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Skyline Millars Ltd — Interim / Quarterly Report 2020
Oct 30, 2020
63181_rns_2020-10-30_8d448559-7775-42fa-b1bc-2d96bc2a6e31.pdf
Interim / Quarterly Report
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SKYLINE MILLARS LIMITED Mirrars
29th October,2020
To, The Manager - Listing Department The BSE Limited PhirozeJeejeebhoy Towers, Dalal Street, Mumbai - 400 001.
Reference: - Skyline Millars Limited BSE Code - 505650
Dear Sir(s),
Sub:- Newspaper advertisement for Financial Result.
Pursuant to provisions of Regulation a7\$) of Securities and Exchange Board of Lrdia (Listing Obligations and Disclosure Requirements) Regulations, 2015, enclosed please find herewith .opi"r of newspaper advertisement in respcct of Un-Audited Financial Result for the second quarter and half year ended 30ft Septembet, 2020, published in the following Newspapers:
-
- Business Standard, on 29ft October, 2020 and
-
- Tarun Bharat, on 29ft October,2020.
We request you to kindly take the same on record.
Yours truly,
For Skyline Millars Limited
HARDIK SHAH Digitally signed by NEELAM HARDIK SHAH Date: 2020.10.28 15:49:26 +05'30'
Neelam Shah Company Secretary Encl.: as above

Sales Office : C/2, Skyline Welthspace, Gate No. 2, Skyline Oasis, Premier Road, Vidyavihar (w), Mumbai - 400 086. TeL : (022) 2511 2194 / 95

BALA JI AMINES LIMITED
(An ISO 9001:2015 Company ) CIN: L24132MH1988PLC04938 7
Regd. Office: 'Balaji Towers', No. 9/1 A/1, Hotgi Road, Aasara Chowk, Solapur - 413 224
EXTRACT OF STANDALONE & CONSOLIDATED UNAUDITED FINANCIAL RESULTS FOR THE QUARTER AND HALF YEAR ENDED SEPTEMBER 30, 2020
| (Rs. in Lakhs) | |||||||||||||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Standalone Consolidated |
|||||||||||||
| SI. | Particulars | Quarter Ended | Half Year Ended | Year Ended |
Quarter Ended | Half Year Ended | Year Ended |
||||||
| No. | 30.09.2020 30.06.2020 30.09.2019 30.09.2020 30.09.2019 31.03.2020 30.09.2020 30.06.2020 30.09.2019 30.09.2020 30.09.2019 31.03.2020 | ||||||||||||
| (Unaudited) (Unaudited) (Unaudited) (Unaudited) (Unaudited) (Audited) (Unaudited) (Unaudited) (Unaudited) (Unaudited) (Unaudited) (Audited) | |||||||||||||
| 1 Total Income from Operations | 28328.43 21296.55 23327.76 49624.98 46700.76 92931.69 28307.24 22418.58 22871.56 50725.82 45309.86 94078.56 | ||||||||||||
| 2 Net Profit / (Loss) for the period (before Tax, Exceptional and / or Extraordinary items) |
6407.50 | 4658.81 | 3899.21 11066.31 | 7073.75 | 15371.41 | 5971.23 | 4225.37 | 3122.98 10196.60 | 6118.42 | 13110.36 | |||
| 3 Net Profit / (Loss) for the period before tax (after Exceptional and / or Extraordinary items) |
6407.50 | 4658.81 | 3899.21 11066.31 | 7073.75 | 15371.41 | 5971.23 | 4225.37 | 3122.98 10196.60 | 6118.42 | 13110.36 | |||
| 4 Net Profit / (Loss) for the period after tax (after Exceptional and/or Extraordinary items) |
4766.16 | 3465.31 | 3470.95 | 8231.47 | 5467.10 | 11375.31 | 4420.18 | 3158.09 | 2874.17 | 7578.27 | 4722.12 | 9747.03 | |
| 5 Total Comprehensive Income for the period [Comprising Profit / (Loss) for the period (after tax) and Other Comprehensive Income (after tax)] |
4766.16 | 3465.31 | 3470.95 | 8231.47 | 5467.10 | 11375.31 | 4420.18 | 3158.09 | 2874.17 | 7578.27 | 4722.12 | 9747.03 | |
| 6 Equity Share Capital | 648.02 | 648.02 | 648.02 | 648.02 | 648.02 | 648.02 | 648.02 | 648.02 | 648.02 | 648.02 | 648.02 | 648.02 | |
| 7 Reserves (excluding Revaluation Reserve) as shown in the Audited Balance Sheet of the previous year |
66116.02 66116.02 56852.02 66116.02 56852.02 56852.02 | 65166.11 65166.11 56753.24 | 65166.11 56753.24 56797.69 | ||||||||||
| 8 Earnings Per Share (of Rs. 21- each) (for continuing and discontinued operations) - |
|||||||||||||
| 1. Basic | 14.71 | 10.70 | 10.71 | 25.41 | 16.87 | 35.11 | 14.12 | 10.17 | 9.70 | 24.30 | 15.61 | 32.34 | |
| 2. Diluted | 14.71 | 10.70 | 10.71 | 25.41 | 16.87 | 35.11 | 14.12 | 10.17 | 9.70 | 24.30 | 15.61 | 32.34 |
Notes: 1 The above unaudited results, as reviewed by the Audit Committee, were considered, approved and taken on record by the Board of Directors at their meeting held on October 28,2020.
2 The above is an extract of the detailed format of Financial Results filed with the Stock Exchanges under Regulation 33 of the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015. The full format of the Financial Results is available on the stock exchange websites, www.nseindia.com and www.bseindia.com and on the Company's website www.balajiamines.com.
By the order of Board for Balaji Amines Limited Sd /- Date : 28/10/2020 A. Prathap Reddy
Place: Secunderabad Executive Chairman
SKYLINE MILLARS LIMITED
CIN: L63020MH1919PLC000640
Regd. Office: 4th Floor, Churchgat e House, 32 - 34, Veer Nariman Road, Fort, Mumbai- 400 001. www.skylinemillarsltd.co m
STATEMENT OF UNAUDITED FINANCIAL RESULTS FOR THE QUARTER ENDED 30TH SEPT, 2020
| As at As at Quarter Ended Half Year Ended Year Ended Particulars Particulars 30/09/2020 31/03/2020 30/09/2020 30/06/2020 30/09/2019 30/09/2020 30/09/2019 31/03/2020 (Unaudited) (Audited) (Unaudited) (Unaudited) (Unaudited) (Unaudited) (Unaudited) (Audited) Income Assets (a) Revenue from Operations (Gross) 193.68 0.00 166.93 193.68 345.95 379.61 Non-current assets (b) Other Income 39.61 8.61 3.65 48.22 4.15 36.24 121.22 Property, Plant and Equipment 28.86 1. Total Income 233.29 8.61 170.58 241.90 350.10 415.85 Investment Property 37.77 38.09 Expenses Other Intangible assets - - (a) Cost of materials consumed 0.00 0.00 (0.00) 0.00 0.00 - (b) Purchases of stock-in-trade 0.00 0.00 0.00 0.00 Financial Assets - - (c) Changes in Inventories of Finished Goods, (i) Non-current investments 0.58 0.54 Work-in-Progress & Stock-in-Trade 20.23 0.00 20.23 10.83 40.71 (ii) Trade receivables - - - (d) Cost of Construction 0.00 0.00 (0.00) (iii) Loans 65.81 65.81 - - - (e) Employee benefits expense 7.66 6.45 9.42 14.11 19.21 36.19 (iv) Other financial assets 189.44 226.18 (f) Finance Cost 0.06 0.05 0.11 0.00 0.03 - (g) Depreciation and amortisation expense 0.67 0.75 0.64 1.42 1.40 2.68 Deferred tax assets (net) 105.65 68.85 (h) Other expenses 19.91 7.50 51.24 27.41 83.89 147.97 2. Total Expenses 48.53 14.75 61.30 63.28 115.33 227.58 Other non-current assets 29.84 81.68 3. Profit /(Loss) before exceptional items and tax (1-2) 184.76 (6.14) 109.28 178.62 234.77 188.27 Total Non-Current Assets 4. Exceptional items 457.96 602.36 5. Profit / (Loss) before tax (3-4) 184.76 (6.14) 109.28 178.62 234.77 188.27 Tax Expense Current assets a) Current Tax Inventories 1298.16 1317.46 - - - - - - b) (Excess)/Short Tax Provision of earlier years (0.19) 0.32 (0.19) 0.32 (0.11) - c) Deferred Tax Financial Assets - - - - - - 6.Total Tax Expenses (0.19) 0.32 0.32 (0.19) (0.11) (I) Trade and other receivables 11.50 13.22 - 7.Profit / (Loss) for the period from continuing (ii) Cash and cash equivalents 67.30 57.46 operations (5-6) 184.95 (6.14) 108.96 178.81 234.45 188.38 (iii) Bank balances other than (ii) 500.50 329.67 8.Loss from discontinuing operations (3.92) (3.98) (50.37) (7.90) (82.58) (93.57) (iv) Loan 0.41 0.33 9.Tax expenses of discontinuing operations - - - - - - 10.Loss from discontinuing operations (8-9) (3.92) (50.37) (93.57) Assets for current Tax (Net) (3.98) (7.90) (82.58) - - 11 .Profit / (Loss) for the period (7+10) 181.03 (10.12) 58.59 170.91 151.87 94.81 Other Comprehensive Income (Net on Tax) Assets classified as Held for sale 396.33 310.26 A. Items that will not be reclassified to Profit & Loss (0.02) 0.05 (0.75) (0.03) (0.87) (0.93) 12.Total other Comprehensive Income (0.02) 0.05 (0.75) (0.03) (0.87) (0.93) Other current assets 37.90 37.96 13.Total Comprehensive Income for the period (11+12) 181.02 (10.08) 57.84 170.94 151.00 93.88 2312.10 2066.35 14.Paid up Equity Share Capital (Face Value Re 1/- each) 402.24 402.24 402.24 402.24 402.24 402.24 Total Assets 2770.05 2668.71 15. 'Reserves excluding Revaluation Reserves as per Balance Sheet of the previous accounting year 2045.07 EQUITY AND LIABILITIES 16.Earnings per Share EPS Equity (a) Earning per share Basic & Diluted (in Rs) 402.24 402.24 (a) Equity Share capital (For continuing operations) (not annualised) (0.02) 0.27 0.44 0.47 (b) Other Equity 0.46 0.58 2215.75 2045.07 (b) Earning per share Basic & Diluted (in Rs) Total Equity 2617.99 2447.31 (For discontinuing operations)(Not annualised) (0.01) (0.01) (0.02) (0.21) (0.23) (0.13) (c) Earning per share Basic & Diluted (in Rs) NON-CURRENT LIABILITIES (For total operations) (Not annualised) 0.45 (0.03) 0.15 0.42 0.38 0.24 Financial Liabilities (i) Other financial liabilities - non current 19.26 19.15 Notes: Other non-current liabilities 30.90 31.00 1 .The above results have been reviewed by the Audit Committee and approved by the Board of Directors at their respective meetings Provisions 80.53 held on October 28,2020. The Statutory Auditors have carried out a Limited Review of the results for Half Year ended 30th September - 2020. Liabilities for Non Current Tax (Net) 0.00 2. The above results have been prepared in accordance with Companies (Indian Accounting Standards) Rules, 2015 find As') - Drescribed under section 133 of the ComDanies Act.2013. read toaether with rule 3 of the ComDanies /Indian Accountina Standards/ Rules, 2015 and Companies (Indian Accounting Standards) (Amendment) Rules, 2016. Total Non-current Liabilities 50.16 130.69 3. The Company has considered possible impact of known events arising from COVID19 pandemic on the carrying amount of assets in the preparation of financial statements. However, the impact assessment of COVID 19 is a continuing process given the uncertainties Current Liabilities associated with its nature and duration. The company will continue to monitor any material changes to future economic conditions. Financial Liabilities The Company has consider the internal and external source of information including economic forecasts and industry reports up to the date of approval of the financial statements in determining the impact on various elements of its financial statements. The (i) Short Term Borrowing - - Company has use the principles of prudence in applying judgements, estimates and assumptions including sensitivity analysis and (ii) Trade and other payables base on the current estimates, the company does not have any material impact due to covid-19 outbreak. The eventual outcome of impact of the global health pandemic may be different from those estimated as on date of approval of these financial statements. Total outstanding dues of micro enterprises 4. During the Current Quarter, The management of the Company has decided to discontinue one of the division at Umreth vide Board and small enterprises Resolution dated 24th August,2020. 5. The Company is primarily engaged in Real Estate business and after discontinuation of Umreth division there is only one reportable Total outstanding dues of creditors other than segment. micro enterprises and small enterprises 0.08 6. Figures forthe previous periods have been re-grouped / re-arranged wherever necessary. (iii) Other financial liabilities 15.12 22.60 Other current liabilities 0.54 24.64 Current Tax Liability 86.23 43.40 Provisions - For and on behalf of Board of Directors sd /- Total Current Liabilities 101.90 90.72 Maulik Dave Place: Mumbai DIN No 01448536 Date : 28/10/2020 Whole time Director Total Equity and Liabilities 2770.05 2668.71 |
(Rupee s in Lakhs) | (Rupee s in Lakhs) | |||||||||
|---|---|---|---|---|---|---|---|---|---|---|---|
PUBLIC NOTICE Notice is hereby given that the Flat share certificate nos. 31 to 40 & Shop shares
certificate nos. 261 to 270 of New Ankita Co.Op HSG. Society Ltd., Agashi Virar-401301 standing in the name of Mr. Mahendra B. Kharat have been reported lost/misplaced & an application has been made for duplicate share certificate. The Society hereby invites claims or objections (in writing) for issuance of
duplicate share certificate within the period of 14 (fourteen) days from the publications are received during this notice. If no claims/ objections are received during this period the society shall be free to issue duplicate share certificate. Date: 29/10/2020
(Secretary)
Place: Palgha a r _ " _ . For & on Behalf of New Ankita Co.Op HSG. Society Sd /- Like us on: H facebook.com/WestemRly
WESTERN RAILWAY MODIFICATION OF OHE WORK e-Tender Notice No.: EL-TRD-W-118 - 20-21-10, Dated 26.10.2020. Nam e of Work : Modification of OH E wor k in connection with platform extension at Gholvad, Umbergaon, Sanjan, Bhilad, & Pard i statio n of Mumba i Divisio n Advertised value: ?46,88,673/-, EMD: ^93,800/-, Date & time of submission: 27.11.2020, 15.00 hrs. Date & time of opening : 27.11.2020 , 15.3 0 hrs . Regardin g detailed nature of work , containing cost of tender document(no n refundable), EM D eligibility criteria, similar nature of work , detailed tender conditions, please visit www.ireps.flov.in manual offers will not be considered. 3g 4
H.P. Cotton Textile Mills Ltd. Reg d Off: 15 * K.M . Stone , Delhi Road,
ended September 30, 2020.
VPOMayar.Hisar-12504 4 Phone: +91 (0)11 41540471 Fax: +91 (0)11 49073410 CIN : L18101HR1981PLC012274 Websit e :www.hpthreads.co m Notic e is hereb y give n tha t a meetin g of th e Boar d of Director s of Ado r Fontec h Limite d ha s bee n schedule d
www.hpthreads.com as well as website of Stock Exchange i.e. www.bseindia.com.
By order of the Board for H.P Cotton Textile Mills Ltd.
Shubham Jain
N e w Delh i
Company Secretary & 28.10.2020 Compliance Officer
NOTICE Notice is hereby given that, in terms of Regulation 29 read with regulation 47 of SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015, a meeting of the Board of Directors of the Company is scheduled to be held on Wednesday, the 04th day of November, 202 0 at 12:30 PM through Video Conferencing, inter-alia, to consider and approve the Un-audited Financial Results of the Company for the Quarter/Half year o n Friday , Novembe r 06 , 202 0 to conside r th e unaudite d financia l result s for th e quarte r an d half yea r ende d Septembe r 30 , 2020 . Als o schedule d o n th e sam e da y ar e th e meeting s of th e Committees . T h e approve d result s an d outcom e will b e uploade d o n th e websit e of th e Compan y at www.adorfon.co m an d als o o n th e websit e of BSE - Bomba y Stoc k Exchang e at www.bseindia.com .

NOTICE
The said information is also available on the website of Company i.e. Bengalur u Fo r Ado r Fontec h Ltd. O c t 28 , 202 0 Compan y Secretar y
MUKAT PIPES LIMITED Registered Office: Flat No. 39, Parag Apartments, 7th Floor, J.R Road, Versova, Andheri (West), Mumbai 400061. CIN: L27200MH1987PLC044407 Website: www.mukatpipes.com e mail: [email protected] Tel: 01762-225040, 325498 Fax: 01762-222390 NOTICE NOTICE is hereby give n Pursuan t t o Regulation 47 read with Regulation 29 (1) ( a) of SEBI (Listin g Obligatio n an d Disclosure Requirements ) Regulations, 2015, that the Meeting of Board of Directors of the Dompany will be held on Thursday,
5 ,h
November, 2020 inter alia to consider, approve and take on record the Unaudited Financial Results of the Company for the Quarter ended and half year ended SO"1 September, 2020 along with the Limited Review Report thereon by the Statutory Auditors of the Company. The said notice m ay be accesse d o n th e Company' s website at www.mukatpipes.com and also on the website of the Stock Exchange at
For MUKAT PIPES LIMITED
Sd/-
(RUPINDER SINGH AHLUWALIA) Place: Rajpun DIRECTOR Date: 27.10.2020 DIN: 01239483
BANNARI AMMAN SUGARS LIMITED Regd. Office :1212 Trichy Road, Coimbatore - 641 018, Tamilnadu. Tel: 0422-2204100, Fax: 0422-2309999 Web: www.bannari.com E-mail: [email protected], CIN : L15421TZ1983PLC001358 NOTICE Pursuant to Regulations 29(1) (a) and 47(1) (a) of the SEBI (Listing Obligation and Disclosure Requirements) Regulations, 2015, notice is hereby given that a meeting of the Board of Directors of the Company is scheduled to be held on Wednesday the 4th November, 2020 inter alia to consider and approve the unaudited financial results for the quarter and halfyear ended 30th September, 2020. This information is also on the websit e of the compan y https://www.bannari.com/lnvesto rlnformation.html as well as on the website of the stock exchanges viz., https://www.nseindia.com and https://bseindia.com For Bannarl Amman Sugars Limited Coimbatore C PALANISWAMY 28.10.2020 Company Secretary For m No. URC-2 Advertisement giving notice about registration under Part I of Chapter
XXI [Pursuant to section 374(b) of the companies Act, 2013 and rule 4(1) of the companies (Authorised to Register) Rules, 2014]
1. Notice is hereby given that in pursuance of sub-section (2) of section 366 of the Companies Act, 2013, an application is proposed to be made after fifteen days hereof but before expiry of thirty days herein after to the Registrar of Companies Mumbai, that a partnership firm named "OM OMEGA SHELTERS" may be registered under Part I of Chapter XXI of the Companies Act 2013, as a company limited by shares.
2. The principal objects of the company currently are as follows: Property development, real estate developers, Building Rehabilitation Work, Slum Redevelopment Work, Civil Construction and Consultation of civil Project Business.
| 3. A copy of the draft memorandum and articles of association of the |
|---|
| proposed company may be inspected at the office at 102/103, Smag |
| house, 1st floor plot no 157-A, Sarojini Road Extension, Oppst |
| Darshana Apt, VilleParle West, Mumbai- 400056 |
| 4. Notice is hereby given that any person objecting to this application may communicate their objection in writing to the Central Registration |
| Centre (CRC) Indian Institute of Corporate Affairs (IICA). Plot No. 6,7, |
- Centre (CRC) Indian Institute of Corporate Affairs (IICA). Plot No. 6,7, 8. Sector 5, IMT Manesar, District Gurgaon Pin Code-122050, within twenty one days from the date of publication of this notice, with a copy to the company at its registered office. Dated this 29th day of October, 2020. Name(s) of Applicant
- OM OMEGA SHELTERS THROUGH ITS PARTNERS M/s. PARINEE REALTY PRIVATE LIMITED & M/s. P D CONSTRUCTION PRIVATE LIMITED
| IN THE PUBLIC TRUST REGISTRATION OFFICE |
|---|
| GREATER MUMBAI REGION, MUMBAI Dharmadaya Ayukta Bhavan, 2n Floor, |
| Dr.Annie Besant Road, Worli, Mumbai-400 018 |
| Public Notice Of Inquiry |
| APPLICATION No ACC/ VI / 5767 / 2019 |
| Filed by shri Ajazhusain Esmailji Mandsaurwala |
| In the matter of "SHEIKH ABDUL RASUL TRUST" PTR No.E -6647 (Mumbai) |
| All Concerned having Interest:- |
| Whereas the reporting trustee of the above mentioned trust has filed change |
| report under section 22 Of the Maharashtra Public Trust Act 1950 For bringing the below described property on the record of the above named trust and an |
| inquiry is to be made by the Assistant Charity Commissioner Greater Mumbai Region, Mumbai Viz. |
| 1) Whether below mentioned property is the property of the trust and could be registered in the name of the trust |
| DESCRIPTION OFTHE PROPERTY |
| a) Gala No. C/2, Ground Floor, Situated at village:DOHALE, Taluka |
| Bhiwandi Dist: Thane in the Building Plot No.AB-2 in ANTARIKSH |
| LOGIPARK admeasuring 5084 sq.ft.built up area, survey No.118/2A, 119/1/B, 119/5 Total consideration Rs.1,17,65,500/- |
| This is to call upon you to submit your objections if any, in the matter before the Ld.Assistant Charity Commissioner, Greater Mumbai Region Mumbai at the |
| above address in person or by a pleader on or before 30 days from the date of |
| publication of this notice failing which the change report will be decided and |
| disposed off on its own merits. |
| Given under my hand and seal of the Hon'ble Charity Commissioner |
| Maharashtra State, Mumbai. Sd/ - This 20 day ofMonth of October 2020. |
| Superintendent |
| Public Trust Registration Office, |
| Greater Mumbai Region, Mumbai |
| POSSESSION NOTICE (for immovable property)Rule 8-(1) |
| Whereas, the undersigned being the Authorized Officer of IIFL Home Finance Limited (Formerly known as India Infoline |
| Housing Finance Ltd.)(IIHFL) under the Securitisation and Reconstruction of Financial Assets and Enforcement of Security Interest Act 2002 and in exercise of powers conferred under section 13(12) read with Rule 3 of the Security Interest |
| (Enforcement) Rules 2002, a Demand Notice was issued by the Authorised Officer of the company to the borrowers / co-borrowers mentioned herein below to repay the amount mentioned in the notice within 60 days from the date of receipt |
| of the said notice. The borrower having failed to repay the amount, notice is hereby given to the borrower and the public in general that the undersigned has taken possession of the property described herein below in exercise of powers conferred |
| on him under Section 13(4) of the said Act read with Rule 8 of the said rules. The borrower In particular and the public in general are hereby cautioned not to deal with the property and any dealings with the property will be subject to the charge |
| of IIHFL for an amount as mentioned herein under with interest thereon."The borrower's attention is invited to provisions |
| of sub-section (8) of section 13 of the Act, If the borrower clears the dues of the "IIHFL" together with all costs, charges and expenses incurred, at any time before the date fixed for sale or transfer, the secured assets shall not be sold or |
| transferred by "IIHFL" and no further step shall be taken by "IIHFL" for transfer or sale of the secured assets. Dat e o f Description of Secured Asset (Immovable Property) Name of the Borrower(s) Total Date of |
| Thane Branch Deman d Outstanding All that piece and parcel of Flat No. 80 4 Possession Dues (Rs.) Notic e |
| Mr. Sagar S Digwalekar, 8th Floor, A Wing, admeasuring 596. 3 Mrs. Jyoti Dhumale and Rs. Sq. Ft., "Parijat Tower " Tungava Village, 27-July 26-Oct |
| Mr Satish Digwalekar 88,74,158/- 202 0 Saki Vihar Lake Road, Andheri, Mumbai 202 0 (Prospect No 721491) |
| For, further details please contact to Authorised Officer at Branch Office :- Shop No. 5, Ground Floor, Lily Apartment, Parsi Agiary |
| Lane, Tembhi Naka, Charai, Thane West, Thane, Maharashtra 400601./Corporate Office : Plot No. 98, Phase-IV, Udyog Vihar, Gurgaon, Haryana. Place: Andheri Date: 29-10-2020 Sd/- Authorised Officer For IIFL Home Finance Limited (IIFL HFL) |
नाशिक
ਸ਼ੋਕਤ तरुण्रभारत www.mahamtb.com
अतिवृष्टीमुळे नुकसान झालेल्या पिकांचे सरसकट पंचनामे करून भरपाई द्यावी: आ. बोरसे
बागलाण तालुक्यात अतिवृष्टीमूळे पिकांसह रस्ते. पाझर तलाव याचे कोट्यवधी रुपयांचे नुकसान झाले आहे. राज्य शासनाने पिकांच्या नुकसानीचे सरसकट पंचनामे करून भरपाई द्यावी तसेच रस्ते व पाझर तलाव दुरुस्तीसाठी तत्काळ निधी उपलब्ध करून द्यावा, या मागणीसाठी आ. दिलीप बोरसे, भाजपचे जिल्हाध्यक्ष सूरेश निकम, किसान मोर्चाचे प्रदेश उपाध्यक्ष बिंदुशेठ शर्मा यांनी प्रांताधिकारी विजयकुमार भागरे यांची भेट घेत निवेदन दिले.
बागलाण तालुक्यात सप्टेंबर, ऑक्टोबर महिन्यात झालेल्या अतिवृष्टीमुळे सुमारे १४७ हन अधिक द्राक्ष उत्पादक शेतकऱ्यांचे ३५० हेक्टर क्षेत्रावरील द्राक्ष पीक नष्ट होऊन ७० कोटी रुपयांचे नुकसान झाले आहे. डाळिंब पिकाचेदेखील अति पावसामुळे खरडा पडून नुकसान झाले आहे. तसेच सुमारे १७०० हेक्टर वरील खरीप कांदा, ३१०० हेक्टर क्षेत्रावरील मका, ३०० हेक्टरवरील बाजरी, १५० हेक्टर वरील भाजीपाला, नागली, सोयाबीन पिकांचे नुकसान झाले आहे. मात्र,
सटाणा, दि. २८ (प्रतिनिधी): सरकारी यंत्रणा पंचनामे करताना चुकीचे निकष लावून पंचनामे करत असून यामूळे नकसान झालेल्या गरीब शेतकऱ्यांवर मोठा अन्याय आहे. मदतीपासून कोणी वंचित राह् नये म्हणून शासनाने सरसकट पंचनामे करण्याचे आदेश संबधित यंत्रणेला द्यावेत, असे आ. बोरसे, भाजप जिल्हाध्यक्ष निकम, किसान मोर्चाचे प्रदेश उपाध्यक्ष बिंदशेठ शर्मा यांनी दिलेल्या निवेदनात नमूद केले आहे. दरम्यान शेतकऱ्यांनी हजारो रुपयांचे कांदा बियाणे घेऊन रोपे तयार करण्यासाठी टाकले होते. मात्र, अतिवृष्टीमुळे शेकडो शेतकऱ्यांनी

लाखो रुपये खर्च करून घेतलेले बियाणे वाया गेले आहे .शासनाने या नुकसानग्रस्त कांदा उत्पादक शेतकऱ्यांनादेखील भरपाई द्यावी, अशी आग्रही मागणीही निवेदनाद्वारे केली आहे.
रस्त्यांसाठी निधी द्या!
यदा अतिवृष्टीमुळे बागलाण तालुक्यातील सर्वच रस्त्यांची अक्षरशः वाट लागली आहे. यामूळे तालूक्यातील दळणवळण प्रभावित झाले आहे. शासनाने दळणवळण सूरळीत करण्याच्या दृष्टीने रस्त्यांच्या तसेच पुलांच्या दुरुस्तीसाठी भरीव निधी द्यावा व बह्तांश ठिकाणी पाझर तलावांचेदेखील नुकसान झाल्याने पाण्याचा प्रश्न भविष्यात निर्माण होऊ नये म्हणून तलाव दरुस्तीसाठी तत्काळ निधी उपलब्ध करून द्यावा, अशी मागणी करण्यात आली आहे. मुख्यमंत्री उद्धव ठाकरे, उपमुख्यमंत्री अजित पवार, महसूलमंत्री बाळासाहेब थोरात, पालकमंत्री छगन भजबळ यांनाही निवेदन पाठविण्यात आले आहे. याप्रसंगी बाजार समितीचे संचालक नरेंद्र अहिरे. पंचायत समितीचे माजी सदस्य सोमनाथ सूर्यवंशी, विनोद अहिरे, मून्ना भामरे, भरत देवरे आदी उपस्थित होते.
अनधिकृतरित्या डेब्रीस टाकल्यास होणार दंड : आयुक्त जाधव
असून काही जुने बांधकामे पाडून त्या ठिकाणी नवीन बांधकामे उभारण्यात येत आहेत परंतू शहरामध्ये रस्त्यांवर डेब्रीस टाकले जात आहे. आता महानगरपालिका असे डेब्रीस करणाऱ्यांविरुद्ध प्रतिटन आला आठ हजार रुपये दंड करणार असल्याची माहिती उपायुक्त कैलास जाधव यांनी दिली.
स्वच्छ सर्वेक्षणातून डेब्रीसमुळेच नाशिक महानगरपालिकेचा क्रमांक हकला ही बाब तत्कालीन आयुक्त राधाकृष्ण गमे यांनी अतिशय गंभीरपणे घेतली. त्याबाबत निविदा प्रक्रियाही राबवून कारवाई करण्याचा निर्णय घेतला होता. परंतू, या
नाशिक, दि. २८ (प्रतिनिधी): शहरांमध्ये नवीन बांधकामे सुरू निविदा प्रक्रियेला उशीर लागत असल्याने आता मनपा आयुक्त कैलास जाधव यांनी तातडीचे पाऊल म्हणून रस्त्यावरती असे डेब्रीस टाकणारावर दंडात्मक कारवाईचा निर्णय घेतला आहे. आता आठ हजार रुपये दंड आकारून ही कारवाई केली जाणार असल्याची माहिती आयुक्त कैलास जाधव यांनी दिली. ते म्हणाले की, महानगरपालिकेला अशा गोष्टींमूळे विनाकारण स्वच्छ सर्वे क्षणातून बाहेर पडावे लागले. यासाठी म्हणून यांत्रिकी विभागाचे अधीक्षक अभियंता चव्हाण तसेच नियोजन विभागाचे अधिकारी पूढील नियोजन करीत असून याबाबत अधिक कडक भूमिका घेतली जाईल
कांदा व्यापाऱ्यांनी राज्य सरकारकडून फारशी अपेक्षा करू नये : शरद पवार
विभागाचे अधिकारी, शेतकरी आणि व्यापारी
उपस्थित होते.सध्या कांदा व्यापाऱ्यांनी
साठवून ठेवलेल्या मालावर घालण्यात
येणाऱ्या धाडी यांचा राज्य सरकारशी काहीच
संबंध नाही, असेही ते म्हणाले. कांदा
निर्याती–आयातीबाबत होणाऱ्या अडचणीला
केंद्र सरकारच जबाबदार असल्याचा
आरोपही पवार यांनी केला आहे. या
नाशिक, दि. २८ (प्रतिनिधी) : कांदा बैठकीला जिल्हाधिकारी सुरज मांढरे, कृषी निर्यातबंदी आणि साठवणूक मर्यादाबाबत केंद्र सरकारचाच धोरणात्मक निर्णय महत्त्वाचा असून राज्य सरकारकडून कांदा उत्पादक शेतकरी आणि व्यापाऱ्यांनी फारशी अपेक्षा करू नये, असा सल्ला खासदार शरद पवार यांनी नाशिक मधल्या बैठकीत दिला. त्यामूळे शरद पवार यांच्याकडे मोठ्या आशेने गेलेल्या कांदा व्यापाऱ्यांच्या पदरी निराशा आली आहे.
सगळ्या चर्चेमध्ये राज्य सरकार नाशिकच्या कांदा व्यापाऱ्यांसाठी काय करणार याबाबत सध्या सुरू असलेल्या काद्याच्या मात्र कोणतेही स्पष्ट भूमिका शरद पवार प्रश्नांवर शरद पवार यांनी शेतकरी आणि व्यापाऱ्यांची बैठक बोलावली होती. या यांनी मांडली नाही. कांदा धोरणाबाबत
जिल्ह्यातील ५१९ ग्रामपचायतींच्या प्रभागरचनेचा उर्वरित कार्यक्रम जाहीर
नाशिक, दि. २८ (प्रतिनिधी) : चाल वर्षात जिल्ह्यातील तब्बल ६२१ ग्रामपंचायतींच्या निवडणुका होणार होत्या. मात्र, कोरोनामुळे निवडणूका स्थगित करण्यात आल्या आहेत. आता कोरोनाची गती मंदावल्याने निवडणुकांचा फड रंगणार आहे. ५१९ ग्रामपंचायतींच्या प्रभागरचनेचा कार्यक्रमही सुरू झाला आहे. असे असले तरी या निवडणुका नव्या वर्षातच होतील आणि २०२१ मध्ये या ग्रामपंचायतींना नवे कारभारी लाभतील, असे चित्र आहे. मागील महिन्यात निवडणूक आयोगाने जिल्हाधिकाऱ्यांकडून यासंदर्भात अहवाल मागितला असून निवडणूका जाहीर होण्याची शक्यता आहे.
एप्रिल ते जूनमध्ये मुदत संपलेल्या जिल्ह्यातील १०२ ग्रामपंचायतींचा निवडणूक कार्यक्रम जाहीर झाला होता. उमेदवारी अर्ज दाखल होऊन छाननीच्या दिवशीच आयोगाने निवडणूका स्थगित केल्या होत्या. त्याचवेळी जूलै ते डिसेंबर या कालावधीत मुदत संपणाऱ्या राज्यातील १२ हजार व जिल्ह्यातील ५१९ ग्रामपंचायतींच्या प्रभागरचनेचा कार्यक्रम सूरू होता. ही सर्व प्रक्रिया १७ मार्चपासून स्थगित केली होती. आता पुन्हा एकदा निवडणूक आयोगाने या ५१९ ग्रामपंचायतीच्या प्रभागरचनेला अंतिम करण्याचे आदेश कादले आहे
लवकरच केंद्र सरकारशी चर्चा करणार असून सरकारने कांद्याच्या प्रश्नाबाबत काढावीत, घातलेली बंधने अशी विनंती या बैठकीत करण्यात आली आहे. लवकरच केंद्र सरकारशी संपर्क साधून शेतकरी, व्यापाऱ्यांच्या प्रतिनिधीची दिल्लीत बैठक घेण्यात येणार आहे. मात्र, तोपर्यंत व्यापाऱ्यांनी बाजार सुरू करावे, बाजार बंद करू नये, अशी अपेक्षाही पवार यांनी व्यक्त केली आहे. मात्र यामुळे शरद पवार यांच्याकडे मोठ्या आशेने गेलेल्या व्यापाऱ्यांची मात्र निराशा झाली आहे.
उपचार सुरू असलेल्या रुग्णांमध्ये २२७ने घट
नाशिक, दि. २८ (प्रतिनिधी) : जिल्हा सामान्य रुग्णालयामार्फत बुधवार, दि. २८ ऑक्टोबर रोजी प्राप्त झालेल्या अहवालानुसार जिल्ह्यातील ८५ हजार, ३०७ कोरोनाबाधितांना 'डिस्चार्ज' देण्यात आला असून सद्यस्थितीत ५ हजार, ४६५ रुग्णांवर उपचार सूरु असलेल्या रुग्णामध्ये २२७ ने घट झाली आहे. आतापर्यंत १ हजार, ६५५ रुग्णांचा मृत्यू झाला आहे, अशी माहिती जिल्हा सामान्य रुग्णालयाचे निवासी वैद्यकीय अधिकारी डॉ. अनंत पवार यांनी दिली.
नाशिक ग्रामीणमध्ये नाशिक १८९, चांदवड ५८, सिन्नर ५०८,दिंडोरी २५३, निफाड ६१७, देवळा ५१, नांदगाव २७९, येवला ८६, त्र्यंबकेश्वर ८२, सुरगाणा ०८, पेठ ०३, कळवण ४२, बागलाण १४८, इगतपूरी १५८, मालेगाव ग्रामीण १५८ असे एकूण २ हजार, ६४७ 'पॉझिटिव्ह' रुग्णांवर उपचार आहे. तसेच नाशिक महानगरपालिका क्षेत्रात २ हजार, ६४०, मालेगाव महानगरपालिका क्षेत्रात ९७, तर जिल्ह्याबाहेरील ८१ असे एकूण ५ हजार, ४६५ रुग्णांवर उपचार सूरु आहेत. तसेच आजपर्यंत जिल्ह्यात ९२ हजार, ४२७ रुग्ण आढळून आले आहेत.
SKYLINE MILLARS LIMITED
CIN: L63020MH1919PLC000640
Regd. Office: 4th Floor, Churchgate House, 32 - 34, Veer Nariman Road, Fort, Mumbai- 400 001. www.skylinemillarsItd.com
STATEMENT OF UNAUDITED FINANCIAL RESULTS FOR THE OUARTER ENDED 30TH SEPT 2020
| Quarter Ended Half Year Ended Year Ended As at As at Particulars Particulars 30/09/2020 31/03/2020 30/09/2020 30/06/2020 30/09/2019 30/09/2020 30/09/2019 31/03/2020 (Unaudited) (Audited) (Unaudited) (Unaudited) (Unaudited) (Unaudited) (Unaudited) (Audited) Income Assets 0.00 166.93 193.68 345.95 379.61 (a) Revenue from Operations (Gross) 193.68 Non-current assets 39.61 8.61 3.65 48.22 4.15 36.24 (b) Other Income 121.22 Property, Plant and Equipment 28.86 1. 233.29 350.10 Total Income 8.61 170.58 241.90 415.85 37.77 38.09 Investment Property Expenses Other Intangible assets (a) Cost of materials consumed 0.00 (0.00) 0.00 0.00 0.00 (b) Purchases of stock-in-trade 0.00 0.00 0.00 0.00 Financial Assets (c) Changes in Inventories of Finished Goods, (i) Non-current investments 0.58 0.54 Work-in-Progress & Stock-in-Trade 10.83 20.23 0.00 20.23 40.71 (ii) Trade receivables ÷, 0.00 (d) Cost of Construction 0.00 (0.00) (iii) Loans 65.81 65.81 19.21 (e) Employee benefits expense 7.66 6.45 9.42 14.11 36.19 (iv) Other financial assets 189.44 226.18 (f) Finance Cost 0.05 0.00 0.03 0.06 0.11 0.67 0.75 1.40 (g) Depreciation and amortisation expense 0.64 1.42 2.68 Deferred tax assets (net) 105.65 68.85 83.89 19.91 7.50 51.24 27.41 147.97 (h) Other expenses 2. 48.53 14.75 Total Expenses 61.30 63.28 115.33 227.58 29.84 81.68 Other non-current assets 3. Profit /(Loss) before exceptional items and tax (1-2) 184.76 109.28 178.62 234.77 188.27 (6.14) 4. Exceptional items Total Non-Current Assets 457.96 602.36 184.76 178.62 234.77 188.27 5. Profit / (Loss) before tax (3-4) (6.14) 109.28 Tax Expense Current assets a) Current Tax 1298.16 1317.46 Inventories 0.32 0.32 b) (Excess)/Short Tax Provision of earlier years (0.19) (0.19) (0.11) ÷, c) Deferred Tax Financial Assets (0.19) 0.32 (0.19) 0.32 6.Total Tax Expenses (0.11) 13.22 $\blacksquare$ (I) Trade and other receivables 11.50 7. Profit / (Loss) for the period from continuing 67.30 57.46 (ii) Cash and cash equivalents 234.45 operations (5-6) 184.95 (6.14) 108.96 178.81 188.38 500.50 329.67 (iii) Bank balances other than (ii) 8.Loss from discontinuing operations (3.92) (3.98) (50.37) (7.90) (82.58) (93.57) 0.41 0.33 (iv) Loan 9. Tax expenses of discontinuing operations (3.92) 10. Loss from discontinuing operations (8-9) (3.98) (50.37) (7.90) (82.58) (93.57) Assets for current Tax (Net) 11. Profit / (Loss) for the period (7+10) 181.03 (10.12) 58.59 170.91 151.87 94.81 Other Comprehensive Income (Net on Tax) Assets classified as Held for sale 396.33 310.26 0.05 (0.75) (0.03) (0.87) (0.93) A. Items that will not be reclassified to Profit & Loss (0.02) (0.02) 0.05 12. Total other Comprehensive Income (0.75) (0.03) (0.87) (0.93) Other current assets 37.90 37.96 181.02 (10.08) 57.84 170.94 151.00 93.88 13. Total Comprehensive Income for the period (11+12) 2312.10 2066.35 14. Paid up Equity Share Capital 402.24 402.24 402.24 402.24 402.24 402.24 (Face Value Re 1/- each) 2770.05 Total Assets 2668.71 15. 'Reserves excluding Revaluation Reserves as per Balance Sheet of the previous accounting year 2045.07 EQUITY AND LIABILITIES 16. Earnings per Share EPS Equity (a) Earning per share Basic & Diluted (in Rs) 402.24 402.24 (a) Equity Share capital (For continuing operations) (not annualised) 0.46 0.27 0.58 0.47 (0.02) 0.44 (b) Other Equity 2045.07 2215.75 (b) Earning per share Basic & Diluted (in Rs) Total Equity 2617.99 2447.31 (0.23) (For discontinuing operations) (Not annualised) (0.01) (0.01) (0.13) (0.02) (0.21) (c) Earning per share Basic & Diluted (in Rs) NON-CURRENT LIABILITIES (For total operations) (Not annualised) 0.38 0.45 (0.03) 0.15 0.42 0.24 Financial Liabilities (i) Other financial liabilities - non current 19.26 19.15 Notes: Other non-current liabilities 30.90 31.00 1. The above results have been reviewed by the Audit Committee and approved by the Board of Directors at their respective meetings 80.53 Provisions held on October 28, 2020. The Statutory Auditors have carried out a Limited Review of the results for Half Year ended 30th September 2020. Liabilities for Non Current Tax (Net) 0.00 2. The above results have been prepared in accordance with Companies (Indian Accounting Standards) Rules, 2015 ('Ind As') prescribed under section 133 of the Companies Act, 2013, read together with rule 3 of the Companies (Indian Accounting Standards) Rules, 2015 and Companies (Indian Accounting Standards) (Amendment) Rules, 2016. Total Non-current Liabilities 50.16 130.69 3. The Company has considered possible impact of known events arising from COVID 19 pandemic on the carrying amount of assets in the preparation of financial statements. However, the impact assessment of COVID 19 is a continuing process given the uncertainties Current Liabilities associated with its nature and duration. The company will continue to monitor any material changes to future economic conditions. Financial Liabilities The Company has consider the internal and external source of information including economic forecasts and industry reports up to (i) Short Term Borrowing the date of approval of the financial statements in determining the impact on various elements of its financial statements. The $\overline{\phantom{a}}$ Company has use the principles of prudence in applying judgements, estimates and assumptions including sensitivity analysis and (ii) Trade and other payables base on the current estimates, the company does not have any material impact due to covid-19 outbreak. The eventual outcome of impact of the global health pandemic may be different from those estimated as on date of approval of these financial statements. Total outstanding dues of micro enterprises 4. During the Current Quarter, The management of the Company has decided to discontinue one of the division at Umreth vide Board and small enterprises Resolution dated 24th August, 2020. 5. The Company is primarily engaged in Real Estate business and after discontinuation of Umreth division there is only one reportable Total outstanding dues of creditors other than segment. 0.08 micro enterprises and small enterprises 6. Figures for the previous periods have been re-grouped / re-arranged wherever necessary. 15.12 22.60 (iii) Other financial liabilities 0.54 Other current liabilities 24.64 86.23 Current Tax Liability 43.40 Provisions For and on behalf of Board of Directors sd/- Total Current Liabilities 101.90 90.72 Maulik Dave Place: Mumbai DIN No. 01448536 Date: 28/10/2020 Whole time Director 2770.05 Total Equity and Liabilities 2668.71 |
ONTODITED I INTRODUENEOULIO I ON THE GOTIVIER ENDED OUTHOL! I (Rupees in Lakhs) (Rupees in Lakhs) |
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जिल्हाधिकारी कार्यालयात समन्वय कक्ष स्थापन
नाशिक दि. २८ (प्रतिनिधी): जिल्ह्यात कायदा आणि सूव्यवस्था अबाधित राखण्यासाठी तसेच अवैध धंदे आणि तक्रारींच्या अनूषंगाने नागरिकांसाठी समन्वय कक्षाची स्थापना करण्यात आली असल्याची माहिती जिल्हाधिकारी सुरज मांढरे यांनी दिली आहे.नागरिकांसाठी उपलब्ध असलेल्या या समन्वय कक्षाचा क्रमांक ०९४०५८६९९४० हा असून ई–मेल आयडी [email protected] हा आहे. दिलेल्या क्रमांकावर केवळ अवैध धंद्यांच्याच तक्रारी स्वीकारल्या जाणार आहे. नागरिकांना जिल्ह्यात काही अवैध घटना घडत असल्याची माहिती मिळाल्यास त्यांनी याबाबत दिलेल्या क्रमांकावर संपर्क करावा. तक्रार करताना घटना कोठे, कधी, काय याचा तपशील द्यावा, असे आवाहनदेखील जिल्हाधिकारी मांढरे यांनी केलेले आहे.
या कक्षाचे प्रमुख समनव्यक म्हणून अपर जिल्हादंडाधिकारी भागवत डोईफोडे असतील. गुन्हे शाखेचे पोलीस उपायुक्त संग्रामसिंह निशानदार, साहाय्यक पोलीस अधीक्षक शर्मिष्ठा वालावलकर, राज्य उत्पादन शुल्क विभागाचे उपअधीक्षक बिसन भूतकर, जिल्हा गुणवत्ता नियंत्रण निरीक्षक के.एम.वीरकर, साहाय्यक प्रादेशिक परिवहन अधिकारी हेमंत हेमाडे, जिल्हापुरवठा अधिकारी अरविंद नरसिकर, जिल्हा खनिकर्म अधिकारी आनंद पाटील, वनपरिक्षेत्र अधिकारी विवेक भदाणे, अन्न व औषध निरीक्षक चंद्रकांत मोरे, अमित रासकर हे या समन्वय कक्षाचे सदस्य असणार आहेत. या कक्षात नागरिकांकडून आलेल्या केवळ अवैध धंद्यांबाबतच्याच तक्रारी नोंदवले जातील आणि संबंधित विभागाच्या ई–मेलवर तसेच संबंधित विभागाच्या अधिकाऱ्यांकडे तक्रार तात्काळ कार्यवाहीसाठी पाठविली जाईल. संबंधित विभाग दिलेल्या काळात त्या तक्रारींवर कार्यवाही करून समन्वय कक्षाच्या ई–मेलवर कार्यपूर्ती अहवाल पाठवतील, असेदेखील यावेळी जिल्हाधिकारी मांढरे यांनी कळविले आहे.

महानगरांच्या धर्तीवर अद्ययावत तंत्रज्ञानाचा उपयोग शहरवासीयांसाठी रिंग रोडचे काम पूर्ण केले जाईल, अशी ग्वाही पत्नी डॉ. अस्मिता प्रताप दिघावकर नगराध्यक्ष सुनील मोरे यांनी दिली. यांचे नाव देण्यासंदर्भात सनपातर्फे सटाणा शहरालगत सुरु असलेल्या वर्षभरापूर्वीच ठराव करण्यात रिंग रोडच्या नामपूर रोड ते चौगाव आल्याचे स्पष्ट करीत, रिंग रोडमुळे रोड या दसऱ्या टप्प्यातील कामाच्या शहराच्या सौंदर्यात भर पडणार भूमिपूजन कार्यक्रमात बोलताना असल्याचे सांगितले. आदींसह नगराध्यक्ष मोरे यांनी, या रिंग रोडला जनगरिक उपस्थित होते. सूत्रसंचालन राज्याच्या प्रशासकीय पातळीवर महेंद्र शर्मा यांनी केले.
सटाणा, दि. २८ (प्रतिनिधी): कार्याचा ठसा निर्माण करणाऱ्या बागलाण तालुक्यातील कर्तृत्ववान करुन महिला व नाशिकचे विशेष पोलीस महानिरीक्षक प्रताप दिघावकर यांच्या
गुजरातमधील खुनातील फरार आरोपीला नाशिकमध्ये अटक ; छोटा राजन गँगशी संबंध
नाशिक, दि. २८ (प्रतिनिधी): गुजरात राज्यातील नानी दमण येथे हे खुनाच्या गुन्ह्यात फरारी असलेल्या आणि छोट्या राजन गँग संबंधित आरोपीला क्राईम ब्रँच युनिट दोनच्या पथकाने अटक केली आहे. नाशिक शहर व राज्याबाहेरील गुन्ह्यातील फरार असलेल्या आरोपीच्या शोध घेण्याचे आदेश पोलीस आयुक्त दीपक पांडे यांनी दिले होते. त्यानुसार गुन्हे शाखेचे पोलीस उपायुक्त संग्रामसिंह निशाणदार, साहाय्यक पोलीस आयुक्त समीर शेख पोलीस निरीक्षक दिनेश बर्डेकर, साहाय्यक पोलीस उपनिरीक्षक शामराव भोसले यांनी कारवाई केली. त्यानुसार त्यांना माहिती मिळाली की, गुजरातमधील नानी दमण येथील नगरसेवकाच्या खून प्रकरणातील फरार असलेल्या जयराम श्रावण लोंढे हा नाशिक रोडमधील गांधीधाम दिवाळे गाव येथे लपून बसला आहे. मागील काही महिने तो तामिळनाडूला एका ट्रकवर क्लिनर म्हणून गेला होता. त्यानंतर आपल्या परिवाराला भेटण्यासाठी तो परत नाशिक रोडला आल्यानंतर पोलिसांनी कारवाई करून तातडीने अटक केली आहे.