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SoftTech Engineers Limited — Annual Report 2025
May 27, 2025
62093_rns_2025-05-27_0fb96b7d-43e1-40af-a624-b4e056598f5a.pdf
Annual Report
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Date: May 27, 2025
To,
| National Stock Exchange of India Limited | BSE Limited |
|---|---|
| "Exchange Plaza", C-1, Block – G |
Floor 25, Phiroze Jeejeebhoy Towers |
| Bandra – Kurla Complex |
Dalal Street, |
| Bandra (East), Mumbai – 400051 |
Mumbai – 400001 |
| Symbol: SOFTTECH | Scrip Code: 543470 |
Subject: Submission of newspaper extracts of Audited Financial Results for the quarter and year ended March 31, 2025
Dear Sir/ Madam,
Pursuant to Regulation 47 of the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015, please find enclosed herewith extracts of Audited Standalone and Consolidated Financial Results for the quarter and year ended March 31, 2025, approved by the Board of Directors of the Company at their meeting held on Monday, May 26, 2025, published in the Newspaper viz.- Financial Express (in English) and Loksatta (in Marathi) on Tuesday, May 27, 2025.
Kindly take the same on your records.
FOR SOFTTECH ENGINEERS LIMITED
SHALAKA SATISH KHANDELWAL
Digitally signed by SHALAKA SATISH KHANDELWAL DN: c=IN, st=Maharashtra, 2.5.4.20=0ff52ac746976b289e76b59faf4c2c77a57986 9546f239207296924c081dfadb, postalCode=411041, street=FLAT NI D 1 902 GANGA BHAGYODAY SINHAGAD ROAD NEAR MANIBAUG PETROL PUMP PUNE CITY, pseudonym=a3f3c8b1a309141bf53ca4a8e87f6505, serialNumber=c5a400455bb9bb1178c59c80eca2f9d0 73b1d9c24f53ed346dd20b5d646eb970, o=Personal, cn=SHALAKA SATISH KHANDELWAL Date: 2025.05.27 14:01:07 +05'30'
SHALAKA KHANDELWAL COMPANY SECRETARY
FINANCIAL EXPRESS
20
YATHARTH HOSPITAL & TRAUMA CARE SERVICES LIMITED
Read. Office : JA 108 DLF Tower A Jasola District Centre South Delhi, Delhi 110025 India Corporate Office: HO-01, Sector-1 Greater Noida West Gautam Buddha Naoar UP 201306 India Website: www.yatharthhospitals.com Email: [email protected] CIN: L85110DL2008PLC174706
STATEMENT OF STANDALONE & CONSOLIDATED AUDITED FINANCIAL RESULTS FOR THE QUARTER & FINANCIAL YEAR ENDED 31ST MARCH, 2025
| Rs. in Million except Shares and EPS | ||||||||||
|---|---|---|---|---|---|---|---|---|---|---|
| Quarter Ended | STANDALONE | Year Ended | Quarter Ended | CONSOLIDATED | Year Ended | |||||
| Particulars | 31.03.2025 31.12.2024 31.03.2024 31.03.2025 31.03.2024 | 31.03.2025 31.12.2024 31.03.2024 31.03.2025 31.03.2024 | ||||||||
| Audited | Unaudited | Audited | Audited | Audited | Audited | Unaudited | Audited | Audited | Audited | |
| Revenue from operations | 1,119.92 | 1,104.11 | 1,055.93 | 4,542.41 | 4,197.91 | 2,317.81 | 2,191.55 | 1,777.53 | 8,804.87 | 6,705.47 |
| Profit / (loss) before exceptional items | ||||||||||
| and tax (III-IV) | 310.12 | 296.22 | 293.20 | 1,194.31 | 1,131.15 | 485.31 | 401.56 | 441.12 | 1,717.39 | 1,568.32 |
| Profit / (loss) before tax (V-VI) | 310.12 | 296.22 | 293.20 | 1,194.31 | 1,131.15 | 485.31 | 401.56 | 441.12 | 1,717.39 | 1,568.32 |
| Total tax (VIII) | 91.16 | 73.68 | 30.80 | 317.39 | 291.21 | 98.08 | 96.64 | 57.62 | 411.89 | 423.57 |
| Net Profit/(loss) after tax (VII-VIII) | 218.96 | 222.53 | 262.39 | 876.92 | 839.94 | 387.23 | 304.91 | 383.49 | 1,305.50 | 1,144.75 |
| Total comprehensive income for the period (IX+X) (Comprising Profit (Loss) and Other comprehensive income for the period). |
220.50 | 223.43 | 263.35 | 878.57 | 840.89 | 389.39 | 306.76 | 384.62 | 1,308.43 | 1,145.87 |
| Earnings Per Share (Rs.10 each) | ||||||||||
| Basic | 2.55 | 2.60 | 3.32 | 9.89 | 10.61 | 4.37 | 3.57 | 4.85 | 14.72 | 14.46 |
| Diluted | 2.55 | 2.60 | 3.32 | 9.89 | 10.61 | 4.37 | 3.57 | 4.85 | 14.72 | 14.46 |
NOTES:-
Place : Nolda
Date: 26.05.2025
1) The above Financial Results have been reviewed by the Audit Committee and approved by the Board of Directors at their meeting held on 26" May, 2025.
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) Requlations 2015. The full format of the Financial Results is available on the website of BSE at www.bseindia.com. NSE at www.nseindia.com and on the Company's website at www.yatharthhospitals.com/investors.
3) The above results of the Company have been audited by the Statutory Auditors and they have issued audit report on the same.
4) Previous figures have been regrouped/rearranged/reclassified, wherever necessary

For and on behalf of Yatharth Hospital & Trauma Care Sevices Ltd
Dr. Ajay Kurnar Tyagi Chairman and whole-time Director
DIN:01792886
d

CIN: L65910MH1993PLC302405
Regd Office: 3rd Floor, A-514, TTC Industrial Area, MIDC, Mahape, Navi Mumbai - 400701 E:[email protected]/Website:www.ggofinance.com/Tel No.: +91-8657400776
[Regulation 47 of the SEBI (LODR) Regulations, 2015]
| BSE Code - | Extract of Audited Standalone Financial Results for the quarter an |
|---|---|
| SOFTTECH ENGINEERS LIMITED | |
|---|---|
| CIN: L30107PN1996PLC016718 | |
| Registered Office : SoftTech Towers, S NO 1/1A/7 8 15 16 17 Plot No. BCD 1-Baner, Opp. Royal Enfield Showroom, Baner Road, Pune: 411045. | |
| Tel: +91 20 67183711Tel: +91 20 67183711 Website: www.softlech-engr.com/www.softlechglobal.com E-mail Id: [email protected] | |
| EXTRACTS OF STANDALONE AND CONSOLIDATED AUDITED FINANCIAL RESULTS FOR THE QUARTER AND YEAR ENDED 31ST MARCH, 2025 | |
| (Rs. in Lakhs) | |
| Consolidated Standalone |
| Standalone | Consolidated | |||||||||||
|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Quarter ended | Year ended | Quarter ended | Year ended | |||||||||
| SI. No. |
Particulars | 31-03-25 | 31-12-24 | 31-03-24 | 31-03-25 | 31-03-24 | 31-03-25 | 31-12-24 | 31-03-24 | 31-03-25 | 31-03-24 | |
| Audited | Unaudited | Audited | Audited | Audited | Audited | Unaudited | Audited | Audited | Audited | |||
| 1 | Total Income from Operations | 2,986.46 | 2,083.14 | 2,273.78 | 9,335.78 | 7,861.35 | 3,099.90 | 2,155.07 | 2,236.45 | 9,524.99 | 7877.59 | |
| $\overline{2}$ | Net Profit / (Loss) for the period (before Tax, Exceptional and/or Extraordinary items) |
136.10 | 148.98 | 286.58 | 680.32 | 935.97 | 54.81 | 76.63 | 188.37 | 327.11 | 564.37 | |
| 3 | Net Profit / (Loss) for the period before tax (after Exceptional and/or Extraordinary items) |
58.60 | 148.98 | 286.58 | 602.82 | 935.97 | 54.81 | 76.63 | 188.37 | 327.11 | 564.37 | |
| 4 | Net Profit / (Loss) for the period after tax (after Exceptional and/or Extraordinary items) |
22.20 | 104.35 | 214.25 | 414.00 | 697.14 | 6.33 | 30.94 | 122.95 | 133.07 | 332.45 | |
| 5 | Total Comprehensive Income for the period [Comprising Profit / (Loss) for the period (after tax) and Other Comprehensive Income (after tax)] |
18.61 | 103.94 | 242.11 | 409.18 | 712.59 | 3.75 | 26.06 | 222.79 | 131.05 | 415.60 | |
| 6 | Equity Share Capital | ÷ | ÷ | ä. | 1,380.71 | 1,281.91 | ÷ | ٠ | ٠ | 1,380.71 | 1281.91 | |
| $\overline{7}$ | Reserves (excluding Revaluation Reserve) as shown in the Audited Balance Sheet of the previous year |
ž. | $\sim$ | ۰ | 16,593.44 12,148.15 | w. | ۰ | ä, | 15,495.80 | 11326.84 | ||
| 8 | Earnings Per Share (Face Value of Rs. 10/-each) (for continuing and discontinued operations) - |
|||||||||||
| 1. Basic: | 0.16 | 0.81 | 1.67 | 3.16 | 6.17 | 0.03 | 0.14 | 0.99 | 1.00 | 3.17 | ||
| 2. Diluted: | 0.16 | 0.80 | 1.67 | 3.15 | 6.17 | 0.03 | 0.14 | 0.99 | 1.00 | 3.17 |
a) The above is an extract of the detailed format of the Quarter and Year ended Financial Results reviewed by the Audit Committee and approved by the Board of Directors at their respective meetings held on May 26, 2025 and the same is filed with the BSE Limited and National Stock Exchange of India Limited under Regulation 33 of the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015. The full format of Quarter and Year ended Financial Results are available on the website of Stock Exchanges at National Stock Exchange (www.nseindia.com) and Bombay Stock Exchange (www.bseindia.com) and also on the Company's website (www.softtech-engr.com/www.softtechglobal.com). For SoftTech Engineers Limited
Place : Pune Date: 26/05/2025

Sd/-Vijay Gupta CEO & Managing Director
MAGNUM VENTURES LIMITED CIN: L21093DL1980PLC010492
Regd. Office: Room No. 118, First Floor, MGM Commercial Complex, 4634/1, Plot No. 19, Ansari Road, Darya Ganj, New Delhi-110002 | Tel: 011-42420015 E-mail: [email protected] | Website: www.magnumventures.in
| ________ EXTRACT OF STATEMENT OF AUDITED FINANCIAL RESULTS FOR THE QUARTER & YEAR ENDED 31ST MARCH, 2025 |
|||
|---|---|---|---|
| (Amount in Lakhs) | |||
| which is a complete the complete that the complete the complete the complete that the complete the complete the | and the company of the company of the company of the |
| \$Í No. |
Particulars | Quarter Ended 31.03.2025 |
Quarter Ended 31.12.2024 |
Quarter Ended 31.03.2024 |
Year Ended 31.03.2025 |
Year Ended 31.03.2024 |
|---|---|---|---|---|---|---|
| (Audited) | (Un-audited) | (Audited) | (Audited) | (Audited) | ||
| $\ddagger$ $\tilde{Z}$ |
Total income from operations (net) Net Profit/ (Loss) for the period (before |
11941.30 | 10327.29 | 12248.64 | 39725.55 | 46234.79 |
| 3. | Tax, Exceptional and/or Extraordinary items) Net Profit/ (Loss) for the period before tax |
318.48 | 90.67 | $-181.13$ | 56.66 | 480.94 |
| 4.3 | (after Exceptional and/or Extraordinary items) Net Profit/ (Loss) for the period after tax |
228.13 | 112.84 | 405.74 | $-11.53$ | 1067.81 |
| 5. | (after Exceptional and/or Extraordinary items) Total Comprehensive Income for the period |
539.43 | 836.92 | 1242.77 | 949.58 | 2470.27 |
| [Comprising Profit / (Loss) for the period (after tax) & Other Comprehensive Income (after tax)] |
529.71 | 836.92 | 1372.86 | 939.86 | 2500.36 | |
| 6. | Paid up Equity Share Capital | 6641.13 | 6641.13 | 5888.63 | 6641.13 | 5888.63 |
| 7. | Reserves (excluding Revaluation Reserve) as shown in the Audited Balance Sheet |
NA | 12031.91 | 7867.62 | ||
| 8. | Securities Premium Account | 10867.77 | 10867.77 | 9739.02 | 10867.77 | 9739.02 |
| 9. | Net worth | 20936.61 | 19,810.34 | 15374.84 | 20936.61 | 15374.84 |
| 10. | Paid up Debt Capital/ Outstanding Debt | 17088 | 14450 | 15000 | 17088 | 15000 |
| 11. | Outstanding Redeemable Preference Shares | 525 | 525 | 1277.5 | 525 | 1277.5 |
| 12. 13. |
Debt Equity Ratio Earnings Per Share (of Rs 10/- each) (for continuing and discontinued operations) |
0.25 | 0.22 | 0.23 | 0.25 | 0.23 |
| Basic: | 0.82 | 1.31 | 2.74 | 1,45 | 5.04 | |
| Diluted: | 0.82 | 1.31 | 2.74 | 1.45 | 5.04 | |
| 14. | Capital Redemption Reserve | o | O | a | 0 | |
| 15. | Debenture Redemption Reserve | ũ | $\Omega$ | n | 0 | 0 |
| 16. | Debt Service Coverage Ratio | 2.47 | 4.93 | 5.02 | 6.2 | |
| 17. | Interest Service Coverage Ratio | 1.31 | 1.16 | 4.25 | 0.99 | 5.33 |

538646
year ended March 31, 2025
The Standalone Audited Financial Results of QGO Finance Limited ("the Company") along with the Auditors Reports from the Statutory Auditors of the Company for the Quarter and Year ended March 31, 2025 have been reviewed by the Audit Committee and approved by Board of Directors of the Company at their Meetings held on May 26, 2025, in terms of Regulations 33 of the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015.
The aforementioned Financial Results along with the Audited Reports of the Statutory Auditors thereon are available on the website of BSE (www.bseindia.com) and on the Company's website at https:// qgofinance.com/public-announcement/. The same can also be accessed by scanning the QR Code provided below:

By order of the Board For QGO Finance Limited sd/-Rachana Singi Managing Director
Date:26/05/2025 Place: Navi Mumbai
S
SABRIMALA
SABRIMALA INDUSTRIES INDIA LIMITED
CIN: L74110DL1984PLC018467 Regd. Off.: 109A (First Floor), Surya Kiran Building, 19 Kasturba Gandhi Marg, New Delhi-110001 website: www.sabrimala.co.in, Email: [email protected], Ph: 011-41514958
STATEMENT OF AUDITED STANDALONE AND CONSOLIDATED FINANCIAL RESULTS FOR THE FOURTH QUARTER AND FINANCIAL YEAR ENDED 31.03.2025
| (Rs. In Lacs) | |||||||
|---|---|---|---|---|---|---|---|
| Standalone | Consolidated | ||||||
| S. No |
Particular | Current Quarter ended 31.03.2025 |
Year to Date Figures/ Previous Year ending 31.03.2025 |
Corresponding in previous year 31.03.2024 |
Current Quarter ended 31.03.2025 |
Year to Date Figures/ Previous Year ending 31.03.2025 |
Corresponding in previous year 31.03.2024 |
| Audited | Audited | Audited | Audited | Audited | Audited | ||
| Total income from operations | 19.96 | 80.66 | 635.42 | 19.96 | 80.66 | 635.42 | |
| Net Profit / (Loss) for the period (before Tax, Exceptional and/or Extraordinary items) |
14.62 | 60.66 | 48.28 | 14.62 | 60.55 | 48.28 | |
| Net Profit / (Loss) for the period before tax (after Exceptional and/or Extraordinary items) |
14.62 | 60.66 | 48.28 | 14.62 | 60.55 | 48.28 | |
| 4 | Net Profit / (Loss) for the period after tax (after Exceptional and/or Extraordinary items) |
8.61 | 46.27 | 32.69 | 8.61 | 46.16 | 32.69 |
| 5 | Total Comprehensive Income for the period [Comprising Profit / (Loss) for the period (after tax) and Other Comprehensive Income (after tax)] |
8.61 | 46.27 | 32.69 | 903082 8.61 |
46.16 | 32.69 |
| 6 | Equity Share Capital | 871.45 | 871.45 | 871.45 | 871.45 | 871.45 | 871.45 |
| Earnings Per Share (of Rs. 10 /- each) (for continuing and discontinued operations) - |
|||||||
| Basic: | 0.10 | 0.53 | 0.38 | 0.10 | 0.53 | 0.38 | |
| 2. Diluted: | 0.10 | 0.53 | 0.38 | 0.10 | 0.53 | 0.38 |
Notes
The above is an extract of the detailed format of Quarterly/Annual Financial Results filed with the Stock Exchanges under Regulation 33 of the SEBI (Listing and Other Disclosure Requirements) Regulations, 2015. The full format of the Quarterly/Annual Financial Results are available on the website of the Stock Exchange(s) i.e www.bseindia.com and www.cse-india.com and the listed entity i.e www.sabrimala.co.in
- This statement has been reviewed by the Audit Committee and approved by the Board of Directors at its meeting held on 26.05.2025.
For and on behalf of Sabrimala Industries India Limited
Sdl Varun Mangla
Managing Director
Date: 26.05.2025
Place : New Delhi
Bandhan AMC Limited
CIN: U65993MH1999PLC123191 Regd. Office Address: 6th Floor, Tower 1C, One World Center, Senapati Bapat Marg, Prabhadevi (W), Mumbai - 400 013. Phone: +91-22-6628 9999. Email: [email protected]

Note: The above is an extract of the detailed format of Quarter and year ended Financial Results of 31st March 2025 filed with the Stock Exchanges under Regulation 33 and 52 of the SEBI (Listing and Other Disclosure Requirements) Regulations, 2015 as approved by the Board of directors in its meeting dated 26th May 2025. The full format of the said financial results are available on the Company's website (https://www.magnumventures.in/investors-relations/financial-results.html) and the website of BSE (www.bseindia.com) and NSE (www.nseindia.com) and can also be accessed by scanning the following Quick Response Code.

By the order of the Board For Magnum Ventures Limited $Sd/-$ Abhay Jain Managing Director

Date: 26.05.2025
VENUS PIPES & TUBES LIMITED (Formerly known as VENUS PIPES & TUBES PRIVATE LIMITED) CIN NO.: L74140GJ2015PLC082306
Survey No. 233/2 and 234/1, Dhaneti, Bhuj (Kachchh - 370020) Gujarat, India; Tel: +91 2836 232183 | E-mail: [email protected] | Website: www.venuspipes.com
EXTRACT OF AUDITED FINANCIAL RESULTS FOR THE QUARTER & YEAR ENDED MARCH 31, 2025
| SI No. |
Particulars | Quarter Ended 31.03.2025 |
Quarter Ended 31.12.2024 |
Quarter Ended 31.03.2024 |
Year Ended 31.03.2025 |
Year Ended 31.03.2024 |
|---|---|---|---|---|---|---|
| (Audited) | (Un-audited) | (Audited) | (Audited) | (Audited) | ||
| $\mathbf{1}$ $\hat{z}$ |
Total income from operations Net Profit for the period (before Tax, |
2,581.36 | 2,313.03 | 2,241.04 | 9,585.26 | 8,021.98 |
| $\overline{3}$ . | Exceptional and/or Extraordinary items) Net Profit for the period before tax (after |
324.13 | 241.99 | 338.09 | 1,253.66 | 1,156.43 |
| 4 | Exceptional and/or Extraordinary items). Net Profit for the period after tax (after |
324.13 | 241.99 | 338.09 | 1.253.66 | 1,156.43 |
| Exceptional and/or Extraordinary items) | 237.05 | 179.73 | 250.39 | 928.89 | 859.79 | |
| $\overline{5}$ | Total comprehensive income for the period (Comprising profit after tax and other comprehensive income after tax) |
232.17 | 179.61 | 249.79 | 923.57 | 859.21 |
| $6^{\circ}$ | Paid-up equity share capital (face value of Rs. 10/- each) |
204.31 | 203.67 | 202.96 | 204.31 | 202.96 |
| 7 | Reserves (excluding Revaluation Reserve) as shown in the Audited Balance Sheet of the previous year |
5,110.49 | 3,857.98 | |||
| 8 | Earnings Per Share (of Rs.10/- each) (not annualised) |
ĩ | ×, | |||
| Basic: | 11.65 | 8.84 | 12.34 | 45.65 | 42.36 | |
| Diluted: | 11.60 | 8.80 | 12.34 | 45.45 | 42.36 |

SIDENTIFIER
Website: www.bandhanmutual.com, www.bandhanamc.com
NOTICE
Declaration of Dividend:
Notice is hereby given that the Board of Directors of Bandhan Mutual Fund Trustee Limited (Trustee to Bandhan Mutual Fund) has approved the declaration of the following dividend under the Income Distribution cum Capital Withdrawal Option (IDCW option) of the Scheme(s)/Plan(s), subject to availability of *distributable surplus, with the Record Date as "Thursday, May 29, 2025.
| Scheme(s) Name | Plan(s) | Option(s) | NAV (in Rs.) Per Unit as on May 23, 2025 |
Dividend Proposed per unit* (in Rs.) |
|---|---|---|---|---|
| Bandhan Equity Savings Fund | Regular | Monthly IDCW | 11.000 | 0.055 |
| Bandhan Equity Savings Fund | Direct | Monthly IDCW | 11.664 | 0.058 |
| Bandhan Conservative Hybrid Fund (formerly known as Bandhan Regular Savings Fund) |
Regular | IDCW | 11.7328 | 0.0587 |
| Bandhan Conservative Hybrid Fund (formerly known as Bandhan Regular Savings Fund) |
Direct | IDCW | 13.7079 | 0.0685 |
| Bandhan Aggressive Hybrid Fund (formerly known as Bandhan Hybrid Equity Fund) |
Regular | IDCW | 19.053 | 0.111 |
| Bandhan Aggressive Hybrid Fund (formerly known as Bandhan Hybrid Equity Fund) |
Direct | IDCW | 21.464 | 0.125 |
| Bandhan Bond Fund - Medium Term Plan | Regular | Bi - Monthly IDCW | 10.4634 | 0.2507 |
| Bandhan Bond Fund - Medium Term Plan | Direct | Bi - Monthly IDCW | 10.7509 | 0.2681 |
Face Value per unit is Rs. 10/-.
- TDS and other statutory levies (if any) shall be levied on the amount received by the investor. Considering the volatile nature of markets, Trustee reserves the right to restrict the quantum of dividend upto the per unit distributable surplus available on the Record Date in case of fall in market.
-
If in any case the Record Date falls on a non-business day, the immediately following business day shall be deemed to be the Record Date. All investors whose names appear in the register of unit holders of the Scheme(s)/Plan(s)/Option(s) as on the close of the record date will be eligible to receive the dividend.
Pursuant to the payment of dividend, NAV of the Scheme(s)/Plan(s)/Option(s) will fall to the extent of payout and statutory levy (if any).
Date: May 26, 2025
MUTUAL FUND INVESTMENTS ARE SUBJECT TO MARKET RISKS, READ ALL SCHEME RELATED DOCUMENTS CAREFULLY.
Notes:
. The above is an extract from the statement 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 quarterly/annual financial results and notes there to are available on the stock exchange websites (ww.nseindia.com and www.bseindia.com) and the Company's website i.e. www.venuspipes.com.
. Notice is hereby given that pursuant to Section 91 of the Companies Act, 2013 and rules made thereunder and Regulation 42 of SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015, the Board of directors of the company at their meeting held on May 26, 2025 has recommended the final dividend of Rs 0.5 per equity share, i.e., 5% on face value of Rs 10/per equity share respectively for FY 2024-25 subject to approval of shareholders in the ensuing Annual General Meeting. With this, the total dividend declared for FY 2024-25 stands at Rs 1 per equity share of Rs 10/- each.
. The Shareholders of the Company, who have not yet registered/ updated their email address, are requested to register/update their email address with their depository participant or send their consent to [email protected] or [email protected] along with their folio no. / DPID CL ID and valid email address for registration/updation.

For and on behalf of Board For Venus Pipes & Tubes Limited Sd/-Mr Arun Kothari Chairman & Managing Director DIN: 00926613
"IMPORTANT"
Whilst care is taken prior to acceptance of advertising copy, it is not possible to verify its contents. The Indian Express (P) Limited cannot be held responsible for such contents, nor for any loss or damage incurred as a result of transactions with companies, associations or individuals advertising in its newspapers or Publications. We therefore recommend that readers make necessary inquiries before sending any monies or entering into any agreements with advertisers or otherwise acting on an advertisement in any manner whatsoever.






| । दामल म्हणाल, 'युवा ो आधी एकांकिकांमध्ये वे. त्यानंतर दीर्घांक, टक आणि व्यावसायिक ो त्याची चढती पायरी ्त्रो स्व $\Box$ ड्न चित्रपटाकडे असा ला पाहिजे. नाट्य ६० पैकी ३२ शाखा न त्यामध्ये पुणे शाखा आहे.' ———————————————————————————————————— |
वतीने शुक्रवारा $(307)$ 'दन्यूजमिनिट' यादक्षिण भारताशी संबंधित प्रसिद्ध वृत्त संकेतस्थळाच्या सहसंस्थापक, संपादक धन्या राजेन्द्रन व्यंकटेश चपळगावकर स्मृती व्याख्यानात 'भारतीय माध्यमांतला समकालीन दुभंग' या विषयावर व्याख्यान देणार असून, पत्रकार भवन येथे सकाळी आडेअकरा वाजता हे व्याख्यान शिणार आहे. |
$\sim$ गण्ळल आहत. त्यातील सर्वाधिक ३७ रुग्ण मुंबईत असून, त्याखालोखाल ठाण्यात रुग्णांची संख्या वाढली आहे. राज्यात मे महिन्यातील करोनाची एकृण रुग्णसंख्या ३६९ वर पोहोचली आहे. सार्वजनिक आरोग्य विभागाने दिलेल्या माहितीनुसार, राज्यात गेल्या २४ तासांत करोनाचे ६९ रुग्ण आढळले. त्यात मुंबई ३७, ठाणे , महापालिका १९, नवी मुंबई |
सम्बद्ध संसायत रुग्णांच्या चाचण्या करण्यात आल्या. त्यात ३६९ रुग्णांना करोनाचे निदान झाले. त्यात मुंबईत सर्वाधिक २८५ रुग्णांची नोंद झाली आहे. राज्यातील करोनाची सक्रिय रुग्णसंख्या २७८ असून, ८७ रुग्ण बरे झाले आहेत. राज्यात जानेवारीपासून आतापर्यंत करोनाच्या ४ रुग्णांचा मृत्यू झाला आहे. हे सर्व रुग्ण सहव्याधीग्रस्त होते. त्यातील एका रुग्णास मूत्रपिंडविकारासह |
|---|---|---|---|
| ार्डन, एलिस ब्रीज, अहमदाबाद - ३८० ००६. ा पेट्रोल पंप समोर, जे.एम.रोड, पुणे-४११००४. |
ताबा नोटीस (रुल $c(9)$ ) | महापालिका ७. पुणे महापालिका २ आणि |
चेताविकार होता, तर दुसऱ्या रुग्णास कर्करोग होता. तिसऱ्या रुग्णास ब्रेन |
| ऑफ फायनॅन्शिअल ॲसेट्स् ॲण्ड एन्फोर्समेंट ऑफ सिक्युरिटी इंटरेस्ट ॲक्ट २००२ च्या | , पिंपरी-चिचवड | स्ट्रोक आला होता आणि त्याला |
महापालिका,
लातूर
.
करून कर्जदार/सह–कर्जदार/गहाणदार यांना खालील नमूद तारखांना मागणी नोटीस| सीच्या तारखेपासून ६० दिवसाच्या आतपरत करावी. कर्जदार/सह-कर्जदार/गहाणदार| तसेच सर्वसाधारण जनता यांना नोटीस देण्यात येते की, खाली सही करणार यांनी सदर| घेकारांचा वापर करून खाली नमूद केलेल्या गहाण मालमत्तांचा खालील नमूद तारखांना| ना सावध करण्यातयेते की त्यांनी सदर मालमत्ता संदर्भात कोणताही व्यवहार करू नये. त्तोडविण्यासाठी संलन्ग उपलब्ध वेळेमध्ये कर्जदाराचे तक्ष सरफेसी ॲक्ट २००२ च्या
$\mathbb{R}$ $\mathbb{R}$
ा करोनाचे निदान ा सर्वाधिक २८५ ं आहे. राज्यातील रुग्णसंख्या २७८ ारे झाले आहेत. जानेवारीपासून च्या ४ रुग्णांचा . हे सर्व रुग्ण ते. त्यातील एका र्भापंडविकारासह र दुसऱ्या रुग्णास ाऱ्या रुग्णास ब्रेन ा आणि त्याला अपस्माराचा आजार होता. चौथ्या रुग्णास गंभीर स्वरूपाचा मधुमेहाचा
| राज्यातील करोना संसर्ग | |
|---|---|
| (१ जानेवारी ते २६ मे) | |
| करोना चाचण्या | ७ हजार ८३० |
| एकूण रुग्ण | ३६९ |
| मुंबईतील रुग्ण | 269 |
| सक्रिय रुग्ण | ૨૭૮ |
| बरे झालेले रुग्ण | $\zeta$ lg |
| रुग्ण मृत्यू | 8 |
नेमकी कशामुळे सुरू आहे, हे तपासण्यासाठी करोना विषाणूच्या प्रकाराचे जनुकीय क्रमनिर्धारण केले जाणार आहे. पुण्यात करोना पॉझिटिव्ह आढळून आलेल्या रुग्णांचे नमुने बी.जे.वैद्यकीय महाविद्यालयात जनूकीय क्रमनिर्धारणासाठी पाठविण्यात चेणार आहेत. याबाबत महाविद्यालयातील सूक्ष्मजीवशास्त्र विभागाचे प्रमुख डॉ. राजेश कार्यकर्ते यांच्यासह इतर तज्ज्ञांची बैठक सोमवारी झाली. यां बैठकीत हा निर्णय घेण्यात आला, अशी माहिती पुणे महापालिकेच्या आरोग्य प्रमुख डॉ. नीना बोराडे यांनी दिली.

| तारखनुसार थकबाको (रु.) |
|---|
| - १८,७३,४१४/– (रूपये अठरा लाख त्र्याहत्तर हजार चारशे चौदा फक्त) दि.१६/१२ २०२२ रोजी रक्कम देय रक्कम आहे आणि (या रकमेमध्ये दि.१६/१२/२०२२ पर्यंत ागू केलेले व्याज समाविष्ट आहे) आणि दि.१६/१२/२०२२ त्यावरील सदर रक्कम परत रेपर्यंतचे करारानुसार झालेले/होणारे व्याज, अनुषंगिक खर्च, शुल्क व्याजासहीत. |
| प्रत्यक्ष ताबा घेतल्याची तारीख: २१/०५/२०२५ |
| मापीत कार्पेट क्षेत्रफळ ५५.१८ चौ. मीटर, संलग्न टेरेस क्षेत्रफळ ५.४८ चौ. मीटर, जिल्हा.पुणे–४१२१०५. |
| . १८,७३,४६८/- (रुपये अठरा लाख त्र्याहत्तर हजार चारशे अडुसह फक्त) .१८/०९/२०२१९ रोजी देय रक्कम व्याजासहीत आणि त्यावरील सदर रक्कम परत रेपर्यंतचे करारानुसार झालेले/होणारे व्याज, अनुपंगिक खर्च, शुल्क व्याजासहीत. |
| प्रत्यक्ष तावा घेतल्याची तारीख: २१/०५/२०२५ |
| रोड या नावाने ओळखल्या जाणाऱ्या बिल्डिंग ए१ मध्ये, मोजमापीत क्षेत्रफळ ३०. ल्हा.पुणे. चर्तुःसीमा महसूल नोंदीनुसार. |
| ४,३८०/– (रुपये एकोणतीस लाख चौतीस हजार तीनशे ऍशी फक्त) दि.१४/१० रोजी देय रक्कम आणि त्यावरील दि. १५/१०/२०१९ पासूनचे सदर रक्कम परत करारानुसार झालेले/होणारे व्याज, अनुषंगिक खर्च, शुल्क व्याजासहीत. प्रत्यक तावा घेतल्याची तारीख: २१/०५/२०२५ |
| इट आणि संलग्न मोजमापीत टेरेस बिल्ट अप क्षेत्रफळ ८४ चौ. फुट. गणेश ग्रेस ?, ४/१/१, १ ते ४/१/२ वर बांघलेले, आंबेगाव बुटुक, तालुका हवेली, |
| ,३०,७०७/- (रूपये पंघरा लाख तीस हजार सातशे सात फक्त) दि. २२/०१ ५ रोजी देव रक्कम व्याजासहीत आणि त्यावरील |
| अनु | ३१ मार्च २०२५ रोजी संपलेल्या तिमाही आणि वर्षासाठी लेखापरीक्षित स्वतंत्र आणि एकत्रित आर्थिक निकालांचा सारांश ( रू. लाखांमध्ये) | स्वतत्र | एकत्रित | |||||||||
|---|---|---|---|---|---|---|---|---|---|---|---|---|
| ক.। | तपशील | संपलेल्या तिमाहीसाठी | संपलेल्या वर्षासाठी | संपलेल्या तिमाहीसाठी | संपलेल्या वर्षासाठी | |||||||
| ३१–०३–२५ लेखापरीक्षित |
३१–१२–२४ अलेखापरीक्षित |
$39 - 03 - 28$ लेखापरीक्षित |
$39 - 03 - 24$ लेखापरीक्षित |
३१–०३–२४ लेखापरीक्षित |
३१–०३–२५ लेखापरीक्षित |
$39 - 92 - 28$ अलेखापरीक्षित |
$39 - 03 - 28$ लेखापरीक्षित |
$39 - 03 - 24$ लेखापरीक्षित |
३१-०३-२४ लेखापरीक्षित |
|||
| १. कारभाराद्वारे एकूण उत्पन्न | 38.328.8 | 2,023.98 | 7,703.06 | $8,334.02$ 0, $C59.34$ 3, 088.80 2, 944.00 | 3,336.84 | 8,428.88 | 106101.48 | |||||
| २. कालावधीसाठी निव्वळ नफा /(तोटा) (करपूर्व अपवादात्मक आणि/किंवा असाधारण बाबींपूर्वी) |
935.90 | 98c.9c | २८६.५८ | 50.33 | 934.80 | 48.09 | $0\xi. \xi3$ | 922.30 | 370.99 | 488.30 | ||
| ३. कालावधीसाठी निव्वळ नफा / (तोटा) करपूर्व (अपवादात्मक आणि / किंवा असाधारण बार्बीनंतर) |
46.50 | 98c.9c | 225.46 | ६०२.८२ | 934.90 | 48.69 | 05.53 | 922.30 | 320.99 | 468.30 | ||
| ४. कालावधीसाठी करपश्चात निव्वळ नफा/तोटा (अपवादात्मक आणि/किंवा असाधारण बार्बीनंतर) |
55'50 | 908.34 | 598.54 | 898.00 | 899.98 | E.33 | 30.98 | 933.84 | 933.00 | ३३२.४५ | ||
| ५. कालावधीसाठी एकूण सर्वसमावेशक उत्पन्न [ या कालावधीसाठी (करानंतर) नफा/(तोटा) आणि इतर सर्वसमावेशक उत्पन्न (करानंतर)] |
9c.59 | $903.98$ 282.99 | 809.96 | 092.48 | 3.04 | 36.05 | 555.66 | 939.04 | 894.80 | |||
| ६. समभाग भांडवल | $9,300.09$ 9, 269.99 | |||||||||||
| ७. राखीव निधी (पुनर्मुल्यांकित राखीव निधी वगळून) मागील वर्षाच्या लेखापरीक्षित ताळेबंदात दाखवल्याप्रमाणे |
96, 493.88 92, 986.99 | 9,360.09 94,894.60 99325.68 |
9269.99 | |||||||||
| ८. प्रतिसमभाग मिळकत (रू.१०/– प्रत्येकी, दर्शनीमुल्याचा) (चालू आणि बंद केलेल्या कारभारासाठी) |
||||||||||||
| १.मूलभूत | 0.9E | 0.09 | 9.50 | 3.95 | 5.90 | 0.03 | 0.98 | 0.88 | 9.00 | |||
| २.सौमीकृत | $0.9\xi$ | 0.60 | 9.50 | 3.94 | E.90 | 0.03 | 0.98 | 0.99 | 9.00 | 3.90 3.90 |

