90 | 93.3990 | |
| 3 months Sr. hehne |
38096.96 | २०८७२.१७ | 90.0803 | 9435.83 |

दामोदर इंडस्ट्रीज लिमिटेड
नोंदणीकृत कार्यालय: १९/२२ व २७/३०, मधु इस्टेट, पांडुरंग बुधकर मार्ग,
वरळी, मुंबई–४०००१३.
कॉर्पोरेट ओळख क्रमांक:एल१७११०एमएच१९८७पीएलसी०४५५७५ दूर.:+९१-०२२-६६६१०३०१/२, फॅक्स:०२२-६६६१०३०८,
ई-मेले:[email protected], www.damodargroup.com ३१ डिसेंबर, २०१९ रोजी संपलेल्या तिमाही व नऊमाहीकरिता एकमेव
अलेखापरिक्षित वित्तीय निष्कर्षाचा अहवाल
| तपशील | संपलेली तिमाही | संपलेले ९ महिने | संपलेली तिमाही |
|---|---|---|---|
| 39.92.99 | 39.92.98 | 39.92.96 | |
| अलेखापरिक्षित | अलेखापरिक्षित | अलेखापरिक्षित | |
| कार्यचलनातून एकूण उत्पन्न (निव्वळ) | 30838.36 | 90033.80 | 40393.00 |
| कालावधीकरिता निव्वळ नफा/(तोटा) | |||
| (कर, अपवादात्मक आणि/किंवा विशेष साधारण बाबपूर्व) | 80.50 | (840.00) | 9090.38 |
| करपूर्व कालावधीकरिता निव्वळ नफा/(तोटा) | |||
| (अपवादात्मक आणि/किंवा विशेष साधारण बाबनंतर) | 80.50 | (840.00) | 9090.38 |
| करानंतर कालावधीकरिता निव्वळ नफा/(तोटा) | |||
| (अपवादात्मक आणि/किंवा विशेष साधारण बाबनंतर) | 93.09 | (389.33) | CC9.50 |
| कालावधीकरिता एकूण सर्वकष उत्पन्न | |||
| (कालावधीकरिता सर्वंकष नफा/(तोटा)(करानंतर) | |||
| आणि इतर सर्वंकष उत्पन्न (करानंतर)) | $Q\in\mathcal{E}$ | (898.85) | ९१५.४६ |
| समभाग भांडवल (दर्शनी मुल्य रु.५/– प्रती) | 9992.46 | 9992.46 | 9992.46 |
| उत्पन्न प्रतिभाग (रू.५/– प्रत्येकी) | |||
| (अखंडीत व खंडीत कार्यचलनाकरिता) | |||
| मूळ व सौमिकृत (रु.) | 0.93 | (9.0c) | 8.00 |
सेबी (लिस्टिंग ॲण्ड अदर डिस्क्लोजर रिक्वायरमेंट्स) रेग्युलेशन २०१५ च्या नियम ३३ अन्वये स्टॉक एक्सचेंजसह सादर करण्यात आलेली ३१.१२.२०१९ रोजी संपलेल्या तिमाही व नऊमाहीकरिता अलेखापरिक्षित वित्तीय निष्कर्षाचे सविस्तर नमुन्यातील उतारा आहे. ३१.१२.२०१९ रोजी संपलेल्या
तिमाही व नऊमाहीकरिता अलेखापरिक्षित वित्तीय निष्कर्षाचे संपूर्ण नमुना कंपनीच्या www.damodargroup.com आणि स्टॉक एक्सचेंजेसच्या www.bseindia.com व www.nseindia.com वेबसाईटवर उपलब्ध आहे.
| मंडळाच्या आदेशान्वये |
|---|
| दामोदर इंडस्ट्रीज लिमिटेडकरिता |
| सही / – |
| अरुणकुमार बियानी |
| अध्यक्ष (डीआयएन:०००१६५१९) |
SUCHITRA FINANCE & TRADING CO. LTD. ⑤危① CIN NO: L65910MH1981PLC234305
Regd. Off.: B/306-309, Dynasty Business Park, Opp. Sangam Cinema, Andheri (E), Mumbai- 400 059. Tel. No.: 022-61115222, Fax no.: 022-2822-7865. Email id: [email protected], Web: www.sftc.co.in
| Extract of Unaudited Standalone Financial Results for the quarter ended December 31, 2019 | ||||||
|---|---|---|---|---|---|---|
| (₹in Lakhs` | ||||||
| Ŝr. ۷o. |
Particulars | 3 months ended 31/12/2019 |
3 months ended 30/09/2019 |
Corresponding 3 Months ended 31/12/2018 in the previous year |
Year to date figures for the Current period ended 31/12/2019 |
Year to date figures for the corresponding previous period ended 31/12/2018 |
| (Unaudited) | (Unaudited) | (Unaudited) | (Unaudited) | (Unaudited) | ||
| Total Income | 532.55 | 540.34 | (714.32) | 1,637.16 | 1708.05 | |
| 2 | Net Profit (before Tax, Exceptional and/or Extraordinary items) |
317.44 | 297.18 | (1,481.07) | 903.69 | (637.01) |
| 3 | Net Profit before tax (after Exceptional and/or Extraordinary items) |
317.44 | 297.18 | (1,481.07) | 903.69 | (637.01) |
| 4 | Net Profit after tax (after Exceptional and/or Extraordinary items) |
255.40 | 211.03 | (1.244.09) | 670.94 | (637.01) |
| 5 | Total Comprehensive Income for the period [Comprising Profit / (Loss) for the period (after tax) and Other Comprehensive Income (after tax)] |
Nil | 28.81 | Nil | 28.81 | Nil |
| ĥ | Paid up Equity Share Capital | 932.25 | 932.25 | 932.25 | 932.25 | 932.25 |
| Other Equity | Nil | Nil | Nil | Nil | Nil | |
| 8 | Earnings Per Share (Before and after extraordinary item) (of Rs. 10/-each) (not Annualised) |
|||||
| 1. Basic (In Rs.): | 2.74 | 2.26 | (13.34) | 7.20 | (6.83) | |
| 2. Diluted (In Rs.): | 2.74 | 2.26 | (13.34) | 7.20 | (6.83) | |
| Note: 1 The above is an extract of the detailed format of quarterly ended Unaudited Financial Results filed with the Stock Exchanges under Regulation 33 of the SEBI (Listing and Other Disclosure Reguirements) Regulations, 2015. The full format of the quarterly Unaudited Financial Results are available on the Stock Exchange websites: www.bseindia.com and also on the website of the Company at www.sftc.co.in. |
FOR AND ON BEHALF OF BOARD OF DIRECTOR For Suchitra Finance & Trading Co. Ltd. Sd/- |
|||||
| Place: Mumbai Date: 14th February, 2020 |
ANJANA SONI THAKUR Whole Time Director, DN: 00401469 |
| NIDHI MERCANTILES LIMITED Regd. Off: B/306-309, Dynasty Business Park, Opp. Sangam Cinema, Andheri(E), Mumbai-59. Tel. No. 022-61115222, Fax no.022-28227865, Email id: [email protected], Web: www.nidhi.net.in. |
CIN NO. L51909MH1985PLC138577 | ||||||
|---|---|---|---|---|---|---|---|
| Statement of Unaudited Financial Results for the Quarter Ended 31st December, 2019 | (Rs. In Lakhs) | ||||||
| Sr. No. |
Particulars | 3 months ended 31/12/2019 |
Preceeding 3 months ended 30/09/2019 |
Corresponding 3 Months ended in the previous year 31/12/2018 |
Nine Months ended 31/12/2019 |
Corresponding Nine Months Ended 31/12/2018 |
Year ended 31/03/2019 |
| (Unaudited) (Unaudited) | (Unaudited) | (Unaudited) | (Unaudited) | (Audited) | |||
| Total Income | 197.60 | 94.49 | 148.12 | 408.83 | 312.85 | 717.87 | |
| $\overline{2}$ | Net Profit / (Loss) for the period (before Tax, Exceptional and/or Extraordinary items) |
134.20 | 54.33 | 102.06 | 246.55 | 172.82 | 372.64 |
| 3 | Net Profit / (Loss) for the period before tax (after Exceptional and/or Extraordinary items) |
134.20 | 54.33 | 102.06 | 246.55 | 172.82 | 372.64 |
| 4 | Net Profit / (Loss) for the period after tax (after Exceptional and/or Extraordinary items) |
119.30 | 41.98 | 89.89 | 204.28 | 134.00 | 275.82 |
| 5 | Total Comprehensive Income for the period [Comprising Profit/(Loss) for the period (after tax) and Other Comprehensive Income (after tax)] |
1,224.00 | (610.78) | 482.26 | (5.14) | (2,373.23) | (2,342.56) |
| 6 | Paid up equity share capital (face value of Rs. 2/- per share) |
125.61 | 125.61 | 125.61 | 125.61 | 125.61 | 125.61 |
| $\overline{7}$ | Earning per share (before extraordinary item) of Rs. 2/-each (*Not annualised) 1. Basic: |
*1.90 | $*0.67$ | $*1.43$ | $*3.25$ | $*2.13$ | $*4.39$ |
| 2 Diluted: | $*1.90$ | $*0.67$ | $*143$ | $*3.25$ | $*213$ | *4.39 |
Director
DIN: 00009660
| अल्का इंडिया लिमिटेड | |
|---|---|
| सीआयएन:एल९९९९९एमएच१९९३पीएलसी१६८५२१, जीएसटी: २७एएबीसीए६७०२एफ१झेड२ | |
| नोंदणीकृत कार्यालय: युनिट क्र.१०२, १ला मजला, मोर्या लॅण्डमार्क २, न्यु लिंक रोड, |
| πक्रवित |
|---|
| रु.लाखा |
| १ डिसेंबर, २०१९ रोजी संपलेल्या तिमाही व नऊमाहीकरिता अलेखापरिक्षित निष्कर्ष |
| ई-मेल: [email protected] वेबसाईट: www.alkaindia.in |
| इन्फिनीटी मॉलजवळ, मुंबई-४०००५३. दूर.:०२२-४९७२०३६७९, |
| नादणाकृत कार्यालय: युनिट फ्र.९०१, ९ला मजला, माया लण्डमाक २, न्यू ालक राड, |
| तपशिल | संपलेली | संपलेली | संपलेले | |
|---|---|---|---|---|
| तिमाही | तिमाही | ९ महिने | ||
| 89.99.99 | 39.99.86 | 39.97.99 | ||
| १ | कार्यचलनातून महसूल | |||
| २ | इतर उत्पन्न | |||
| ₹ | एकूण उत्पन्न (१+२) | |||
| $\mathsf{x}$ | खर्च | |||
| अ. कर्मचारी लाभार्थी खर्च | 5.8g | 0.80 | X.8X | |
| ब. वित्तीय खर्च | 0.08 | 38.0 | ||
| क. घसारा व वसुलीयोग्य खर्च | २.५८ | |||
| ड. इतर खर्च | २.७१ | २.१७ | 80.00 | |
| एकूण खर्च (४) | ५.१८ | 43.9 | १५.०० | |
| ५ | कर व अपवादात्मक बाबपुर्व नफा/(तोटा) (३–४) | $39.7 -$ | $-4.84-$ | $-94.00$ |
| ٤ | अपवादात्मक बाब | |||
| Гe | कर व अपवादात्मक बाबनंतर नफा/(तोटा) (५–६) | $-4.86$ | $-4.54$ | $-84.00$ |
| $\epsilon$ | कर खर्च: | |||
| चाल कर | ||||
| स्थगित कर | ||||
| 6 | कालावधीकरिता नफा/(तोटा) | $-4.86$ | $-4.84$ | $-84.00$ |
| ş٥ | डतर सर्वंकष उत्पन्न | |||
| ११ | कालावधी/वर्षाकरिता एकूण सर्वंकष उत्पन्न (९+१०) | |||
| कालावधीकरिता एकत्रित नफा/(तोटा) | $-4.86$ | $-4.84-$ | $-84.00$ | |
| १२ | भरणा केलेले समभाग भांडवल | |||
| दर्शनी मुल्य रु.१/- प्रती | 29.883 | 39.883 | 29.5853 | |
| 68 | उत्पन्न प्रतिभाग (रु.१/- प्रती) | |||
| मूळ | $-0.00$ | $-0.00$ | $-0.00$ | |
| सौम्यिकृत | $-0.00$ | $-0.00$ | $-0.00$ |
.
सेबी (लिस्टिंग ऑब्लिगेशन्स ॲण्ड डिस्क्लोजर रिकायरमेंट्स) रेग्युलेशन २०१५ च्या नियम ३३ अन्वये स्टॉक एक्सचेंजकड़े सादर करण्यात आलेली ३१ डिसेंबर ,२०१९ रोजी संपलेल्या तिमाही व नऊमाहीकरिता .
अलेखापरिक्षित एकत्रित वित्तीय निष्कर्षाचे सविस्तर नमुन्यातील उतारा आहे. वित्तीय निष्कर्षाचे संपूर्ण नमुन कंपनीच्या www.alkaindia.in आणि स्टॉक एक्सचेंजच्या www.bseindia.com वेबसाईटव उपलब्ध आहे
| अल्का इंडिया लिमिटेडकरित | |
|---|---|
| सही/- | |
| रमाकांत शर्मा-संचालव | |
| डीआयएन: ०३६३६३८५ |
रॉयल इंडिया कॉर्पोरेशन लिमिटेड
सीआयएन: एल४५४००एमएव१९८४पीएलसी०३२२७४
नोंदणीकृत कार्यालयः ६२, ६वा मजला, सी-विंग, मित्तल टॉवर, नरिमन पॉईंट, मुंबई, महाराष्ट्र – ४०० ०२१. ई-मेल: [email protected] वेबसाईट: www.ricl.in
ठिकाण: मुंबई
$\overline{R}$ aigs: $23.02.20$
३१.१२.२०१९ रोजी संपलेल्या तिमाहीकरीता अलेखापरिक्षित वित्तीय निष्कर्ष
| ( જ.ભાखાત) | |||
|---|---|---|---|
| संपलेली तिमाही | संपलेली तिमाही | संपलेली तिमाही | |
| तपशील | 39.92.2099 30.09.2099 अलेखापरिक्षित अलेखापरिक्षित अलेखापरिक्षित |
39.92.2096 | |
| कार्यचलनातून एकूण उत्पन्न | 883.36 | 99963.96 | 934.08 |
| कालावधीकरिता निव्वळ नफा/(तोटा) (कर, अपवादात्मक आणि/किंवा विशेष साधारण बाबपूर्व°) | (388.09) | (96.39) | (२०५.३३) |
| करपूर्व कालावधीकरिता निव्वळ नफा/(तोटा) (अपवादात्मक आणि/किंवा विशेष साधारण बाबपूर्व*) | (388.04) | (96.39) | (204.33) |
| करानंतर कालावधीकरिता निव्वळ नफा/(तोटा) (अपवादात्मक आणि/किंवा विशेष साधारण बाबनंतर*) | (388.04) | (96.39) | (२०५.३३) |
| कालावधीकरिता एकूण सर्वकष उत्पन्न (कालावधीकरिता सर्वकष नफा/(तोटा)(करानंतर) आणि इतर | |||
| सर्वकष उत्पन्न (करानंतर)) | (388.104) | (9c.39) | (२०५.३३) |
| समभाग भांडवल | 2306.00 | 2306.00 | 2306.00 |
| राखीव (मागील लेखावर्षाच्या ताळेबंदपत्रकात दिल्यानुसार पुनर्मूल्यांकित राखीव वगळून) | (८०२.५९) | (840.68) | (१९२.७४) |
| उत्पन्न प्रतिभाग (खंडीत व अखंडीत कार्यचलनाकरिता) | |||
| मूळ सौमिकृत |
(१.४९) | (0.0c) | (0.CP) |
| (१.४९) | (0.0C) | (0.08) | |
।
१. सेबी (लिस्टिंग ऑब्लिशन्स ॲण्ड डिस्क्लेजर रिक्वायर्सेट्स) रेप्युलेशन २०१५ च्या नियम ३३ अन्वये स्टॉक एससेकेस
संपलेल्या तिमाहीकरिता त्रैमासिक् वितीय निष्कावि सविस्तर नमुन्यातील उतारा आहे. त्रैमासिक वितीय निष्कार्य संस्क असंस्था गराएकमध्य स्वाधिक स्थान । न्यान जस्मध्य सु चराहर ज्यात जाह स्वाधिक मध्य । न्यान घट्टा सु ॥ ९०% स्वाचनचा ॥ ॥ ॥ २०००
व कंपनीच्या ॥ ॥ ॥ ॥ । ॥ वेसाईट्स उपलब्ध आहे.
२. निव्वळ नफा/तोटावरील् प्रभाव्, एकूण सर्वकष उत्पन्न
-
अपवादात्मक आणि/किंवा विशेष साधारण बाब हे लागु असेल तेथे इंड–एएस रुल्स/एएस रुल्सनुसार नफा व तोटा अहवालात नमुद केले आहे
| ત્તવાળવે નજીળાવ્યા પતાન પંચાંતતા. | |
|---|---|
| सही / – | |
| नितीन गजराल | |
| ठिकाण : मुंबई | व्यवस्थापकीय संचालक |
| दिनांकः १४,०२,२०२० | (डीआयएन: ०८१८४६०५) |
मास्ट्रोस इलेक्ट्रॉनिक्स ॲन्ड टेलिकम्युनिकेशन्स सिस्टीम्स लिमिटेड
प्लॉट क्र. ईएल/६६, टीटीसी इंडस्ट्रियल एरिया, इलेक्ट्रॉनिक झोन, महापे, नवी मुंबई-४००७१०, भारत सीआयएन: L74900MH2010PLC200254 ई-मेल आयडी: [email protected] वेबसाइट: http://maestroselectronics.con
३१.१२.२०१९ रोजी संपलेल्या तिमाहीकरीता अलेखापरिक्षीत वित्तीय निष्कर्षाचा अहवाल
| (रु.लाखात) | ||||||
|---|---|---|---|---|---|---|
| संपलेली तिमाही | संपलेली नऊमाही | संपलेले वर्ष | ||||
| तपगील | 39.99.99 अलेखापरिक्षित |
99.09.99 अलेखापरिक्षित |
39.99.96 अलेखापरिक्षित |
39.97.99 अलेखापरिक्षित |
39.97.96 अलेखापरिक्षित |
99.03.99 लेखापरिक्षित |
| परिचालनातून एकूण उत्पन्न | 880.88 | 388.88 | २३५.९६ | 8040.08 | 00.88 | 80.080. |
| कालावधीकरिता निव्वळ नफा/(तोटा)(कर, अपवादात्मक व/वा विशेष बाबीपूर्व) | 39.019 | २४.१९ | 3.96 | 66.66 | २४.८७ | 30.78 |
| करपर्व कालावधीकरिता निव्वळ नफा/(तोटा) (अपवादात्मक व/वा विशेष बाबीपश्चात) |
39.09 | २४.१९ | 3.96 | 66.66 | २४.८७ | 39.98 |
| करपश्चात कालावधीकरिता निव्वळ नफा/(तोटा) (अपवादात्मक व/वा विशेष | ||||||
| बाबीपश्चात) | 33.08 | (२३.५३) | २.५९ | २८.८८ | 0.5.0 | 33.3% |
| कालावधीकरिता एकूण सर्व समावेशक उत्पन्न (कालावधीकरिता (करपश्चात) | ||||||
| (नफा/(तोटा) अन्य सर्वसमावेशक उत्पन्न (करपश्चात) समाविष्ट) | 33.08 | (२३.५३) | २.५९ | २८.८८ | 0.50 | 33.3% |
| समभाग भांडवल | 89.98 | 89.88 | 89.98 | 89.98 | 89.98 | 89.98 |
| राखीव (गत वर्षाच्या लेखापरीक्षित ताळेबंदामध्ये दर्शविल्यानसार पनर्मल्यांकन | ||||||
| राखीव वगळता) | 0 | 0 | 0 | 0 | $\theta$ | |
| उत्पन्न प्रति शेअर (प्रत्येकी रु.१०/-) (अखंडित व खंडित परिचालनाकरिता) | ||||||
| मूलभूत | 0.196 | (0.84) | 0.04 | 0.44 | 0.08 | 0.1919 |
| सौम्यीकृत | 0.106 | (0.84) | 0.04 | 0.44 | 0.03 | 0.95 |
| टीपा: |
. वरील वित्तीय निष्कर्षाचे लेखासमितीद्वारे पुनर्विलोकन करण्यात आले आणि १४ फेब्रुवारी, २०२० रोजी झालेल्या संचालक मंडळाच्या सभेत मान्य करण्यात आले.
. मागील वित्तीय कालावधीचे आकडे जेथे आवश्यक आहेत तेथे पुर्नगठीत करण्यात आले.
दिनांक : १६.०२.२०२०
ठिकाण : नवी मुंबई
| क. वस्तुंच्या विक्रीवरील उत्पादन शुल्क | ||||||
|---|---|---|---|---|---|---|
| ड. सर्वसाधारण प्रशासकीय खर्च | १२४.७१ | ६३.२२ | 48.60 | २९३.२० | 38.339 | 335.96 |
| ई. विक्री व वितरण खर्च | 30.08 | 38.36 | 95.59 | ११५.१८ | 888.98 | २५१.२८ |
| फ. घसारा व वसुलीयोग्य खर्च | 56.83 | २७.६२ | 86.84 | 18.30 | ५४.५५ | \$00.63 |
| ग. वित्तीय खर्च | 40.88 | 84.86 | ९८.२१ | १३८.७५ | १५७.३० | २२२.९९ |
| ह. इतर खर्च | 44.52 | 33.53 | १२२.१७ | |||
| एकूण खर्च | ५९०९.१८ | 83.0983 | 95.9900 | 39.32039 | २१४१४.१७ | ३५००९.३६ |
| अपवादात्मक बाब व करपुर्व नफा | १४०.२१ | 979.56 | १५५.४३ | 03.20% | ५८०.६३ | 83.595 |
| अपवादात्मक बाब | ||||||
| करपुर्व नफा | ||||||
| कर खर्च: | ||||||
| अ. चालु कर | (384.00) | |||||
| ब. स्थगित कर | (१९.४२) | |||||
| वर्षकरिता नफा | १४०.२१ | १२९.६८ | 844.83 | 03.20% | ५८०.६३ | ६५४.१८ |
| इतर सर्वंकष उत्पन्न | ||||||
| बाब जे नफा किंवा तोटामध्ये तद्नुसार पुनवर्गिकृत नाही | ||||||
| अ. बाब जे नफा व तोटामध्ये वर्गिकत नाही | ||||||
| ब. आयकर संबंधी बाब जे नफा किंवा तोटामध्ये तदनुसार | ||||||
| पुनवर्गिकृत नाही | ||||||
| वर्षाकरिता एकूण सर्वंकष उत्पन्न | 880.28 | १२९.६८ | 844.83 | 03.20% | ५८०.६३ | ६५४.१८ |
| उत्पन्न प्रतिभाग | ||||||
| अ. मूळ ईपीएस | 0.5.0 | 0.44 | 33.0 | २.०५ | 78.5 | 9.60 |
| ब. सौम्यिकृत ईपीएस | 0.5.0 | 0.44 | 33.0 | 9.04 | 78.5 | 9.60 |
| भागांची संख्या | 53308208 | 53358558 | 50008608 | 53358455 | 50008608 | 53308208 |
| भागधारणेची टक्केवारी | 800.00% | 800.00% | 800.00% | 800.00% | 800.00% | 800.00% |
| ۱۳۵۰ - |
.
वरील निष्कर्ष हे भारतीय लेखाप्रमाण (इंड-एएस) नुसार पुनर्नमुद केले आणि १४ फेब्रुवारी, २०२० रोजी झालेल्या संचालक मंडळाच्या सभेत लेखासमितीद्वारे मान्य करून नोंदपटावर घेण्यात आले
.
गुतवणुकदारांच्या तक्रारीची स्थिती: ०१.१०.२०१९ रोजी प्रारंभी शिल्लक-शून्य, तिमाहीदरम्यान प्राप्त-शून्य, तिमाहीदरम्यान निवारण-शून्य, ३१.१२.२०१९ रोजी .
शिल्लक-शून्य.
मागील वर्ष/कालावधीचे आकडे आवश्यक तेथे पुर्नगठीत केले.
संचालक मंडळाच्या आदेशान्व सही,
मीहीर आर. घटाली
सही / जिमीत शाह
व्यवस्थापकीय संचालक
Place: Mumbai
Date: 14th February, 2020
.
व्यवस्थापकीय संचाल
ठिकाण: ताराप् देनांक: १४.०२.२०२०

CIN:L45209MH1981PLC023923 नोंदणीकृत कार्यालयः ४०४, देव प्लाझा, प्लॉट ६८, एस.व्ही. रोड,
अंधेरी (प.), मुंबई-४०००५८. दूर.:+९१-२२-४२२३३३३३, फॅक्स: +९१-२२-४२२३३३०० वेबसाईट: www.zodiacventures.in ई-मेल: [email protected]
३१ डिसेंबर, २०१९ रोजी संपलेल्या तिमाहीकरिता एकमेव व एकत्रित अलेखापरिक्षित वित्तीय निष्कर्षाचा अहवाल (रु.लाखात
| एकमेव | एकत्रित | |||||
|---|---|---|---|---|---|---|
| अ. | तपशील | संपलेली तिमाही | संपलेली तिमाही | संपलेले ९ महिने सिपलेली तिमाही सिपलेले ९ महिने | ||
| क्र. | 39.92.98 | 39.92.96 | 39.92.98 | 39.92.98 | 39.92.98 | |
| अलेखापरिक्षित | अलेखापरिक्षित | अलेखापरिक्षित | अलेखापरिक्षित | अलेखापरिक्षित | ||
| ٩. | कार्यचलनातून एकूण उत्पन्न | 4.00 | 55'00 | 55'00 | ||
| 5 | कालावधीकरिता निव्वळ नफा/(तोटा) | |||||
| (कर, अपवादात्मक आणि/किंवा विशेष साधारण बाबपूर्व) | (9.03) | (9c.60) | (99.35) | (9.34) | (8.43) | |
| 3 | करपूर्व कालावधीकरिता निव्वळ नफा/(तोटा) | |||||
| (अपवादात्मक आणि/किंवा विशेष साधारण बाबनंतर) | $($ ९.०३) | (9c.60) | (99.35) | (9.34) | (8.43) | |
| X | करानंतर कालावधीकरिता निव्वळ नफा/(तोटा) | |||||
| (अपवादात्मक आणि/किंवा विशेष साधारण बाबनंतर) | $($ ९.०३) | (9c.60) | (११.२६) | (3.0c) | (9.48) | |
| Ч | करानंतर कालावधीकरिता एकूण सर्वकष उत्पन्न | (9.03) | (9c.60) | (११.२६) | (3.0c) | (७.५४) |
| ξ. | समभाग भांडवल | 302.90 | 302.90 | 302.90 | 302.90 | 302.90 |
| G | राखीव (पुनर्मूल्यांकित राखीव वगळून) मागील वर्षाच्या | |||||
| लेखापरिक्षित ताळेबंदपत्रकात दिल्यानुसार | ||||||
| $\epsilon$ | उत्पन्न प्रतिभाग (रू.१/- प्रत्येकी) | |||||
| मूळ | (0.03) | (0.04) | (0.03) | (0.03) | (0.03) | |
| सौमिकृत | (0.03) | (0.04) | (0.03) | (0.03) | (0.03) | |
| टिप∙ |
सेबी (लिस्टिंग ॲण्ड अदर डिस्क्लोजर रिक्वायरमेंट्स) रेग्युलेशन २०१५ च्या नियम ३३ अन्वये स्टॉक एक्सचेंजसह सादर करण्यात आलेली त्रैमासिक वित्तीय निष्कर्षाचे सविस्तर नमुन्यातील उतारा आहे. त्रैमासिक वित्तीय निष्कर्षाचे संपूर्ण नमुना कंपनीच्या www.zodiacventures.in वेबसाईटवर आणि बीएसई स्टॉक एक्सचेंजच्या www.bseindia.com वेबसाईटवर उपलब्ध आहे. .
झोडियाक व्हेंचर्स लिमिटेडकरित
The above results which are published in accordance with Regulation 33 of the SEBI (Listing Obligations & Disclosure The quirements), Regulation 2015 have been reviewed by the Audit Committee and approved by the Board of Directors
at their meeting held on 14th February, 2020. The financial results are in accordance with the Indian Accoun Standards (Ind-AS) as prescribed under Section 133 of the Companies Act, 2013, read with relevant Rules thereunder.
These results have been subjected to a limited review by the Statutory Auditors of the Company. The full f Financial Results are available on the Website of the Stock Excahange and on Companies Website www.nidhi.net.in 2 Figures of the previous periods have been regrouped/recast/reclassified wherever considerd necessary.
For and on Behalf of Board of Directors For Nidhi Mercantiles Ltd. Seial Sagar Modi Managing Director
Managing Director
DIN: 06684211
न्युट्राप्लस इंडिया लिमिटेड
-------------------------------------. दूर.क.:(०२२) ४०१४०४४२,
३१ डिसेंबर, २०१९ रोजी संपलेल्या तिमाही व नऊमाहीकरिता अलेखापरिक्षित वित्तीय निष्कर्षाचा अहवार
| (रु.लाखात) | |||||||
|---|---|---|---|---|---|---|---|
| 31. | संपलेली तिमाही संपलेली तिमाही संपलेली तिमाही संपलेले ९ महिने | संपलेले ९ महिने | संपलेले वर्ष | ||||
| क्र. | तपशील | अलेखापरिक्षित | $39.92.2098$ $39.92.209c$ $30.08.2098$ $39.92.2098$ अलेखापरिक्षित |
अलेखापरिक्षित अलेखापरिक्षित | 39.92.2096 अलेखापरिक्षित |
39.03.2098 लेखापरिक्षित |
|
| १. कार्यचलनातून एकूण महसूल | 2980.90 | 8388.36 | 3888.06 | 9366.86 | 90363.96 | 98383.23 | |
| २. करपूर्व कालावधीकरिता निव्वळ नफा/(तोटा) | (७४.३०३) | 80.04 | 9.99 | (9463.33) | 982.30 | 338.70 | |
| 3. किरानंतर कालावधीकरिता निव्वळ नफा/(तोटा) | (१६०८.२३) | 80.04 | 4.49 | (१.५८५.१०) | 986.70 | 296.88 | |
| 8.1 | कालावधीकरिता एकूण सर्वकष उत्पन्न (कालावधीकरिता सर्वकष | ||||||
| नफा/(तोटा)(करानंतर) आणि इतर सर्वकष उत्पन्न (करानंतर)) | (१६०८.२३) | 80.04 | 4.49 | (१.५८५.१०) | 986.70 | 220.39 | |
| ५. भरणा केलेले समभाग भांडवल (समभाग रु.५ प्रत्येकी) | 9008.44 | 9008.44 | 9008.44 | 9008.44 | 9008.44 | 9008.44 | |
| ε. Ι | उत्पन्न प्रतिभाग (वार्षिकीकरण नाही) (रु.१० प्रती) | ||||||
| मूळ | (8.05) | 0.97 | 0.03 | (४.६५) | 0.88 | 0.88 | |
| सौमिकत | 8.05) | 0.92 | 0.03 | (४.६५) | 0.88 | 0.88 |
सेबी (लिस्टिंग ऑब्लिशन्स ॲण्ड डिस्क्लोजर रिक्रायरमेंट्स) रेप्युलेशन, २०१५ च्या नियम ३३ नुसार आणि कंपनी कायदा २०१३ च्या कलम १३३ सहयाचिता त्यातील
नियमाअंतर्गत विहितप्रमाणे भारतीय लेखाप्रमाण (इंडएएस) नुसार कंपनीचे अलेखापरिक्
वरील निष्कर्षाचे लेखसमितीद्वारे पुनर्विलोकन करण्यात आले आणि १४ फेब्रुवारी, २०२० रोजी झालेल्या संबलक मंडळाच्या समेत मान्य करण्यात आले. ज्याचे सेबी
(लिस्टिंग ऑब्लिगेशन्स ॲण्ड डिस्क्लोजर रिक्रायरमेंट्स) रेणुलेशन, २०१५ च्या न संबंधित कालावधीकरिता आकडे तुलनायोग्य करण्यासाठी पुर्नगठीत/पुर्ननमुद करण्यात आले.
.
कंपनीचे सर्व कार्यचलन एकमेव विभागात मोडले जाते अर्थात एक्टिव्ह फार्मास्युटिकल्स इनग्रेडीएन्टस (एपीआय)
णगमाव पर कारवलन एकमान मानात महत्व जाते जयात एकदर भानात्पुटुक्ल्ले क्रमअल्टन्त (एमआय).
कंपनीला महाराष्ट्र प्रदुषण नियंत्रण महत्व कार्य नौरान प्राप्त आरत्या करते वालुकर करनाते प्रदुष्ट करणात आले कर स
अवित्त कार्यवलन करता आल
र पर सम्मार कारण पर पर पर पर पर पर सम्मार कर रहा है। " पर सम्मार का सम्मार कर सम्मार करने कारण कर सम्मार करने क
वर ममुद केलेल्या परिच्छेदेमुळे कंपनीचे कार्यवलीत भांडवल कमी झाले आहे आणि त्यांचे रुपासी आले आहे. कंपनीला बैंक
न्युट्राप्लस इंडिया लिमिटेडकरिता |
|
|---|---|
| गण : मुंबई | सही / – मकेश नाडेक |
| क : १४.०२.२०२० | व्यवस्थापकीय संचालक |
| डीआयएन:००४१२८९६ |
संचालक मंडळाच्या वतीने व करिता मास्ट्रोस इलेक्ट्रॉनिक्स ॲन्ड टेलिकम्युनिकेशन्स सिस्टीम्स लिमिटेड -
बाळकृष्ण कमलाकर तेंडूलक .
व्यवस्थापकीय संचालक दिनांक : १४.०२.२०२० डीआयएन: ०२४४८११६ ठिकाण : मुंबई
| ZODIAC | |
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