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SOLARA ACTIVE PHARMA SCIENCES LIMITED — Interim / Quarterly Report 2021
Nov 13, 2021
61842_rns_2021-11-13_f938d83b-4450-457f-9bc9-0fa8eef7d21b.pdf
Interim / Quarterly Report
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Communication Address: No. 28. Sardar Patel Road. Post Box 2630 Guindy. Chennai - 600 032. India Tel : +91 44 43446700. 22207500 Fax : +91 44 22350278 E-mail : [email protected] www.solara.co.in
November 13, 2021
The BSE Limited The National Stock Exchange of India Limited Phiroze Jeejeebhoy Towers Exchange Plaza, Bandra-Kurla Complex Dalal Street, Mumbai – 400 001 Bandra (E), Mumbai – 400 051
Scrip Code: 541540 Scrip Code: SOLARA
Dear Sirs,
Sub: Newspaper advertisement
Please find enclosed copies of the newspaper advertisement titled 'Consolidated unaudited financial results for quarter and six months ended September 30, 2021'. The advertisements appeared in Business Standard and Lokmat (Marathi version).
Kindly take on record of the above.
Thanking you,
Yours faithfully, For Solara Active Pharma Sciences Limited S Muralikrishna Digitally signed by S Muralikrishna Date: 2021.11.13 18:44:03 +05'30'
S. Murali Krishna Company Secretary .l <
| (Rs. in Lakhs) | |||||||||
|---|---|---|---|---|---|---|---|---|---|
| STANDALONE | CONSOLIDATED | ||||||||
| No. | Sl. Particulars | QuarterEnded | Half YearEnded | QuarterEnded | QuarterEnded | Half YearEnded | QuarterEnded | ||
| 30-Sep-21 30-Sep-21 30-Sep-20 30-Sep-21 30-Sep-21 30-Sep-20 | |||||||||
| Un-Audited Un-Audited Un-Audited Un-Audited Un-Audited Un-Audited | |||||||||
| 1 | Total Income From Operations | 10,008 | 23,535 | 10,932 | 9,775 | 20,344 | 5,424 | ||
| 2 | Net Profit/ (Loss) for the period | ||||||||
| (before Tax, Exceptional items ) | 1,485 | 2,928 | 1,166 | 1,309 | 2,485 | 602 | |||
| 3 | Net Profit/ (Loss) for the period before Tax | ||||||||
| (after Exceptional items ) | 1,485 | 2,928 | 1,166 | 1,309 | 2,485 | 602 | |||
| 4 | Net Profit/ (Loss) for the period after tax | ||||||||
| (after Exceptional items) | 1,143 | 2,169 | 770 | 980 | 1,860 | 450 | |||
| 5 | Total Comprehensive Income for the period | ||||||||
| (Comprehensive Profit/Loss) for the period (after tax) | |||||||||
| and Other Comprehensive Income (after tax) | 1,143 | 2,169 | 770 | 980 | 1,860 | 450 | |||
| 6 | Paid up Equity Share Capital | 3,548 | 3,548 | 3,548 | 3,548 | 3,548 | 3,548 | ||
| 7 | Other Equity | - | 65,087 | - | - | 58,380 | - | ||
| 8 | Earning per Share (of Rs.10 each) | ||||||||
| (for continuing and discontinued operations) | |||||||||
| 1) Basic | 3.22 | 6.11 | 2.17 | 2.76 | 5.24 | 1.27 | |||
| 2) Diluted | 3.22 | 6.11 | 2.17 | 2.76 | 5.24 | 1.27 |
Notes:
1 The above results and statement of Assets & Liabilities and cashflow statement were reviewed by the Audit Committee and have been taken on record by the Board of Directors of the Company at its Meeting held on 11th November,2021 along with limited review by the Statutory Auditors.
- 2 This statement has been prepared in accordance with the Companies (Indian Accounting Standards) Rules, 2015 (IND AS) prescribed under Section 133 of Companies Act,2013 and other recognized accounting practices and policies to the extent applicable. 3 Previous years figures have been regrouped, re-arranged and re-classified wherever necessary to confirm to current period's classification.
- 4 The Company is engaged in one segment viz."Real Estate /Real Estate Development and Related Activites "and as such ,during the
- current quarter there are no separate reportable segment as per IND AS -108 "Operating Segments". 5 The Company's operations were impacted by the Covid 19 pandemic. In preparation of these results, the Company has taken into account internal and external sources of information to assess possible impacts of the pandemic, including but not limited to assessment of liquidity and going concern, recoverable values of its financial and non-financial assets, impact on revenues and estimates of residual costs to complete ongoing projects. Based on current indicators of future economic conditions, the Company
has sufficient liquidity and expects to fully recover the carrying amount of its assets. Considering the evolving nature of the pandemic, its actual impact in the future could be different from that estimated as at the date of approval of these financial results. The Company will continue to monitor any material changes to future economic conditions. For Ajmera Realty & Infra India Limited
Sd/-
Place: Mumbai Rajnikant S. Ajmera Date: 11th November, 2021 Chairman & Managing Director

| $\alpha$ in Lacs except per share data) | ||||||||||
|---|---|---|---|---|---|---|---|---|---|---|
| Standalone | Consolidated | |||||||||
| Particulars | QuarterEnded | Half YearEnded | QuarterEnded | Half YearEnded | ||||||
| 30/9/2021 | 30/9/2020 | 30/9/2021 | 30/9/2021 | 30/9/2020 | 30/9/2021 | |||||
| Total income from operations (net) | 1036.46 | 794.41 | 1.873.26 | 1243.5 | 833.75 | 2,111.24 | ||||
| Net Profit/(Loss) for the period (before Tax,Exceptional and/or Extraordinary items) | 465.38 | 309.78 | 799.03 | 557.32 | 309.43 | 914.95 | ||||
| Net Profit / (Loss) for the period before tax(after Exceptional and/or Extraordinary items) | 465.38 | 309.78 | 799.03 | 557.32 | 309 43 | 914.95 | ||||
| Net Profit/(Loss) for the period after tax(after Exceptional and/or Extraordinary items) | 352.39 | 233.02 | 597.81 | 420.37 | 231.96 | 684.00 | ||||
| Total Comprehensive Income for the periodComprising Profit/(Loss) for the period(after tax) and Other Comprehensive Income(after tax)] | 1461.43 | 397.49 | 2,114.90 | 1644.98 | 491.07 | 2,414.04 | ||||
| Equity Share Capital | 2091.17 | 2.091.17 | 2.091.17 | 2091.17 | 2.091.17 | 2.091.17 | ||||
| Reserves (excluding Revaluation Reserve)as shown in the Audited Balance Sheet ofthe previous year | ||||||||||
| Earnings Per Share (of ₹10/- each)(for continuing and discontinued operations) -Before Extra- Ordinary items1. Basic:2. Diluted: | 1.691.69 | 1.111.11 | 2.862.86 | 2.022.02 | 1.111.11 | 3.273.27 |
| SI.No | Particulars | Quarter ended30 September 2021 | Half year ended30 September 2021 | Half Year ended30 September 2020 | Year ended31 March 2021 |
|---|---|---|---|---|---|
| Unaudited | Unaudited | Unaudited | Audited | ||
| 1 | Total Income from Operations | 1,886.01 | 3,401.70 | 3,459.74 | 6,882.78 |
| $\overline{2}$ | Net Profit / (Loss) for the period (before Tax, Exceptionaland/or Extraordinary items) | 873.84 | 385.85 | 144.33 | 731.16 |
| 3 | Net Profit / (Loss) for the period before tax(after Exceptional and/or Extraordinary items) | 873.84 | 385.85 | 144.33 | 731.16 |
| 4 | Net Profit / (Loss) for the period after tax(after Exceptional and/or Extraordinary items) | 809.26 | 281.27 | 104.67 | 521.48 |
| 5 | Total Comprehensive Income for the period[Comprising Profit / (Loss) for the period (after tax)and other Comprehensive Income (after tax)] | 807.73 | 279.74 | 104.94 | 523.17 |
| 6 | Paid up Equity Share Capital | 9.579.73 | 9,579.73 | 9.579.73 | 9.579.73 |
| $\overline{7}$ | Reserves (excluding Revaluation Reserve) | 1,423.02 | 1,423.02 | 725.05 | 1,143.29 |
| 8 | Securities Premium Account | 3,320.27 | 3,320.27 | 3,320.27 | 3,320.27 |
| 9 | Net worth | 14,323.02 | 14,323.02 | 13.625.05 | 14,043.29 |
| 10 | Paid up Debt Capital / Outstanding Debt | 55,573.96 | 55,573.96 | 58,204.71 | 57,059.54 |
| 11 | Outstanding Redeemable Preference Shares | NA | NA | NA | NA |
| 12 | Debt Equity Ratio | 3.88 | 3.88 | 4.27 | 4.06 |
| 13 | Earnings Per Share (of Rs. 10/- each) (for Continued anddiscontinued operations) | ||||
| (a) Basic | 0.84 | 0.29 | 0.11 | 0.54 | |
| (b) Diluted | 0.84 | 0.29 | 0.11 | 0.54 | |
| 14 | Capital Redemption Reserve | NA | NA | NA | NA |
| 15 15 | Debenture Redemption Reserve | NA | NA | NA | NA |
| 16 | Debt Service Coverage Ratio | NA | NA | NA | NA |
| 17 | Interest Service Coverage Ratio | NA | NA | NA | NA |
AJMERA REALTY & INFRA INDIA LIMITED
**CIN:**L27104MH1985PLC035659
Regd Office: 2nd Floor, Citi Mall, New Link Road, Andheri (W), Mumbai - 400 053
Tel: +91-22-66984000 | Fax : +91-22-26325902 | Website: www.ajmera.com | E-mail Id: [email protected] EXTRACT OF THE STANDALONE AND CONSOLIDATED UNAUDITED FINANCIAL RESULTS FOR THE
QUARTER AND HALF YEAR ENDED 30TH SEPTEMBER, 2021
| HB PORTFOLIO LIMITEDCIN : L67120HR1994PLC034148Registered Office : Plot No. 31, Echelon Institutional Area, Sector 32, Gurugram - 122001, HaryanaPhone : + 91-124-4675500 Fax :+91-124-4370985E-mail : [email protected], Website : www.hbportfolio.comSTATEMENT OF UN-AUDITED FINANCIAL RESULTS (CONSOLIDATED AND STANDALONE)FOR THE QUARTER AND HALF YEAR ENDED 30/09/2021 | ||||||||||
|---|---|---|---|---|---|---|---|---|---|---|
| ConsolidatedStandaloneS.ParticularsNo.Quarter Corresponding Half YearQuarterCorresponding Half Yearended3 monthsendedended3 monthsended in theended in theprevious yearprevious year | (Rs. In Lakhs)ended | |||||||||
| 30/09/2021Un-audited | 30/09/2020Un-audited | 30/09/2021 30/09/2021Un-audited Un-audited | 30/09/2020Un-audited | 30/09/2021Un-audited | ||||||
| 1. Total Income from Operations (net)2. Net Profit / (Loss) for the period(before Tax, Exceptional items) | 358.03(13.42) | 421.39134.53 | 872.01287.44 | 50.44(13.82) | 25.18(11.88) | 58.81(45.79) | ||||
| 3. Net Profit / (Loss) for the period before tax(after Exceptional items) | (13.42) | 134.53 | 287.44 | (13.82) | (11.88) | (45.79) | ||||
| 4. Net Profit / (Loss) for the period after tax(after Exceptional items) | (13.59) | 83.75 | 273.11 | (14.39) | (12.87) | (46.96) | ||||
| 5. Total Comprehensive Income for the period[Comprising Profit/ (Loss) for the period (after tax)and other Comprehensive Income (after tax)] | 193.93 | 924.28 | 5176.60 | 153.62 | 829.69 | 4696.31 | ||||
| 6. Equity Share Capital7. Reserves (excluding Revaluation Reserve asshown in the Balance Sheet of previous year)8. Earnings Per Share (of Rs. 10/- each) | 1076.42NA | 1076.42NA | 1076.42NA | 1076.42NA | 1076.42NA | 1076.42NA | ||||
| (for continuing and discontinued operations)-Basic:Diluted: | (0.20)(0.20) | 0.510.51 | 2.412.41 | (0.13)(0.13) | (0.12)(0.12) | (0.44)(0.44) |
Notes:
(i) The above is an extract of the detailed format of the Quarterly/ Half Yearly Financial Results filed with the Stock Exchange under Regulation 33 of the SEBI (ListingObligations and Disclosure Requirements) Regulations, 2015. The full format of theQuarterly/ Half Yearly Financial Results is available on thewebsite of Stock Exchange, BSELimited,**www.bseindia.com**andCompany's website,www.hbportfolio.com
(ii) The aforesaid resultswere placed before and reviewed by theAuditCommittee at itsmeeting held on 11thNovember, 2021 and approved by the Board of Directors at itsmeeting held on the same date.
For HB Portfolio Limited
| Place : GurugramDate : 11/11/2021 | ANIL GOYAL(Managing Director)DIN: 00001938 |
|---|---|
| --------------------------------------- | ---------------------------------------------------- |

| $(15.11)$ ranns, except per equity share data) | |||||||||||
|---|---|---|---|---|---|---|---|---|---|---|---|
| Quarter ended | Half year ended | Year ended | |||||||||
| SINo. | Particulars | 30-Sep-21 | 30-Jun-21 | 30-Sep-20 | 30-Sep-21 | 30-Sep-20 | 31-Mar-2021 | ||||
| (unaudited) | (unaudited) | (unaudited) | (unaudited) | (unaudited) | (Audited) | ||||||
| Revenue from operations | 15,899.35 | 14,839.42 | 15,035.22 | 30,738.77 | 19,586.49 | 53,286.05 | |||||
| 2 | Profit/ (loss) before tax | 719.11 | 505.88 | 1,385.04 | 1,224.99 | (33.51) | 3,244.94 | ||||
| 3 | Profit for the period / year | 513.68 | 375.15 | 1,181.40 | 888.83 | 129.08 | 2,562.03 | ||||
| 4 | Total comprehensive income for the period / year | 554.80 | 465.32 | 1,263.76 | 1.020.12 | 279.15 | 1,983.72 | ||||
| 5 | Paid up equity share capital(Face value of Rs. 10 each) | 3.147.50 | 3.147.50 | 3.147.50 | 3.147.50 | 3.147.50 | 3,147.50 | ||||
| 6 | Reserves i.e. Other Equity | 40,784.19 | |||||||||
| $\overline{7}$ | Earnings per share (Rs.) | ||||||||||
| (Not annualised in the quarters) | |||||||||||
| (i) Basic | 1.63 | 1.19 | 3.75 | 2.82 | 0.41 | 8.14 | |||||
| (ii) Diluted | 1.63 | 1.19 | 3.75 | 2.82 | 0.41 | 8.14 |

Sd/-
| (Rs. in Crores except per share data) | |||||||||
|---|---|---|---|---|---|---|---|---|---|
| SI.No. | Particulars | 3 monthsended | Preceding3 monthsended | Corresponding3 monthsended in theprevious year | Year to datefigures for thecurrent periodended | Year to datefigures for theprevious periodended | PreviousFinancialYear ended | ||
| 30.09.2021 | 30.06.2021 | 30.09.2020 | 30.09.2021 | 30.09.2020 | 31.03.2021 | ||||
| UNAUDITED | UNAUDITED | UNAUDITED | UNAUDITED | UNAUDITED | AUDITED | ||||
| Continuing operations: | |||||||||
| Total income from operations | 404.92 | 411.48 | 403.68 | 816.40 | 756.68 | 1.645.65 | |||
| $\overline{2}$ | Net Profit for the period before tax | 29.68 | 50.11 | 56.77 | 79.79 | 99.09 | 221.50 | ||
| 3 | Net Profit for the period after tax | 29.68 | 50.11 | 56.69 | 79.79 | 98.96 | 221.35 | ||
| 4 | Other Comprehensive Income for the period | 0.39 | (0.06) | (3.09) | 0.33 | (3.08) | (2.40) | ||
| 5 | Total Comprehensive Income for the period $(3 + 4)$ | 30.07 | 50.05 | 53.60 | 80.12 | 95.88 | 218.95 | ||
| 6 | Equity Share Capital | 35.92 | 35.92 | 35.81 | 35.92 | 35.81 | 35.92 | ||
| $\overline{7}$ | Other Equity | 1,552.60 | |||||||
| 8 | Earnings Per Share (of Rs. 10/- each) (for continuing operations) - | ||||||||
| Basic (Rs.) | 8.27 | 13.95 | 19.21 | 22.22 | 34.96 | 69.00 | |||
| Diluted (Rs.) | 8.22 | 13.88 | 17.25 | 22.10 | 31.99 | 64.52 | |||
| Madana |
लोकमत

सोलारा ॲक्टीव्ह फार्मा सायन्सेस लिमिटेड
CIN: L24230MH2017PLC291636
नॉदणीकृत कार्यालयः २०१, देवव्रत्त, सेक्टर-१७, वाशी, नवी मुंबई – ४०० ७०३. | कॉर्पोरेट कार्यालयः नं. २८, सरदार पटेल रोड, गिन्डी, चेन्नई – ६०० ०३२ ३० सप्टेंबर, २०२१ रोजी तिमाही आणि सहामाहीसाठी संपलेले संकलित एकत्रित अलेखापरीक्षीत वित्तीय निष्कर्ष
| (પ્રાંત શંઅર કદા વંગळતા રુ. જ્ઞાદામધ્ય | |||||||||||
|---|---|---|---|---|---|---|---|---|---|---|---|
| अ.弻. | तपशील | संपलेलीतिमाही | मागीलसंपलेलीतिमाही | मागील वर्षातीलसंपलेलीसंबंधीत तिमाही | संपलेल्या चालकालावधीसाठीआजची आकडेवारी | मागील संपलेल्याकालावधीसाठीआजची आकडेवारी | मागीलसंपलेलेआर्थिक वर्ष | ||||
| 990, 90, 08 | 90.08.9079 | 0909.90.08 | 90.09.9079 | 0909.2020 | 99.50, 50.95 | ||||||
| अलेखापरीक्षीत | अलेखापरीक्षीत | अलेखापरीक्षीत | अलेखापरीक्षीत | अलेखापरीक्षीत | लेखापरीक्षीत | ||||||
| चालु असलेले संचालन | |||||||||||
| ∣ং | प्रवर्तनातून एकूण उत्पन्न | 404.92 | 411.48 | 403.68 | 816.40 | 756.68 | 1,645.65 | ||||
| र | कालावधीसाठी करपूर्व निव्वळ नफा | 29.68 | 50.11 | 56.77 | 79.79 | 99.09 | 221.50 | ||||
| ą | कालावधीसाठी करोत्तर निव्वळ नफा | 29.68 | 50.11 | 56.69 | 79.79 | 98.96 | 221.35 | ||||
| $\mathbf x$ | कालावधीसाठी इतर सर्वसामावेशक उत्पन्न | 0.39 | (0.06) | (3.09) | 0.33 | (3.08) | (2.40) | ||||
| $\epsilon$ | कालावघीसाठी एकूण सर्वसामावेशक उत्पन्न (३+४) | 30.07 | 50.05 | 53.60 | 80.12 | 95.88 | 218.95 | ||||
| ą | समभाग भांडवल | 35.92 | 35.92 | 35.81 | 35.92 | 35.81 | 35.92 | ||||
| U | इतर समभाग | 1,552.60 | |||||||||
| $\epsilon$ | प्रति समभाग प्राप्ती (प्रत्येकी रु. १० चे) | ||||||||||
| (संचालन सुरु ठेवण्याकरिता) – | |||||||||||
| मूलभूत (रु.) | 8.27 | 13.95 | 19.21 | 22.22 | 34.96 | 69.00 | |||||
| सौम्यिकृत (रु.) | 8.22 | 13.88 | 17.25 | 22.10 | 31.99 | 64.52 |
टिपा:
१. वरील माहिती म्हणजे सेबी (लिस्टिंग ऑब्लिगेशन्स ॲण्ड ऑदर डिस्क्लोजर रिक्वायरमेंट्स) रेग्युलेशनस, २०१५ च्या रेग्युलेशन ३३ अंतर्गत स्टॉक एक्स्बेंजेसमध्ये सादर केलेल्या तिमाही आणि सहामाहीसाठी संपलेल्या वित्तीय निष्कर्षाचा तपशीलवार विवरणाचा एक उतारा आहे. वित्तिल निष्कर्षाचे संपूर्ण विवरण स्टॉक एक्स्चेनेसच्या वेबसाईट्स एनएससी लिमिटेड (www.nseindia.com) आणि बीएससी लिमिटेड (www.bseindia.com) वर तसेच कंपनीची वेबसाईट (www.solara.co.in) वर उपलब्ध आहे.
२. वरील सोलारा ॲक्टीव्ह फार्मा सायन्सेस लिमिटेड ("दि कंपनी") च्या संकलित एकत्रित वित्तिय निष्कर्षां लेखापरीक्षण समितीद्वारे पुनरावलोकन करण्यात आले होते व संचालक मंडळाद्वारे त्यांच्या दि. ११ नोव्हेंबर, २०२१ रोजी आयोजित सभेत त्यांना मंजुरी देण्यात आली आहे. दि. ३० सप्टेंबर, २०२१ रोजी संपलेल्या तिमाही आणि सहामाहीकरिताच्या निष्कर्षांचे डीलॉइट हस्किन ॲन्ड सेल्सएलएलपी – कंपनीचे वैधानिक लेखापरिशक यांनी पुनरावलोक अपरिवर्तित निष्कर्ष व्यक्त केले आहे.
०१ एप्रिल, २०२१ पासून लागू झालेल्या कंपनी कायदा, २०१३ च्या सुधारित शेडघूल ३ च्या आवश्यकतांचे पालन करण्यासाठी आवश्यक असलेल्या वर्गीकरणाशी सुसंगतपणे आवश्यक असेल तेथे पूर्वीच्या ₹. कालावधीशी संबंधित आर्थिक माहितीचे पुनर्गठण/पुनर्वर्गीकरण केले गेले आहे.
संचालक मंडळाच्या वतीने आणि साठी सही/-
ठिकाण : बंगळुरूदिनांक : ११ नोव्हेंबर, २०२१
भारत आर. सेशा - व्यवस्थापकीय संचालक आणि सिईओ
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