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Skyline Millars Ltd — Interim / Quarterly Report 2022
Feb 15, 2022
63181_rns_2022-02-15_cdc2acbc-0715-4303-aedb-c1464aa24762.pdf
Interim / Quarterly Report
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SKYLINE MILLARS LIMITED
15th Febluary,2022
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),
Result.
Pursuant to provisions of Regulation a7\$) of Securities and Exchange Board. of hdia (Listing Obligations and Disclosule Requirements) Regulations, 2015, enclosed please find helewith copies of newspapel advertisement in respeci of Un-Audited Financial Result for the thild qualtel and nine months ended 31't December,2021., pubtished in the following Newspapels:
-
- Business Standar.d, on 15u. February, 2022 and
-
- Tarun Bharat, on l-Sth February,2022.
We request you to kindly take the same on record.
Youls truly,
For Skyline Millars Limite
Whole-time Director Encl.: as above

Sales Office : C/2, Skyline Welthspace, Gate No. 2, Skyline Oasis, Premier Road, Vidyavihar (w), Mumbai - 400 086. Tet. : (O22) 2511 2194 I 95
. l
| SVC INDUSTRIES LIMITED | ||||||
|---|---|---|---|---|---|---|
| Regd. Office: 301, Shubham Centre - 1, Near Holy Family Church, 491, Cardinal Gracious Road, | ||||||
| Andheri (East), Mumbai - 400 099. Tel.no: 022-28324296, Email: [email protected] | ||||||
| Website: www.svcindustriesltd.com, CIN: L23201MH1989PLC053232 | ||||||
| EXTRACT OF THE UN-AUDITED FINANCIAL RESULTS FOR THE QUARTER AND NINE MONTHS | ||||||
| ENDED 31ST DECEMBER' 2021 | ||||||
| For the Quarter Ended | Nine Months Ended | Year Ended | ||||
| Particular | (Un-Audited) | (Un-Audited) | (Audited) | |||
| 31.12.2021 30/09/2021 | 31/12/2020 31/12/2021 31/12/2020 31/03/2021 | |||||
| Total Income From Operations | 8.38 | 13.66 | 14.20 | 38.91 | 37.10 | 63.83 |
| Net Profit / (Loss) for the period (before Tax and Exceptional items) | (66.73) | (70.60) | (74.65) | (197.10) | (187.30) | (245.18) |
| Net Profit / (Loss) for the period beforer Tax (after Exceptional items) | (66.73) | (70.60) | (74.65) | (197.10) | (187.30) | (484.48) |
| Net Profit / (Loss) for the period after Tax (after Exceptional items) | (66.73) | (70.60) | (74.65) | (197.10) | (187.30) | (484.48) |
| Total Comprehensive Income for the period [Comprising Profit / (Loss) | ||||||
| for the period (after tax) and Other Comprehensive Income (after tax) | (66.73) | (70.60) | (74.65) | (197.10) | (187.30) | (484.48) |
| Reserves (excluding Revaluation Reserve) | 11,509.40 | |||||
| Paid up Equity Share Capital (Face Value of Rs. 10/- each)(not annulised) 16,186.37 16,186.37 16,186.37 16,186.37 16,186.37 16,186.37 16,186.37 | ||||||
| Basic & Diluted Earning Per Share (of Rs. 10/- each not annualised) | (0.04) | (0.04) | (0.05) | (0.12) | (0.12) | (0.30) |
| Notes: | ||||||
| 1) The above is an extract of the detailed format of Quarterly and Nine months ended 31st December' 2021 Financial Results filed with the Stock | ||||||
| Exchange under the Regulation 33 of the of the SEBI (Listing and Other Disclosure Requirement) Regulations, 2015. The full format of the | ||||||
| Quarterly and Nine Months ended 31st December 2021 Financial Results is available on the Company's Website (www.svcindustriesItd.com) | ||||||
| and Stock Exchange website (www.bseindia.com). | ||||||
| Previous period figures have been regrouped / reclasssified, wherever necessary. 2) |
For SVC Industries Limited | |||||
| Place: Mumbai | sd/- | |||||
| Dated: 14.02.2022 | Director |
Regd. Office : 187, GIDC Industrial Estate, Waghodia - 391 760, Dist : Vadodara. Tel. No. (02668) 262421-22 CIN NO. L34100GJ1985PLC007958, www.munjalauto.com, E Mail : [email protected], Fax No. (02668) 262427
Date: February 14, 2022 Place: Gurugram
By order of the Board of Directors
For MUNJAL AUTO INDUSTRIES LIMITED Sd/-
SUDHIR KUMAR MUNJAL CHAIRMAN & MANAGING DIRECTOR
(DIN: 00084080)
| PARTICULARS | Quarter Ended | Nine Months Ended | Year Ended | ||||
|---|---|---|---|---|---|---|---|
| 31/12/2021 | 30/09/2021 | 31/12/2020 | 31/12/2021 | 31/12/2020 | 31/03/2021 | ||
| (Unaudited) | (Unaudited) | (Unaudited) | (Audited) | (Audited) | (Audited) | ||
| Income | |||||||
| (a) Revenue from Operations | $\overline{\phantom{a}}$ | 0.00 | 208.16 | 0.32 | 401.84 | 423.52 | |
| (b) Other Income | 10.68 | 177.57 | 11.21 | 196.69 | 59.43 | 68.07 | |
| 1 | Total Income | 10.68 | 177.57 | 219.37 | 197.01 | 461.27 | 491.59 |
| Expenses | |||||||
| (a) Cost of materials consumed | -- | -- | 0.00 | 0.00 | 0.00 | ||
| (b) Purchases of stock-in-trade | -- | 0.00 | 0.00 | 0.00 | |||
| (c) Changes in Inventories of Finished Goods, | |||||||
| Work-in-Progress & Stock-in-Trade | -- | 38.43 | 0.00 | 58.66 | 78.21 | ||
| (d) Cost of Construction | 0.00 | 0.00 | 0.00 | ||||
| (e) Employee benefits expenses | 8.71 | 8.57 | 7.42 | 24.81 | 21.53 | 29.23 | |
| (f) Finance Cost | -- | -- | 0.05 | 0.00 | 0.16 | 0.16 | |
| (g) Depreciation and amortisation expense | 0.39 | 0.39 | 0.71 | 1.17 | 2.13 | 2.72 | |
| (h) Other expenses | 19.31 | 26.24 | 13.58 | 65.09 | 40.99 | 74.42 | |
| $\overline{\mathbf{c}}$ | Total Expenses | 28.41 | 35.20 | 60.19 | 91.07 | 123.47 | 184.74 |
| 3 | Profit / (Loss) before exceptional and tax (1-2) | (17.73) | 142.37 | 159.18 | 105.94 | 337.80 | 306.85 |
| 4 | Exceptional items | ||||||
| 5 | Profit / (Loss) before tax (3-4) | (17.73) | 142.37 | 159.18 | 105.94 | 337.80 | 306.85 |
| Tax Expense | |||||||
| a) Current Tax | |||||||
| b) (Excess)/Short Tax Provision of earlier years | (0.19) | (0.19) | |||||
| 6 | c) Deferred tax | $\blacksquare$ | $\overline{a}$ | 32.45 32.45 |
٠ | 32.45 32.26 |
32.45 32.26 |
| $\overline{7}$ | Total Tax Expenses Profit / (Loss) for the period from continuing |
||||||
| operations (5-6) | (17.73) | 142.37 | 126.73 | 105.94 | 305.54 | 274.60 | |
| 8 | Loss from discontinuing operations | (1.99) | (2.22) | (25.36) | (6.24) | (33.26) | (35.88) |
| 9 | Tax expenses of discontinuing operations | ||||||
| 10 | Loss from discontinuing operations (8-9) | (1.99) | (2.22) | (25.36) | (6.24) | (33.26) | (35.88) |
| 11 | Profit / (Loss) for the period (7+10) | (19.72) | 140.15 | 101.37 | 99.70 | 272.28 | 238.72 |
| Other Comprehensive Income (Net on Tax) | |||||||
| A. Items that will not be reclassified to Profit & Loss | (0.00) | (0.06) | 0.03 | 0.07 | (0.07) | (0.18) | |
| 12 | Total other Comprehensive Income | (0.00) | (0.06) | 0.03 | 0.07 | (0.07) | (0.18) |
| 13 | Total Comprehensive Income for the period (11+12) | (19.72) | 140.09 | 101.40 | 99.77 | 272.35 | 238.90 |
| 14 | Paid up Equity Share Capital | ||||||
| (Face Value Re 1/- each) | 402.24 | 402.24 | 402.24 | 402.24 | 402.24 | 402.24 | |
| 15 | Reserves excluding Revaluation Reserves as per | ||||||
| Balance Sheet of the previous accounting year | 2283.97 | ||||||
| 16 | Earnings per Share EPS | ||||||
| (a) Earning per share Basic & Diluted (in Rs) | |||||||
| (For continuing operations) (not annualised) | (0.04) | 0.35 | 0.32 | 0.26 | 0.76 | 0.68 | |
| (b) Earning per share Basic & Diluted (in Rs) | |||||||
| (For discontinuing operations)(Not annualised) | (0.00) | (0.01) | (0.06) | (0.02) | (0.08) | (0.09) | |
| (c) Earning per share Basic & Diluted (in Rs) | |||||||
| (For total operations) (Not annualised) | (0.06) | 0.34 | 0.25 | 0.25 | 0.68 | 0.59 |
Notes: 1. The above is an extract of the detailed format of unaudited 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 aforesaid quarterly financial results is available on the Company's website at
www.munjalauto.com and the Stock Exchange website www.nseindia.com and www.bseindia.com. 2. The above unaudited financial results have been reviewed and recommended by the Audit Committee and approved by the Board of Directors in their respective meetings held on February 14, 2022.
-
The financial results for the quarter& nine months ended on December 31, 2021 have been reviewed by the Statutory Auditors as required under Regulation 33 of the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015.
-
The Holding Company's operations are limited to the one Operating Segment namely: "Manufacturing of Auto Components". The Group has two reportable segments namely: "Manufacturing of Auto Components" and "Manufacturing of Composite Products & Moulds".
-
The situation of Covid-19 pandemic is continuously evolving. The impact assessed may be different from the estimates made as at the date of approval of these financial results and management will continue to monitor any material changes arising due to the impact of this pandemic on financial and operational
performance of the Company/Group and take necessary measures to address the situation.
- Figures for the previous periods have been regrouped to conform to the figures of the current period.
Extract of Unaudited Financial Results for the quarter and nine months ended December 31, 2021
| (` In Lacs) | ||||||
|---|---|---|---|---|---|---|
| STANDALONE | CONSOLIDATED | |||||
| Quarter Ended |
Nine Months Ended |
Quarter Ended |
Quarter Ended |
Nine Months Ended |
Quarter Ended |
|
| Particulars | 31-12-2021 | 31-12-2021 | 31-12-2020 | 31-12-2021 | 31-12-2021 | 31-12-2020 |
| Unaudited | Unaudited | Unaudited | Unaudited | Unaudited | Unaudited | |
| Total Income from operations | 41,996.03 | 1,40,241.59 | 59,349.15 | 46,997.51 | 1,55,182.59 | 64,543.84 |
| Net Profit/(Loss) for the period | 1,153.28 | 1,923.35 | 1,563.50 | 1,298.13 | 2,970.09 | 1,110.38 |
| (before Tax, Exceptional and/or Extraordinary items) | ||||||
| Net Profit/(Loss) for the period before tax | 1,153.28 | 1,923.35 | 1,563.50 | 1,298.13 | 2,970.09 | 1,110.38 |
| (after Exceptional and/or Extraordinary items) | ||||||
| Net Profit (Loss) for the period after tax | 731.96 | 1,245.81 | 1,027.15 | 739.92 | 1,916.17 | 569.53 |
| (after Exceptional and/or Extraordinary items) | ||||||
| Total Comprehensive Income for the period [Comprising | 746.86 | 1,290.50 | 1,019.43 | 769.58 | 2,005.93 | 569.38 |
| Profit / (Loss) for the period (after tax) and Other | ||||||
| Comprehensive Income (after tax)] | ||||||
| Equity Share Capital (Face Value of Rs.2/- each) | 2,000.00 | 2,000.00 | 2,000.00 | 2,000.00 | 2,000.00 | 2,000.00 |
| Reserves (excluding Revaluation Reserve) as shown | - | - | - | - | - | - |
| in the Balance sheet of previous year | ||||||
| Earning Per Share (before extraordinary items) | ||||||
| (FV of Rs.2/- each) (Basic/Diluted EPS) | 0.73 | 1.25 | 1.03 | 0.74 | 1.92 | 0.57 |
| Tel : +91 22 66667474, Email : [email protected], Website : www.cravatex.com Extract of Standalone & Consolidated Unaudited Financial Results for the Quarter & Nine Months Ended on December 31, 2021 |
Regd. Office : Ground Floor (East Wing), Forbes Building, Charanjit Rai Marg, Fort, Mumbai – 400 001 | ||||||
|---|---|---|---|---|---|---|---|
| Sr. No. |
PARTICULARS | Quarter Ended 31.12.2021 |
Standalone Nine Months Ended 31.12.2021 |
Quarter Ended 31.12.2020 |
Quarter Ended 31.12.2021 |
Consolidated Nine Months Ended 31.12.2021 |
Rupees in Lakhs Quarter Ended 31.12.2020 |
| (Unaudited) | (Unaudited) (Unaudited) (Unaudited) (Unaudited) (Unaudited) | ||||||
| 1 | Total Income | 142.18 | 1,015.47 | 729.72 | 16,155.14 | 44,650.62 | 15,675.44 |
| 2 | Net Profit / (Loss) for the period | ||||||
| (before tax and Exceptional items) | 17.72 | 507.76 | 527.39 | (309.46) | (1,758.44) | (73.57) | |
| 3 | Net Profit / (Loss) for the period before tax | ||||||
| (after Exceptional items) | 17.72 | 507.76 | 527.39 | (309.46) | (1,758.44) | (73.57) | |
| 4 | Net Profit / (Loss) for the period after tax | ||||||
| (after Exceptional items) | 32.20 | 439.22 | 457.78 | (365.89) | (2,070.30) | (230.34) | |
| 5 | Total Comprehensive Income for the period | ||||||
| [Comprising Profit / (Loss) for the period (after tax) | |||||||
| and Other Comprehensive Income (after tax)] | 32.20 | 439.22 | 457.78 | (377.81) | (2,107.56) | (234.65) | |
| 6 7 |
Equity Share Capital | 258.42 | 258.42 | 258.42 | 258.42 | 258.42 | 258.42 |
| 8 | Other Equity Earning Per Share (of Rs. 10/- each) |
- | - | - | - | ||
| (for continuing and discontinued operations) | |||||||
| (a) Basic (Rs.) | 1.25 | 17.00 | 17.71 | (14.16) | (80.12) | (8.91) | |
| (b) Diluted (Rs.) | 1.25 | 17.00 | 17.71 | (14.16) | (80.12) | (8.91) |
1 The above financial results have been reviewed by theAuditCommittee and approved by theBoard ofDirectors in theirmeeting held on February 14, 2022. 2 The above is an extract of the detailed format of unudited standalone & consolidated quarterly financial results filed with the Bombay Stock Exchange under Regulation 33 of the SEBI (Listing Obligation and Disclosure Requirements) Regulations 2015. The full format of the quarterly financial results are available on theStock Exchange'sWebsite (www.bseindia.com) and on theCompany'swebsite (www.cravatex.com)
| For Cravatex Limited | |
|---|---|
| Sd/- | |
| Rajesh Batra | |
| Place : Mumbai | Managing Director |
| Dated : February 14, 2022 | DIN No: 00020764 |
| EXTRACT OF UNAUDITED STANDALONE AND CONSOLIDATED FINANCIAL RESULTS FOR THE QUARTER ENDED DECEMBER 31, 2021 | ||
|---|---|---|
| $\sqrt{P}$ c in Lab |
| Standalone | Consolidated | ||||||||
|---|---|---|---|---|---|---|---|---|---|
| Quarter Ended | Year | Quarter Ended | Year | ||||||
| PARTICULARS | 31/12/2021 | 30/09/2021 | 31/12/2020 | Ended 31/03/2021 |
31/12/2021 | 30/09/2021 | Ended 31/12/2020 31/03/2021 |
||
| Revenue from Operations | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 1 | 0.00 | |
| Net Profit / (Loss) for the period(before Tax, | |||||||||
| Exceptional and/or Extraordinary items) | (3.16) | (2.89) | (4.51) | (5.22) | (3.16) | (2.89) | (4.51) | (5.35) | |
| Net Profit / (Loss) for the period | (3.16) | (2.89) | (4.51) | (5.22) | (3.16) | (2.89) | (4.51) | (5.35) | |
| Total Comprehensive Income for the period | (3.16) | (2.89) | (4.51) | (5.22) | (3.16) | (2.89) | (4.51) | (5.35) | |
| Paid up Equity Share Capital (Face Value of | |||||||||
| Re. 10 each) | 1534.00 | 1534.00 | 1534.00 | 1534.00 | 1534.00 | 1534.00 | 1534.00 1534.00 | ||
| Other Equity excluding Revaluation Reserves | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.001 | 0.00 | |
| Earnings per share (of Re. 10 each) | |||||||||
| (Not Annualised) | |||||||||
| - Basic & Diluted: | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.001 | 0.00 |
| Sd/- | |
|---|---|
| Place: Mumbai | Vikram Doshi |
| Date: 14/02/2022 | Chairman & Managing Director |
| Mumbai | ||
|---|---|---|
| 14/02/2022 |
ALFA TRANSFORMERS LIMITED Regd.Office : 3337, Mancheswar Industrial Estate, Bhubaneswar - 751010 - - - - - - - -
- Date : February 14, 2022
मुंबई, मंगळवार, १५ फेब्रुवारी २०२२ 2
अतिक्रमण
ਸ਼ੋਕਤ तरुण उभारत www. mahamtb.com
मुंबईत दिवसभरात १९२ 'कोरोना'बाधित मुंबई : मागील काही दिवसांपासून मुंबईतील कोरोनाबाधितांच्या संख्येत होणारी घट सोमवारीदेखील कायम राहिल्याचे दिसून आले. मुंबईत सोमवार, दि. १४ फेब्रुवारी रोजी कोरोनाबाधितांच्या संख्येत नव्या १९२ बाधितांची नोंद करण्यात आली. मुंबई महापालिकेने दिलेल्या माहितीनूसार, शहरात सोमवारी सापडलेल्या १९२ नव्या कोरोनाबाधितांसह दिवसभरात एकूण ३५० रुग्णांनी कोरोनावर मात केली आहे.
प्रभाग रचनेवर तब्बल ८१२ हरकती
EHE
min
TITIS TIT
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$0.9$
मुंबई, दि. १४ (प्रतिनिधी): मुंबई पत्रकारांना दिली दि. १३ फेब्रुवारीपर्यंत ३६१ हरकती–सूचना सादर झाल्या आहेत. दि. २६ ते २ मार्चपर्यंत प्राभाग रचना अंतिम करून त्याबाबतचा अहवाल २ मार्च रोजी पालिका निवडणूक विभागाकडून राज्य निवडणूक आयोगाला सादर करण्यात येणार आहे. विशेष म्हणजे कुलाबा भागात एकही हरकती व सूचना आलेली नाही. मुख्य म्हणजे, काही प्राागांमध्ये एकही ,बदल झालेला नसला तरी देखील ्याः ः ।
सर्बधितानीही विविध तक्रारी केल्या आहेत. मतदान ि केंद्राविषयीही नगरसेवक M Annenne AD AP जागरुक आहेत. यामुळे सूनावणी समितीचे काम वाढणार आहे.
बोरिवली पूर्वेतील अनधिकृत फेरीवाल्यांना महापालिकेचा हटवण्यासाठी ६० कामगारांची नियुक्ती
परिसरातील अनधिकृत फेरीवाल्यांना हटविण्यासाठी महापालिका ६० कामगारांना नियुक्त करणार आहे. त्यांच्या नियुक्तीसाठी पालिका १२ लाख, ८० हजार रुपये मोजणार असून, महापालिकेच्या स्थायी समितीने यासंबंधीचा प्रस्ताव नुकताच मंजूर केला. पालिकेच्या 'आर मध्य'
विभागात अतिक्रमण निर्मूलन खात्यामध्ये कंत्राटी कामगारांच्या
Place : Mumbai
| Date : 14/02/2022
मूबड़

अतिक्रमण निर्मूलन खात्यात करण्यासाठी कामगारांची मोठ्या पालिकेचे सकाळ सत्रामध्ये चार प्रमाणात आवश्यकता भासते. कामगार आणि दपारीही चार सद्य:स्थितीत कामगार कार्यरत असतात. मात्र, निर्मूलन 'आर मध्य' विभागात एकूण पाच अतिक्रमण निर्मूलन ही संख्या अत्यंत अपूरी आहे. 'आर मध्य' विभाग हा अन्य वाहने असून, त्यांपैकी एक वाहन महापालिकेचे आणि चार विभागांच्या क्षेत्रफळांमध्ये मोठी आहे. या विभागातच मोठ्या खासगी वाहने आहेत. कारवाई प्रमाणात अनधिकृत फेरीवाले करण्यासाठी प्रत्येक वाहनांवर आढळून आल्याने नित्यनेमाने या सकाळी ६ आणि सायंकाळी ठिकाणी निष्कासनाची कारवाई ६ अशा एकूण ६० कामगारांची
आवश्यकता आहे.
ATCOM TECHNOLOGIES LIMITED
CIN: L29299MH1983PLC054224
सोहळ्याकरिता ५०० जणांना परवानगी मुंबई: छत्रपती शिवाजी महाराज यांच्या जयंतीनिमित्त आयोजित करण्यात येणाऱ्या 'शिवज्योत दौडी'त २०० आणि जन्मोत्सव सोहळ्याकरिता ५०० जणांना उपस्थित राहता येईल, या प्रस्तावाला मुख्यमंत्री
शिवजयंतीच्या जन्मोत्सव
उद्धव ठाकरे यांनी सोमवारी मान्यता दिली. तथापि, कोविड प्रतिबंधात्मक नियमांचे पालन करून शिवछत्रपतींचा जन्मोत्सव सोहळा साजरा करावा, असे आवाहनही मुख्यमंत्र्यांनी केले आहे.
(Rs in Lakhs
Year
1/03/202
$0.00$
$(5.35)$
$(5.35)$
$0.00$
$0.00$
$(4.51)$ $(5.35)$
1534.00 1534.00
महाराष्ट्राच्या शिक्षण क्षेत्रात 'सामंतशाहीचा उदय'
महानगरपालिकेच्या नव्या प्रभाग रचनेच्या
आराखड्याबाबत तब्बल ८१२ हरकती
आणि सूचना आल्या आहेत. सन
२०१७च्या निवडणूकीआधी केलेल्या
प्रभाग रचनेबाबत तब्बल ६१३ हरकती,
सचना आल्या होत्या. यावेळी हरकती–
सूचना सादर करण्याच्या अखेरच्या
सुरेश
यांनी
दिवशी सोमवार, दि. १४
फेब्रुवारी रोजी ८१२
हरकती व सूचना
सादर झाल्या, अशी
माहिती महापालिका
आयुक्त
काकाणी
■ राज्य सरकारच्या धोरणाविरूद्ध तीव्र आंदोलन उभारणार ■ अभाविप कोकण प्रदेशमंत्री अमित ढोमसे यांचा इशारा

''महाराष्ट्रातील महाविकास आघाडी सरकारने राज्यात लोकशाहीला पायदळी तुडवून शिक्षणाच्या गुणवत्तेवर विपरित परिणाम करणारे बदल करून विद्यापीठ कायदा असंवैधानिक पद्धतीने पारित केला. राज्य मंत्रिमडळाच्या झालेल्या बैठकीत विद्यापीठाच्या स्वायतत्तेवर घाला घालत महाराष्ट्र सार्वजनिक विद्यापीठ कायद्यामध्ये बदल करण्याचा निर्णय घेण्यात आला. या निर्णयावर कोणतीही चर्चा होऊ न देता त्या निर्णयाचे कायद्यात रूपांतर करून रा
कायदा पारित केला. राज्यातील शिक्षण क्षेत्रात होत असलेल्या हा 'सामंतशाहीचा उदय' रोखण्यासाठी येत्या काळात अखिल भारतीय विद्यार्थी परिषदेतर्फे मोठे आंदोलन उभारण्यात येईल,'' असा इशारा अभाविप कोकण प्रदेशमंत्री अमित ढोमसे यांनी दिला आहे. दरम्यान, महाराष्ट्र सार्वजनिक विद्यापीठ कायद्यात करण्यात आलेले हे बदल त्वरित मागे घेण्यात यावे, या मागणीसाठी सोमवार, दि. १४ फेब्रुवारी रोजी अभाविप पूर्व मुंबई विभागाच्यावतीने कूर्ला तहसीलदार कार्यालयाच्या बाहेर मूक ्
आंदोलन करून तहसीलदारांना निवेदन देण्यात आले. यावेळी मुंबई पूर्व विभाग संयोजक ओंकार मांढरे, पूर्व मुंबई जिल्हा संयोजक ऋषीकेश गर्जे, ईशान्य मुंबई सहसंयोजक आशिष उपाध्याय, संकेत पाचपुते, सुशांत राणे, हिमांशु सिंह व इतर
पेडणेकर यांना एवढी वीज का लागते? बिल लाख्वोंच्या घरात; माहिती अधिकारातून बाब उजेडात मुंबई, दि. १४
(प्रतिनिधी)ः मुंबई विद्यापीठाचे कुलगुरु कालिना यांच्या येथीलनिवासस्थानाचे वीजबिल लाखोंच्या घरात येत असून मागील ११ वर्षांत एकूण २५ लाख, २५ हजार, २७२ रुपये
खर्च करण्यात आल्याची माहिती 'आरटीआय' कार्यकर्ते अनिल गलगली यांस मुंबई विद्यापीठाने दिली आहे, तर एकूण बिलाच्या निम्म्याहून अधिक बिल हे विद्यमान कूलगुरु डॉ. सुहास पेडणेकर यांचे असून मागील चार वर्षांत त्यांनी १३ लाखांची वीज वापरली आहे. मागील तीन कूलगूरुंच्या तुलनेत वीजबिल वापरात डॉ. सुहास पेडणेकर यांची आघाडी आहे. त्यामुळे पेडणेकर यांना एवढी वीज का लागते, असा सवाल उपस्थित करण्यात
| Standalone | Consolidated | ||||||||
|---|---|---|---|---|---|---|---|---|---|
| Quarter Ended | Year | Quarter Ended | |||||||
| PARTICULARS | 31/12/2021 | 30/09/2021 | 31/12/2020 | Ended 31/03/2021 |
31/12/2021 | 30/09/2021 | 31/12/2020 | ||
| Revenue from Operations | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | ||
| Net Profit / (Loss) for the period(before Tax, | |||||||||
| Exceptional and/or Extraordinary items) | (3.16) | (2.89) | (4.51) | (5.22) | (3.16) | (2.89) | (4.51) | ||
| Net Profit / (Loss) for the period | (3.16) | (2.89) | (4.51) | (5.22) | (3.16) | (2.89) | (4.51) | ||
| Total Comprehensive Income for the period | (3.16) | (2.89) | (4.51) | (5.22) | (3.16) | (2.89) | (4.51) | ||
| Paid up Equity Share Capital (Face Value of | |||||||||
| Re. 10 each) | 1534.00 | 1534.00 | 1534.00 | 1534.00 | 1534.00 | 1534.00 | 1534.00 1 | ||
| Other Equity excluding Revaluation Reserves | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 l | ||
| Earnings per share (of Re. 10 each) | |||||||||
| (Not Annualised) | |||||||||
| - Basic & Diluted: | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 |
करण्यात येते आणि प्रतिबंधात्मक
I the above results at their respective Meetings 14. On the bruary 14, 2022. The Statutory Auditors of the Company have carried out Limited Review of the aforesaid results.
The above is an extract of the detailed format of the standalone and consolidated financial result The detailed consolidated financial results, as well as the detailed standalone financial results for the said period, filed with the Stock Exchange
pursuant to Regulation 33 of the SEBI (Listing Obligations and Disclosure Exchange's website (www.bseindia.com) and (www.nseindia.com) & the Company's website (www.atcomtech.co.in) For At
| Sd |
|---|
| Vikram Dosh |
| Chairman & Managing Directo |
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 NINE MONTHS ENDED 31ST DEC. 2021
| CAPACIT'E | PARTICULARS | Quarter Ended | Nine Months Ended | (Rupees in Lacs Year Endec |
|||||||||||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Regd Office: 605-607, Shrikant Chambers, Phase-I, 6th Floor, Adjacent to R. K. Studios, Sion-Trombay Road, Mumbai- 400 071. | CIN: L45400MH2012PLC234318 | 31/12/2021 | 30/09/2021 | 31/12/2020 | 31/12/2021 | 31/12/2020 | 31/03/2021 | ||||||||
| Statement of Unaudited Standalone and Consolidated Financial Results for the quarter and nine months ended December 31, 2021 | Tel: +91 (22) 7173 3717; Fax: +91 7173 3733; Email: [email protected]; Website: www.capacite.in | Income | (Unaudited) | (Unaudited) | (Unaudited) | (Audited) | (Audited) | (Audited) | |||||||
| (In ₹ lakhs except as stated) | (a) Revenue from Operations | $\sim$ | 0.00 | 208.16 | 0.32 | 401.84 | 423.52 | ||||||||
| Standalone | Consolidated | (b) Other Income | 10.68 | 177.57 | 11.21 | 196.69 | 59.43 | 68.07 | |||||||
| Sr. Particulars Nο |
Quarter ended December 31, |
December 31, | Nine months ended December 31. |
December 31, | Quarter ended | December 31, | Nine months ended December 31, |
Total Income | 10.68 | 177.57 | 219.37 | 197.01 | 461.27 | 491.59 | |
| 2021 Unaudited |
2020 Unaudited |
2021 Unaudited |
2021 Unaudited |
2020 Unaudited |
2021 Unaudited |
Expenses (a) Cost of materials consumed |
-- | $\sim$ | 0.00 | 0.00 | 0.00 | ||||
| Revenue from Operations | 36,553.74 | 30,576.01 | 98,888.99 | 36,553.74 | 30,576.01 | 98,888.99 | (b) Purchases of stock-in-trade | $\overline{\phantom{a}}$ | --- | 0.00 | 0.00 | 0.00 | |||
| Profit Before Tax | 1,723.71 | 2,055.11 | 4,608.39 | 1,650.02 | 2,065.62 | 4,517.96 | (c) Changes in Inventories of Finished Goods, | ||||||||
| Net Profit for the period Total comprehensive income for the period |
1,275.34 1,315.67 |
1,522.74 1,591.81 |
3,425.03 3,436.29 |
1,201.65 1,241.98 |
1533.25 1,602.32 |
3,334.60 3,345.86 |
Work-in-Progress & Stock-in-Trade (d) Cost of Construction |
$\overline{\phantom{a}}$ $\overline{\phantom{m}}$ |
. | 38.43 | 0.00 0.00 |
58.66 0.00 |
78.21 0.00 |
||
| Paid up Equity Share capital | 6,789.15 | 6,789.15 | 6,789.15 | 6,789.15 | 6,789.15 | 6,789.15 | (e) Employee benefits expenses | 8.71 | 8.57 | 7.42 | 24.81 | 21.53 | 29.23 | ||
| (Face value ₹10 each) Basic & Diluted Earnings per share |
1.88 | 2.24 | 5.04 | 1.77 | 2.26 | 491 | (f) Finance Cost | $\overline{\phantom{a}}$ | 0.05 | 0.00 | 0.16 | 0.16 | |||
| (Face Value of ₹10 each) | (g) Depreciation and amortisation expense (h) Other expenses |
0.39 19.31 |
0.39 26.24 |
0.71 13.58 |
1.17 65.09 |
2.13 40.99 |
2.72 74.42 |
||||||||
| Note: 1. The above unaudited financial results were reviewed by the Audit Committee and thereafter approved, taken on record by the Board of Directors of the Company at their respective |
$\overline{2}$ | Total Expenses | 28.41 | 35.20 | 60.19 | 91.07 | 123.47 | 184.74 | |||||||
| meetings held on February 14, 2022. | $\overline{\mathbf{3}}$ | Profit / (Loss) before exceptional and tax (1-2) | (17.73) | 142.37 | 159.18 | 105.94 | 337.80 | 306.85 | |||||||
| 2. The above is an extract of the detailed format of unaudited Standalone and Consolidated Financial Results filed with Stock Exchanges under Regulation 33 of the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015. The full format of the unaudited Standalone and Consolidated Financial Results for the quarter and nine months |
$\overline{4}$ | Exceptional items | |||||||||||||
| ended December 31, 2021 along with Limited Review Report of the Statutory Auditor are available on the websites of the Company at www.capacite.in and websites of the Stock | $5\overline{5}$ | Profit / (Loss) before tax (3-4) Tax Expense |
(17.73) | 142.37 | 159.18 | 105.94 | 337.80 | 306.85 | |||||||
| Exchanges at BSE Limited (www.bseindia.com) and National Stock Exchange of India Limited (www.nseindia.com) | For and on behalf of the Board of Directors of | a) Current Tax | |||||||||||||
| CAPACIT'E INFRAPROJECTS LIMITED | b) (Excess)/Short Tax Provision of earlier years | (0.19) | (0.19) | ||||||||||||
| Sd Rohit R. Katyal |
6 | c) Deferred tax Total Tax Expenses |
$\overline{\phantom{a}}$ $\sim$ |
32.45 32.45 |
32.45 32.26 |
32.45 32.26 |
|||||||||
| Date: February 14, 2022 Place: Mumbai |
Whole-time Director DIN: 00252944 |
Profit / (Loss) for the period from continuing | |||||||||||||
| operations (5-6) | (17.73) | 142.37 | 126.73 | 105.94 | 305.54 | 274.60 | |||||||||
| 8 9 |
Loss from discontinuing operations Tax expenses of discontinuing operations |
(1.99) $\overline{\phantom{a}}$ |
(2.22) | (25.36) $\sim$ |
(6.24) | (33.26) | (35.88) $\overline{\phantom{a}}$ |
||||||||
| ऑरिकॉन | 10 | Loss from discontinuing operations (8-9) | (1.99) | (2.22) | (25.36) | (6.24) | (33.26) | (35.88) | |||||||
| एन्टरप्राईजेस लि. | 11 | Profit / (Loss) for the period (7+10) | (19.72) | 140.15 | 101.37 | 99.70 | 272.28 | 238.72 | |||||||
| Other Comprehensive Income (Net on Tax) A. Items that will not be reclassified to Profit & Loss |
(0.00) | (0.06) | 0.03 | 0.07 | (0.07) | (0.18) | |||||||||
| नोंदणीकृत कार्यालयः १०७६, डॉ. ई. मोजेस रोड, वरळी, मुंबई - ४०००१८, ई-मेल पत्ताः [email protected], | सीआयएनः L28100MH1968PLC014156 | 12 | Total other Comprehensive Income | (0.00) | (0.06) | 0.03 | 0.07 | (0.07) | (0.18) | ||||||
| वेबसाईटः www.orianenterprises.com दूरध्वनी क्र.: ०२२-४३२२६६००; फॅक्स क्र.: ०२२ २४९६३०५५ | 13 | Total Comprehensive Income for the period (11+12) | (19.72) | 140.09 | 101.40 | 99.77 | 272.35 | ||||||||
| डिसेंबर ३१, २०२१ रोजी संपलेल्या त्रैमासिक/नऊमाही कालावधी करिता एकत्रित अलेखापरिक्षित वित्तीय निष्कर्षाचा सारांश | 14 | Paid up Equity Share Capital (Face Value Re 1/- each) |
402.24 | 402.24 | 402.24 | 402.24 | 402.24 | ||||||||
| (रुपये लाखात, ईपीएस वगळता) | 15 | Reserves excluding Revaluation Reserves as per | |||||||||||||
| तपशील | संपलेले त्रैमासिक ३१.१२.२०२१ ३०.०९.२०२१ ३१.१२.२०२० ३१.१२.२०२१ ३१.१२.२०२० ३१.०३.२०२१ |
संपलेली नऊमाही | संपलेले वर्ष | Balance Sheet of the previous accounting year | |||||||||||
| $\vert$ अलेखापरिक्षित $\vert$ अलेखापरिक्षित $\vert$ अलेखापरिक्षित $\vert$ अलेखापरिक्षित $\vert$ अलेखापरिक्षित $\vert$ लेखापरिक्षित | 16 | Earnings per Share EPS (a) Earning per share Basic & Diluted (in Rs) |
|||||||||||||
| कार्यातून एकूण उत्पन्न (निव्वळ) | 93306.88 | 90693.23 | 9939L.98 | 3809L.93 | २९२४५.५५ | ४३६६२.६७ | (For continuing operations) (not annualised) | (0.04) | 0.35 | 0.32 | 0.26 | 0.76 | |||
| कालावधीकरिता निव्वळ नफा /(तोटा) (कर, अपवादात्मक आणि/ किंवा असामान्य बाबींपूर्व) |
६७४.१२। | (909L L8) | (324.46) | (303.00) | (१५६४.१८) | (९०१.५२) | (b) Earning per share Basic & Diluted (in Rs) | ||||||||
| कालावधीकरिता करपूर्व निव्वळ नफा /(तोटा) (अपवादात्मक आणि/ किंवा असामान्य | ६७४.१२ | 768.09 | $(90$ ६.९८) | 98304.36 | (२७.७०) | 838.85 | (For discontinuing operations) (Not annualised) (c) Earning per share Basic & Diluted (in Rs) |
(0.00) | (0.01) | (0.06) | (0.02) | (0.08) | |||
| बाबींपश्चात) | 839.38 | (90.33) | २६०.३५ | २८४.६५ | (For total operations) (Not annualised) | (0.06) | 0.34 | 0.25 | 0.25 | 0.68 | 238.90 402.24 2283.97 0.68 (0.09) 0.59 |
||||
| कालावधीकरिता करपश्चात निव्वळ नफा /(तोटा) (अपवादात्मक आणि/किंवा असामान्य बाबींपश्चात) |
93.34 | 93366.93 | Notes: | ||||||||||||
| खंडीत उपक्रमांमधून कालावधीकरिता करपश्चात निव्वळ नफा / (तोटा) | (368.34) | (3480.88) | 89.08 | (3830.39) | $(\xi\circ\circ\cdot\circ\iota)$ | (980.98) | 1.The above results have been reviewed by the Audit Committee and approved by the Board of Directors at their respective meetings held on February 14, 2022. The Statutory Auditors have carried out a Limited Review of the results for Nine Months ended 31st Dec 2021. |
||||||||
| कालावधीकरिता करपश्चात निव्वळ नफा / (तोटा) | 88.88 | (3880.90) | 988.99 | १०४४६.६२ | (890.33) | (004.88) | 2. The above results have been prepared in accordance with Companies (Indian Accounting Standards) Rules, 2015 ('Ind As') prescribed | ||||||||
| कालावधीकरिता एकूण सर्वसमावेशक उत्पन्न (कालावधीकरिता नफा/(तोटा) (कर पश्चात) आणि इतर सर्वसमावेशक उत्पन्न (कर पश्चात) समाविष्ट) |
६४९३.८२ | (3880.38) | ४००६.६३ | 77379.63 | 9964.99 | 4697.79 | 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. |
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| इक्विटी समभाग भांडवल | ३१४०.९५ | 3980.94 | ३१४०.९५ | 3980.94 | ३१४०.९५ | ३१४०.९५ | . The Company has considered possible impact of known events arising from COVID 19 pandemic on the carrying amount of assets $\,$ in the | ||||||||
| राखीव (पुनर्मूल्यांकित राखीव वगळता गत वर्षाच्या लेखापरिक्षित ताळेबंदामध्ये दर्शविल्यानुसार) |
६९३६५.७० | preparation of financial statements. However, the impact assessment of COVID 19 is a continuing process given the uncertainities associated with its nature and duration. The company will continue to monitor any material changes to future economic conditions. The |
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| 0.30 | 0.33 | (0.03) | U.99 | 0.92 | 0.3l | Company has consider the internal and external source of information including economic forecasts and industry reports up to the date of | |||||||||
| ू (दर्शनी किंमत रु. २/- प्रत्येकी) - अखंडित उपक्रमामधून |
approval of the financial statements in determining the impact on various elements of its financial statements. The Company has use the principles of prudence in applying judgements, estimates and assumptions including sensitivity analysis and base on the current |
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| (दर्शनी किंमत रु. २/- प्रत्येकी) - खंडित उपक्रमामधून | $(0.9\xi)$ | (9.04) | 0.39 | (9.30) | (0.30) | (0.80) | 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. |
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| डिसेंबर ३१, २०२१ रोजी संपलेल्या त्रैमासिक/नऊमाही कालावधीकरिता महत्त्वाची स्वतंत्र वित्तीय माहिती | (रुपये लाखात) | . The Company has chosen to exercise the option of lower tax rate under section 115BAA of the Income Tax Act, 1961 introduced vide the | |||||||||||||
| संपलेले त्रैमासिक | संपलेली नऊमाही | संपलेले वर्ष | Taxation Laws (Amendment) Act, 2019. Accordingly, the tax expense for the period and consequently the profit after tax is not comparable with the corresponding figures of the previous year. |
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| तपशील | १९.१२.२०२१ ३०.०९.२०२१ ३१.१२.२०२० ३१.१२.२०२१ ३१.१२.२०२० ३१.०३.२०२१ | 5. The Company is primarily engaged in Real Estate business and after discontinuation of Umreth division there is only one reportable | |||||||||||||
| कार्यातून एकूण उत्पन्न (निव्वळ) | 93900.40 | 90693.23 | 8083.83 | 34698.88 | २३९५२.१९ | ३७७७२.३० | segment. | ||||||||
| ६१२.४२ | 9 ६ ६ ६.७ ६ | (69.60) | 94926.98 | (30.03) | ९५७.७४ | . During the year, Company has settled a case, as per Consent Term dated 25.09.2021 wherein company received Rs 2.11 Crore against | |||||||||
| करपश्चात निव्वळ नफा | 402.00 | १४२६.५५ | 93.99 | 94933.30 | २३२.९२ | L99.91 | advance given of Rs 0.41 Crore for purchase of land at Khalapur, District Raigad, Excess amount of Rs 1.70 Crore is shown as Other Income . The Company vide Board Resolution dated 23/09/2021 has accepted the proposal to settle the ongoing dispute. |
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| . Figures for the previous periods have been re-grouped / re-arranged wherever necessary. | For and on behalf of Board of Directors | ||||||||||||||
| संपलेल्या त्रैमासिक / नऊमाही कालावधीकरिता अलेखापरिक्षित स्वतंत्र आणि एकत्रित वित्तीय निष्कर्षाच्या विस्तृत प्रारुपाचा सारांश आहे. लेखापरिक्षित स्वतंत्र आणि एकत्रित वित्तीय निष्कर्ष स्टॉक एक्सचेंजच्या वेबसाईट्स (www.bseindia.com आणि www.nseindia.com) आणि कंपनीची वेबसाईट (www.orianenterprises.com) वर उपलब्ध आहेत. |
SKYLINE MILLARS LIMITED | ||||||||||||||
| ऑरिकॉन एन्टरप्राईजेस लिमिटेडकरिता | |||||||||||||||
| अ. क्र. U १० मूळ आणि सौम्यीकृत प्रति भाग उत्पन्न (ईपीएस) - असामान्य बाबींपूर्व ९१ मूळ आणि सौम्यीकृत प्रति भाग उत्पन्न (ईपीएस) − असामान्य बाबींपूर्व अ. क्र. २ किरपूर्व नफा $\overline{\mathbf{3}}$ टेपा १. वरीलविवरण हे सेबी (सूचीबद्धता दायित्वे आणि प्रकटीकरण आवश्यकता) नियमन, २०१५ च्या नियमन ३३ अन्वये स्टॉक एक्सचेंजकडे दाखल करण्यात आलेल्या डिसेंबर ३१, २०२१ रोजी ठिकाणः मुंबई दिनांकः फेब्रुवारी १४, २०२२ |
राजेंद्र सोमाणी व्यवस्थापकीय संचालक |
Place: Mumbai Date: 14/02/2022 |
Maulik Dave DIN No. 01448536 |
| ગ્વ સંસ્થારન વેદલ વગ્લેલા વિધાર્પાંઠ - વગવવાન હેપારચેત ફોત. | यत आह. | |||||||||||
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| CAPACIT'E | ||||||||||||
| CIN: L45400MH2012PLC234318 Regd Office: 605-607, Shrikant Chambers, Phase-I, 6th Floor, Adjacent to R. K. Studios, Sion-Trombay Road, Mumbai-400 071. Tel: +91 (22) 7173 3717; Fax: +91 7173 3733; Email: [email protected]; Website: www.capacite.in |
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| Statement of Unaudited Standalone and Consolidated Financial Results for the quarter and nine months ended December 31, 20 | ||||||||||||
| (In ₹ lakhs except as sta | ||||||||||||
| Standalone | Consolidated | |||||||||||
| ll Sr. | Quarter ended | Nine months ended | Quarter ended | Nine months en | ||||||||
| No. | Particulars | December 31. 2021 |
December 31, 2020 |
December 31. 2021 |
December 31. 2021 |
December 31. 2020 |
December 3 2021 |
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| Unaudited | Unaudited | Unaudited | Unaudited | Unaudited | Unaudited | |||||||
| Revenue from Operations | 36.553.74 | 30.576.01 | 98.888.99 | 36.553.74 | 30.576.01 | 98,888 | ||||||
| 2 | Profit Before Tax | 1,723.71 | 2,055.11 | 4,608.39 | 1,650.02 | 2,065.62 | 4,517 | |||||
| ' ვ | Net Profit for the period | 1,275.34 | 1,522.74 | 3,425.03 | 1,201.65 | 1533.25 | 3,334 | |||||
| $\sqrt{4}$ | Total comprehensive income for the period | 1.315.67 | 1.591.81 | 3,436.29 | 1.241.98 | 1,602.32 | 3,345 |