AI assistant
Soma Textile & Industries Ltd — Interim / Quarterly Report 2021
Aug 18, 2021
63350_rns_2021-08-18_b2d42365-ccb3-42e6-b853-8b3726bef6a5.pdf
Interim / Quarterly Report
Open in viewerOpens in your device viewer

SOMA TEXTILES & INDUSTRIES LTD.
A GOVT. RECOGNISED EXPORT HOUSE CIN: L51909WB1940PLC010070 REGD. OFFICE : 2, RED CROSS PLACE, KOLKATA - 700 001, INDIA TEL: (033) 2248-7406/07, FAX: (033) 2248-7045 E-mail: [email protected] / [email protected] Website : www.somatextiles.com
STIL/SECY/KOL/2020-21/
18th August, 2021
The Corporate Relationship Dept. Bombay Stock Exchange Ltd., Piroze Jeejeebhoy Towers, 1st Floor, New Trading Ring Rotunda, Dalal Street, Mumbai - 400 001
The Secretary, National Stock Exchange of India Ltd, Exchange Plaza, 5th Floor, Plot No. C/1, G-Block Bandra-Kurla Complex, Bandra (E), Mumbai - 400 051
Sub: Disclosure under Regulation 30 of the SEBI Listing Obligations and Disclosures Requirement) Regulations, 2015, as submission of paper cutting of the Unaudited financial results of the company published in the newspapers.
Pursuant to regulation 30 of the SEBI Listing Obligations and Disclosure Requirements) Regulations, 2015, enclosed please find paper cutting of the unaudited financial results of the company published in the Financial Express (English Edition) and Ekdin (Bengali Edition), Newspapers.
Kindly take the same on record.
Yours faithfully, For Soma Textiles & Industries Limited
$(A, K, Mishra)$ Company Secretary
Encl: as stated
Head Office & Works: Rakhial Road, Ahmedabad - 380 023, India Tel: (079) 2274-3285-8, Fax: (079) 2274 5653
Corporate Office : 6, Vaswani Mansion, Dinshaw Wachha Road, Backbay Reclamation, Mumbai - 400 020 Tel: (022) 2283 6519-20, 2282 6076-77, Fax: (022) 2285 1173

òÎ˚y!î!Õ'ñ 14 xÜfi›˛n ˆÑ˛ˆÏwÓ˚ xyòy !Óì˛!Ñ≈˛ì˛ Ñ,˛!°Ï xy£zˆÏòÓ˚ ≤Ã!ì˛ÓyˆÏî ˆîˆÏüÓ˚ 75ì˛õ fl˛∫yï#òì˛y !îӈϢ ˆö˛Ó˚ ˛ôˆÏÌ òyõˆÏäÈò Ñ,˛°ÏÑ˛Ó˚y– Ú!Ñ˛°Ïyò õãî%Ó˚ xyãy!î ¢Ç@˘Ãyõ !îÓ¢Û ˛ôyúò Ñ˛Ó˚ˆÏÓò ì˛y§Ó˚y– ÷ï% !î!Õ' òÎ˚ñ ˛ôOyÓÈÙÈ£!Ó˚Î˚yòyˆÏì˛Á ›˛ΔyQÓ˚ !õ!äȈÏúÓ˚ ›˛ΔyQÓ˚ !õ!äȈÏú ˆòì,˛c ˆîˆÏÓò õ!£úyÓ˚y–ãyòy !܈ÏÎ˚ˆÏäÈñ £!Ó˚Î˚yòyÓ˚ !ãrî ˆãúyÎ˚ ›˛ΔyQÓ˚ !õ!äÈú ˆÓÓ˚ Ñ˛Ó˚ˆÏÓ Ñ,˛°ÏÑ˛Ó˚y– ü!òÓyÓ˚ v˛zäÈyòy Ñ˛yúyòÈÙÈ~ ÎyÓ˚ ~Ñ˛≤Ãfl˛i !Ó˚£y¢≈yúÁ Ñ˛Ó˚y £Î˚–
| Extract of Unaudited Financial Results for the Quarter ended 30th June, 2021 ( in Lacs | |||
|---|---|---|---|
| QUARTER ENDED | YEAR ENDED | ||
| PARTICULARS | 30-06-2021 | 30-06-2020 | 31-03-2021 |
| UNAUDITED | UNAUDITED | AUDITED | |
| Total income from operations (Net) | 4,854 | 1,188 | 11,197 |
| Net Profit / (Loss) for the period (before tax, | |||
| Exceptional and/or Extraordinary items) | 378 | (507) | (874) |
| Net Profit / (Loss) for the period before tax | |||
| (after Exceptional and/or Extraordinary items) | 378 | (507) | (874) |
| Net Profit / (Loss) for the period after tax | |||
| (after Exceptional and/or Extraordinary items) | 378 | (507) | (874) |
| Total Comprehensive income for the period/ | |||
| (Loss) {comprising Profit/ (Loss) for the period | |||
| (after tax) and other comprehensive income (after tax)} | 375 | (509) | (884) |
| Paid Up Equity Share Capital | 8793 | 8793 | 8793 |
| Earnings Per Share (before and after extraordinary | |||
| items) (of ₹ 10/- each) (not annualised) : | |||
| Basic (₹) | 0.43 | (0.58) | (0.99) |
| Diluted $(3)$ | 0.43 | (0.58) | (0.99) |
| B-R-10 |
Ñ˛úÑ˛yì˛yñ 15 xÜfi›˛˛ 2021 7
ò,üÇ¢¶˛yˆÏÓ !òˆÏãÓ˚ î%£z ¢hs˛yòˆÏÑ˛ '%ò Ñ˛Ó˚ú ÓyÓyñ ˆ@˘ÃÆyÓ˚ x!¶˛Î%_´
ÁÎ˚y!üÇ›˛òñ 14 xÜfi›˛ n Ú¶˛!ӰσˆÏì˛ ˜îì˛ƒ £ˆÏÎ˚ v˛z‡˛ˆÏì˛ ˛ôyˆÏÓ˚ î%£z ¢hs˛yò– Ú!˛ôüyˆÏâ˛Ó˚Û !v˛~ò~ Ó£ò Ñ˛Ó˚ˆÏäÈ ì˛yÓ˚y–Û ì˛y£z !ÓŸªÓy¢#ˆÏÑ˛ ˜îì˛ƒˆÏîÓ˚ £yì˛ ˆÌˆÏÑ˛ Óy§â˛yˆÏì˛ !òˆÏãÓ˚ î%£z ¢hs˛yòˆÏÑ˛ ò,üÇ¢¶˛yˆÏÓ £ì˛ƒy Ñ˛Ó˚ˆÏúò ÓyÓy– ~Ñ%˛ü üì˛ˆÏÑ˛ îy§!v˛¸ˆÏÎ˚ ˆfl˛Àö˛ Ñ%˛¢Çfl˛ÒyˆÏÓ˚Ó˚ ÓˆÏü ~õò ᛲòy ᛲyˆÏúò ~Ñ˛ õy!Ñ≈˛ò òyÜ!Ó˚Ñ˛– Î!îÁ ì˛yˆÏÑ˛ ˆ@˘ÃÆyÓ˚ Ñ˛ˆÏÓ˚ˆÏäÈ xyˆÏõ!Ó˚Ñ˛yÓ˚ ˛ô%!úü– õƒyÌ% ˆ›˛úÓ˚ ˆÑ˛yúõƒyò– ÓÎ˚¢ 40 ÓäÈÓ˚– Ñ˛ƒy!úˆÏö˛y!ò≈Î˚yÓ˚ Óy!¢rîy– î%£z ¢hs˛yò ~ÓÇ fl˛f#ˆÏÑ˛ !òˆÏÎ˚ ¢%ˆÏ'Ó˚ ¢Ç¢yÓ˚– !Ñ˛ls˛ Ñ˛˛ôyˆÏú ˆ¢£z ¢%' ¢£zú Ñ˛£zÊ î%£z ˆäȈÏúÓ˚ ÓÎ˚¢ ˆõyˆÏ›˛ 2 ÓäÈÓ˚ ~ÓÇ 10 õy¢– Óy!v˛¸ ˆÌˆÏÑ˛ xòƒe !òˆÏÎ˚ !܈ÏÎ˚y Óv˛¸!ü ˆäÈy§v˛¸yÓ˚ !üÑ˛y!Ó˚ Órî%Ñ˛ !îˆÏÎ˚ ì˛yˆÏîÓ˚ £ì˛ƒy Ñ˛ˆÏÓ˚ ˆÑ˛yúõƒyò– !Ñ˛ls˛ ˆÑ˛ò⁄ Ñ˛ƒy!úˆÏö˛y!ò≈Î˚yÓ˚ ˛ô%!úüˆÏÑ˛ ˆîÁÎ˚y ˆÑ˛yúõƒyˆÏòÓ˚ ãÓyòÓ!rî xò%¢yˆÏÓ˚ñ °Ïv˛¸Îs˛f ì˛_¥ !òˆÏÎ˚ ˛ôv˛¸yˆÏüyòy Ñ˛Ó˚!äÈú ˆ¢– ˆ¢'yò ˆÌˆÏÑ˛ ˆ¢ Ó%G˛ˆÏì˛ ˛ôyˆÏÓ˚ñ ì˛yÓ˚ î%£z ¢hs˛yò£z ¶˛!ӰσˆÏì˛ òÓ˚'yîÑ˛ £ˆÏÎ˚ v˛z‡˛ˆÏì˛ ˛ôyˆÏÓ˚– ˛ô,!ÌÓ#ˆÏÑ˛ ïπÇ¢ Ñ˛ˆÏÓ˚ ˆîˆÏÓ– ì˛y£z ì˛yˆÏîÓ˚ £ì˛ƒy Ñ˛ˆÏÓ˚ ˛ô,!ÌÓ#ˆÏÑ˛ Ó˚«˛y Ñ˛ˆÏÓ˚ˆÏäÈ ˆ¢– ˆÑ˛yúõƒyˆÏòÓ˚ Ñ˛ÌyÎ˚ñ xyõyÓ˚ fl˛f# ¢yÓ˚ˆÏ˛ôr›˛ !v˛~ò~ÈÙÈÓ˚ x!ïÑ˛yÓ˚#– ˆÎ !v˛~ò~ òÓ˚!˛ôüyⲠ˜ì˛!Ó˚ Ñ˛ˆÏÓ˚– ˆ¢£z !v˛~ò~ î%£z ¢hs˛yˆÏòÓ˚ ˆîˆÏ£Á Ó˚ˆÏÎ˚ˆÏäÈ– ì˛y£z ì˛yˆÏîÓ˚ £ì˛ƒy Ñ˛Ó˚úyõ– x!¶˛Î%ˆÏ_´Ó˚ fl˛f# ãy!òˆÏÎ˚ˆÏäÈòñ !îò ¢yˆÏì˛Ñ˛ xyˆÏÜ î%£z ¢hs˛yòˆÏÑ˛ !òˆÏÎ˚ Ñ˛ƒy¡ô Ñ˛Ó˚ˆÏì˛ ÎyˆÏFäÈ ÓˆÏú Óy!v˛¸ ˆÌˆÏÑ˛ ˆÓ!Ó˚ˆÏÎ˚ !܈ÏÎ˚!äÈú ˆÑ˛yúõƒyò– !Ñ˛ls˛ ˆÑ˛yÌyÎ˚ Ñ˛ƒyˆÏ¡ôò Ñ˛Ó˚ˆÏì˛ ÎyˆÏFäÈñ ì˛y ˆ¢ ÓˆÏú ÎyÎ˚!ò–
õ£ydy Üy!ı˛ˆÏÑ˛

| Ú¢ˆÏÓ≈yFⲠx¢yõ!Ó˚Ñ˛ | ||||||||
|---|---|---|---|---|---|---|---|---|
| ¢¡øyòÛ ˆîÁÎ˚yÓ˚ | ||||||||
| ≤Ãhfl˛yÓ xyˆÏõ!Ó˚Ñ˛yÓ˚ | ||||||||
| ÁÎ˚y!üÇ›˛òñ 14 xÜfi›˛ n üy!hs˛ Á x!£Ç¢yÓ˚ ˛ôÌ ≤Ãîü≈Ñ˛ !£ˆÏ¢ˆÏÓ |
||||||||
| õ£ydy Üy!ı˛ˆÏÑ˛ ˆîÁÎ˚y ˆ£yÑ˛ | ||||||||
| xyˆÏõ!Ó˚Ñ˛yÓ˚ x¢yõ!Ó˚Ñ˛ ˆ«˛ˆÏe | ||||||||
| ¢ˆÏÓ≈yFⲠ¢¡øyò– !òv˛z £zÎ˚ˆÏÑ≈˛Ó˚ ~Ñ˛ | ||||||||
| xy£zò ≤ÈÏíì˛y ~£z !ÓˆÏü°Ï ≤Ãhfl˛yÓ | ||||||||
| !îˆÏÎ˚ˆÏäÈò– ≤Ãhfl˛yÓ ¢õ!Ì≈ì˛ £ˆÏú | ||||||||
| õÓ˚ˆÏíy_Ó˚ ~£z ¢¡øyò ˆîÁÎ˚y £ˆÏÓ | ||||||||
| õ£ydy Üy!ı˛ˆÏÑ˛– Î!î ~£z ¢¡øyò | ||||||||
| ˆîÁÎ˚y £Î˚ñ ì˛y£ˆÏú õ£ydy Üy!ı˛£z | ||||||||
| £ˆÏÓò ≤ÃÌõ ¶˛yÓ˚ì˛#Î˚ñ !Î!ò ~£z | ||||||||
| ˛ô%Ó˚fl˛ÒyˆÏÓ˚Ó˚ ≤Ãy˛ôÑ˛– £zv˛z~¢ |
||||||||
| Ñ˛ÇˆÏ@˘ÃˆÏ¢Ó˚ ~£z fl˛∫í≈˛ôîÑ˛ ~Ó˚ xyˆÏÜ | ||||||||
| Ó˝ !Ó!ü‹T Óƒ!_´ ˆ˛ôˆÏÎ˚ˆÏäÈò– ãã≈ | ||||||||
| ÁÎ˚y!üÇ›˛òñ ˆòú¢ò õƒyˆÏu˛úyñ | ||||||||
| õy!›≈˛ò ú%ÌyÓ˚ !Ñ˛Çñ ˆÓ˚yãy ˛ôyÑ≈˛ õyîyÓ˚ | ||||||||
| ˆ›˛!Ó˚ãyÓ˚ õˆÏì˛y Óƒ!_´c ~£z ¢¡øyò | ||||||||
| ˆ˛ôˆÏÎ˚ˆÏäÈò– ì˛ˆÏÓ ˆÑ˛yòÁ ¶˛yÓ˚ì˛#Î˚ | ||||||||
| ~£z ¢¡øyò ˛ôyò!ò ~Ó˚ xyˆÏÜ– õy!Ñ≈˛ò | ||||||||
| Ñ˛ÇˆÏ@˘ÃˆÏ¢Ó˚ ≤Ã!ì˛!ò!ï Ñ˛ƒyˆÏÓ˚y!úò !Ó õƒyˆÏúy!ò ~£z ≤âˆÏD ÓˆÏúòñ Úõ£ydy |
||||||||
| Üy!ı˛ ˙!ì˛£y!¢Ñ˛ ¢ì˛ƒy@˘Ã£ |
||||||||
| xyˆÏrîyúò ˆÜy›˛y ˆîü ì˛Ìy ˆÜy›˛y | ||||||||
| !ÓŸªˆÏÑ˛ xò%≤Ãy!íì˛ Ñ˛ˆÏÓ˚ˆÏäÈ– õ£ydy | ||||||||
| Üy!ı˛Ó˚ v˛zîy£Ó˚í xyõyˆÏîÓ˚ |
||||||||
| ≤ÈÏì˛ƒÑ˛ˆÏÑ˛ ˆîˆÏüÓ˚ ãòƒ Ñ˛yã Ñ˛Ó˚ˆÏì˛ | ||||||||
| v˛zÍ¢y!£ì˛ Ñ˛ˆÏÓ˚–Û ¢ì˛ƒy@˘Ã£ |
||||||||
| xyˆÏrîyúòˆÏÑ˛ x!£Ç¢ xyˆÏrîyúˆÏòÓ˚ | ||||||||
| v˛zîy£Ó˚í !£ˆÏ¢ˆÏÓ Óí≈òy Ñ˛ˆÏÓ˚ˆÏäÈò | ||||||||
| !ì˛!ò– ì˛y§Ó˚ Ñ˛ÌyÎ˚ñ !ÓŸª ã%ˆÏv˛¸ | ||||||||
| ~Ñ˛y!ïÑ˛ xyˆÏrîyúˆÏò xò%ˆÏ≤ÃÓ˚íy | ||||||||
| ã%!܈ÏÎ˚ˆÏäÈò !ì˛!ò– õy!›≈˛ò ú%'yÓ˚ !Ñ˛Ç | ||||||||
| ã%!òÎ˚ˆÏÓ˚Ó˚ ãy!ì˛ ˜Ó°ÏˆÏõƒÓ˚ !ÓÓ˚&ˆÏk˛ | ||||||||
| úv˛¸y£zñ ˆòú¢ò õƒyˆÏu˛úyÓ˚ |
||||||||
| Óí≈˜ÏӰψÏõƒÓ˚ !ÓÓ˚&ˆÏk˛ úv˛¸y£zˆÏÎ˚Ó˚ Ñ˛Ìy v˛zîy£Ó˚í !£ˆÏ¢ˆÏÓ v˛zˆÏÕ'' Ñ˛ˆÏÓ˚ò |
||||||||
| !ì˛!ò– õƒyˆÏúy!ò ÓˆÏúòñ ÚÜy!ı˛ ˆÎ | ||||||||
| ˛ô!Ó˚Óì≈˛ò ˆî'ˆÏì˛ â˛yòñ ˆ¢£z | ||||||||
| ˛ô!Ó˚Óì≈˛ò !òˆÏãÓ˚ õˆÏïƒ xyòyÓ˚ Ñ˛Ìy | ||||||||
| ÓˆÏú!äȈÏúò– xyõyˆÏîÓ˚ ¢ÓyÓ˚ v˛z!â˛ì˛ | ||||||||
| ˆ¢£z ˛ôˆÏÌ£z ~!܈ÏÎ˚ ÎyÁÎ˚y–Û | ||||||||
| ¢ì˛ƒy@˘ÃˆÏ£ x!£Ç¢ xyˆÏrîyúˆÏòÓ˚ ˛ôÌ | ||||||||
| ˆî!'ˆÏÎ˚!äȈÏúò õ£ydy Üy!ı˛– ì˛y§Ó˚ | ||||||||
| myÓ˚y ≤Ã!ì˛!¤˛ì˛ ˆ¢£z îü≈ˆÏò ~ÓÇ | ||||||||
| x!£Ç¢ ≤Ã!ì˛ˆÏÓ˚yˆÏïÓ˚ xò%ü#úò | ||||||||
| ˛ôÓ˚Óì≈˛#Ñ˛yˆÏúxˆÏòÑ˛ xyˆÏrîyúˆÏò£z | ||||||||
| ≤ö˛yÓ ˆö˛ˆÏú– ÷ï% ˆîü òÎ˚ñ !ÓˆÏîˆÏü | ||||||||
| Á ≤ö˛yÓ ˆö˛ˆÏú ˆ¢£z îü≈ò– | ||||||||
v˛yÑ˛ ˆîÁÎ˚y £ˆÏÎ˚ˆÏäÈ– xyÓ˚ £!Ó˚Î˚yòyÓ˚ Ñ˛ˆÏÓ˚ òyõyˆÏòyÁ £Î˚– ¢¡±!ì˛ ¶˛yÓ˚ì˛ÈÙÈ˛ôy!Ñ˛hfl˛yò ¢#õyhs˛úyˆÏÜyÎ˚y ~úyÑ˛y ˆÌˆÏÑ˛ !ÓˆÏfl˛≥˛yÓ˚Ñ˛ÈÙÈ¢£
| হাওডা মিডানাসপ্যাল কপোরেশন ৪, মহাত্মা গান্ধি রোড, হাওড়া-৭১১ ১০১, দূরভাষ: ০৩৩ ২৬৩৮ ৩২১১/১২/১৩, ফ্যাক্স: ০৩৩ ২৬৪১ ০৮৩০ ওয়েবসাইট-www.hmcgov.in |
||
|---|---|---|
| সংবাদপত্রে প্রকাশের জন্য সংক্ষিপ্ত টেডার বিজ্ঞপ্তি শ্বিকিউটিভ ইঞ্জিনিয়ার, এইচডব্রডব্রপিপি, এইচএমসি নিম্নলিখিত টেন্ডার আহ্বান করছেন। আগ্রহী টেন্ডারলাতাগণদের তাদের লেত্রের সাথে প্যান কার্ড, আপ ট ডেট জিএসটি, পিটিসিসি, আইটিসিসি এবং শংসাপত্র জমা করতে হবে। |
||
| চমিক নাং | কাজের নাম | আনুমানিক মূল্য |
| হাওড়া ওয়াটার ওয়ার্গ, পদ্মপুকুরের প্রাইমারী গ্রিড, প্ল্যান্টের ভিতরের সি.আই ওয়াটার b.b২.b৭৪.00/- মেনস-এর ওপারেশন ও বিভিন্ন ভাষ ও পেনস্টকস -এর বার্ষিক রক্ষণাবেক্ষণের কাজ তৎসহ ৰাল্ক ওয়াটার কনজিউমারদের ওয়াটার মিটারের রিডিং নেওয়ার কাজ। এনআইটি নং এইচএমসি/এইচডব্রডব্র/ পি-০৭/২১-২২, তারিখ- ১২/০৮/২০২১, টেডার আইডি- 2021 MAD 340155 1 বিড জমা (অনলাইনে) দেওয়ার শেষ তারিখ- ৩০-০৮-২০২১ বিকাল-৫.০০টা। |
जिन्हा | |
| নুগ্ৰহ কৰে https://wbtenders.gov.in দেখুন ।ওডা ওয়াটার ওয়ার্শ্ব, পদ্মপকর-এর অফিস থেকে বিশদ বিবরণ পাওয়া যাবে। $2915152 - 22$ 5015123 |
এব্যিকিউটিভ ইঞ্জিনিয়ার হাওডা মিউনিসিপ্যাল কর্পোরেশন |
|
| পেবকো মোটরস লিমিটেড রেজিস্টার্ড অফিস : ৮এ, মোনালিসা, ১৭, ক্যামাক স্ট্রিট, কলকাতা- ৭০০০১৭ ই-মেল : [email protected], ওয়েবসাইট : www.pebcomotors.com CIN: L67120WB1971PLC029802 |
||
| জিকা মান ক্ষেত্ৰত হয়, গাঁকত কি আৰু চৰাখাৰ কৰিছে বেলও |
ÜyúÁÎ˚yˆÏò ¢y£!¢Ñ˛ì˛yÓ˚ ˛ô%Ó˚fl˛ÒyÓ˚
˛ôyˆÏFäÈò 20 xy£z!›˛!Ó!˛ô ãÁÎ˚yò
òÎ˚y!î!Õ'ñ 14 xÜfi›˛n !â˛ˆÏòÓ˚ xì˛!Ñ≈˛ì˛ £yõúyÎ˚ Ó˚_´ G˛ˆÏÓ˚!äÈú ¶˛yÓ˚ì˛#Î˚ ˆ¢òyÓ˚– ü!£î £ˆÏÎ˚!äȈÏúò 20 ãÁÎ˚yò– ì˛ˆÏÓ Á£z!îò£z Ó˚_´ G˛!v˛¸ˆÏÎ˚ ¶˛yÓ˚ì˛#Î˚ ¶)˛'[˛ˆÏÑ˛ Ó˚«˛y Ñ˛ˆÏÓ˚!äȈÏúò Ó˝ ¶˛yÓ˚ì˛#Î˚ ãÁÎ˚yò– ~ÓyÓ˚ 75ì˛õ fl˛∫yï#òì˛y !îӈϢ ì˛y§ˆÏîÓ˚ ¢¡øyò ãyòyˆÏFäÈ ˆÑ˛w– 23 £zˆÏrîyÈÙÈ!›˛ˆÏÓ›˛yò Óv≈˛yÓ˚ ˛ô%!úü Óy xy£z!›˛!Ó!˛ô ãÁÎ˚yˆÏòÓ˚ £yˆÏì˛ ì%˛ˆÏú ˆîÁÎ˚y £ˆÏÓ ¢y£!¢Ñ˛ì˛yÓ˚ ¢¡øyò Ú˛ô%!úü ˆõˆÏv˛ú ö˛Ó˚ ܃yúy!r›˛ΔÛ– ~Ñ˛¢ˆÏD ~ì˛ãò xy£z!›˛!Ó!˛ô ãÁÎ˚yòˆÏÑ˛ ¢¡øyò ãyòyˆÏòyÓ˚ ò!ãÓ˚ ~Ó˚ xyˆÏÜ fl˛∫yï#ò ¶˛yÓ˚ˆÏì˛Ó˚ £z!ì˛£y¢ ˆò£z–
˛ô)Ó≈ úyîyˆÏ'Ó˚ ÜyúÁÎ˚yò v˛z˛ôì˛ƒÑ˛yÎ˚ !â˛ˆÏòÓ˚ ˆâ˛yˆÏ' ˆâ˛y' ˆÓ˚ˆÏ' úv˛¸y£z Ñ˛ˆÏÓ˚!äȈÏúò xy£z!›˛!Ó!˛ôÓ˚ ãÁÎ˚yòÓ˚y– ì˛y§ˆÏîÓ˚ ¢y£!¢Ñ˛ì˛yñ Ó%!k˛õ_yñ v˛z˛ô!fl˛iì˛ Ó%!k˛ ~ÓÇ Î%ˆÏk˛Ó˚ ˆÑ˛Ôüú !îˆÏÎ˚ Ó˚&ˆÏ' !îˆÏÎ˚!äȈÏúò úyúˆÏö˛ÔˆÏãÓ˚ xy@˘Ãy¢ò– ~õò 8 ܃yúy!r›˛ΔÛ–
xy£z!›˛!˛ô ãÁÎ˚yòñ Îy§ˆÏîÓ˚ Î%k˛ˆÏÑ˛Ôüúñ ˛ô!Ó˚!fl˛i!ì˛ !ÓˆÏÓâ˛òyÓ˚ ì˛y ~ÓÇ ˆÑ˛ÔüúÜì˛ !¢k˛yhs˛ ˆ¢!îò õyì,˛¶)˛!õˆÏÑ˛ Ó˚«˛y Ñ˛ˆÏÓ˚!äÈú ì˛y§Ó˚y ˛ôyˆÏFäÈò Ú˛ô%!úü ˆõˆÏv˛ú ö˛Ó˚ 15 ã%ˆÏòÓ˚ xyˆÏÜ 18 ˆõ v˛z_Æ £ˆÏÎ˚!äÈú ˛ô)Ó≈ úyîy'– !ö˛DyÓ˚ ˆö˛yÓ˚ ~úyÑ˛yÎ˚ ¶˛yÓ˚ì˛ÈÙÈ!â˛ò õ%ˆÏ'yõ%!' £Î˚– úyúˆÏö˛ÔˆÏãÓ˚ ˆâ˛yˆÏ' ˆâ˛y' ˆÓ˚ˆÏ' xy£z!›˛!Ó!˛ô ãÁÎ˚yò– ì˛y§ˆÏîÓ˚ ÜúyÎ˚Á v˛z‡˛ˆÏÓ ~£z ˆõˆÏv˛ú– ~Ñ˛£z !îˆÏò £›˛ !fl˛±Ç ~úyÑ˛yÎ˚Á v˛zˆÏ_ãòy äÈ!v˛¸ˆÏÎ˚!äÈú– Ó#Ó˚ˆÏcÓ˚ ¢ˆÏD ˆ¢£z ˛ô!Ó˚!fl˛i!ì˛ !òÎ˚s˛fí Ñ˛Ó˚yÓ˚ ˛ô%Ó˚fl˛ÒyÓ˚ ˛ôyˆÏFäÈò xyÓ˚Á äÈÎ˚ xy£z!›˛!Ó!˛ô ãÁÎ˚yò– ~äÈyv˛¸y äÈ!_ü܈Ïv˛¸ õyÁÎ˚Óy!î îõò x˛ôyˆÏÓ˚üˆÏò ì˛y
xy@˘Ãy¢ˆÏòÓ˚ ãÓyÓ ˆîÎ˚ ¶˛yÓ˚ì˛#Î˚ ˆ¢òy– ˆ¢£z ˛ô!Ó˚!fl˛i!ì˛ˆÏì˛ ¢y£!¢Ñ˛ì˛yÓ˚ ˛ô!Ó˚â˛Î˚ !îˆÏÎ˚!äÈú 6 ˆî'yˆÏòyÓ˚ ¢¡øyò ˛ôyˆÏÓò xyÓ˚Á !ì˛ò ãÁÎ˚yò– ~Ó˚ ˛ôyüy˛ôy!ü ~ ÓäȈÏÓ˚Ó˚ ˆüÔÎ≈â˛e´ ˛ôyˆÏFäÈò ˆ¢òy xy!ïÑ˛y!Ó˚Ñ˛– ˆ¢òy ˆõˆÏv˛ú ˛ôyˆÏÓò 116 ãò–
Ñ˛yŸ¬#ˆÏÓ˚ ï,ì˛ 4 ã£zü ã!Dñ v˛zk˛yÓ˚ ≤Ãâ%˛Ó˚ xyˆÏ@¿Î˚yfl˛f
◊#òÜÓ˚ñ 14 xÜfi›˛n fl˛∫yï#òì˛y !îӈϢ Óv˛¸¢v˛¸ £yõúyÓ˚ äÈÑ˛ Ñ˛ˆÏ°Ï!äÈú ã!DÓ˚y– ì˛yÓ˚ 24 á^˘›˛y xyˆÏÜ â˛yÓ˚ ã£zü ã!DˆÏÑ˛ ˆ@˘ÃÆyÓ˚ Ñ˛ˆÏÓ˚ ˆ¢£z äÈÑ˛ ˆ¶˛ˆÏhfl˛ !îú ã¡ø%ÈÙÈÑ˛yŸ¬#Ó˚ ˛ô%!úü–
ˆÜy˛ôò ¢)ˆÏe ˛ô%!úü 'ÓÓ˚ ˆ˛ôˆÏÎ˚!äÈú !Ó˛ô%ú ˛ôÓ˚õyí xfl˛fñ !ÓˆÏfl˛≥˛yÓ˚Ñ˛ ãõy Ñ˛Ó˚ˆÏäÈ ã!DÓ˚y– ˆ¢£z 'ÓÓ˚ ˆ˛ôˆÏÎ˚£z ì˛Õ'y!ü x!¶˛Îyò ÷Ó˚& Ñ˛ˆÏÓ˚– ì˛'ò xfl˛füfl˛f ~ÓÇ !ÓˆÏfl˛≥˛yÓ˚Ñ˛ÈÙÈ¢£ â˛yÓ˚ ã£zü ã!DˆÏÑ˛ ˛ôyÑ˛v˛¸yÁ Ñ˛ˆÏÓ˚ ˛ô%!úü– ˛ô%!úü ãy!òˆÏÎ˚ˆÏäÈñ ï,ì˛ ã!DÓ˚y ˆv»˛yˆÏòÓ˚ õyÏõ Ñ˛yŸ¬#ˆÏÓ˚Ó˚ !Ó!¶˛ß¨ ≤ÃyˆÏhs˛ xfl˛f äÈ!v˛¸ˆÏÎ˚ ˆîÁÎ˚yÓ˚ äÈÑ˛ Ñ˛ˆÏ°Ï!äÈú– fl˛∫yï#òì˛yÓ˚ xyˆÏÜ Óv˛¸¢v˛¸ £yõúyÓ˚ ˛ô!Ó˚Ñ˛"òy !äÈú– ¢)ˆÏeÓ˚ 'ÓÓ˚ñ ˆõy›˛Ó˚¢y£zˆÏÑ˛ˆÏú xy£z£z!v˛ ÓƒÓ£yÓ˚ Ñ˛ˆÏÓ˚ £yõúyÓ˚ äÈÑ˛ !äÈú ã!DˆÏîÓ˚–
ã¡ø%Ó˚ ¢yõ!Ó˚Ñ˛ áy§!›˛ˆÏì˛ ˆv»˛yò £yõúyÓ˚ ˛ôÓ˚£z ˆÜy›˛y ã¡ø%ÈÙÈÑ˛yŸ¬#Ó˚ã%ˆÏv˛¸ ˆv»˛yˆÏòÓ˚ v˛z˛ôÓ˚ òãÓ˚îy!Ó˚ â˛yúy!FäÈú ˛ô%!úü ~ÓÇ ˆ¢òy– ˆÓü Ñ˛ˆÏÎ˚Ñ˛!›˛ ˆv»˛yòˆÏÑ˛ =!ú
| SOMA TEXTILES & INDUSTRIES LIMITED | ||||
|---|---|---|---|---|
| Regd.Office: 2.Red Cross Place.Kolkata-700001 | ||||
| Tel.:033-22487406 | ||||
| Website:www.somatextiles.com;E-mail ID:[email protected] | ||||
| CIN: L51909WB1940PLC010070 | ||||
| EXTRACTS OF THE UNAUDITED CONSOLIDATED FINANCIAL RESULTS FOR THE | ||||
| QUARTER ENDED 30TH JUNE, 2021 | $(3 \in \mathsf{InLakhs})$ | |||
| Particulars | Quarter Ended | Year Ended |
||
| 30.06.2021 | 31.03.2021 | 30.06.2020 31.03.2021 | ||
| Unaudited | Audited | Unaudited | Audited | |
| Total income from operations | 412 | 601 | 33 | 1415 |
| Net Profit / (Loss) for the period | ||||
| (before Tax, Exceptional items) ^ | (442) | (466) | (416) | (1914) |
| Net Profit / (Loss) for the period | ||||
| before tax (after exceptional items) ^ | (318) | (473) | (437) | (2252) |
| Net Profit / (Loss) for the period | ||||
| after tax (after exceptional items) | (318) | (370) | (437) | (2149) |
| Total comprehensive income for the | ||||
| period [{Comprising Profit/(Loss) | ||||
| for the period (after tax) and other | ||||
| comprehensive income(after tax)}] | (320) | (378) | (437) | (2161) |
| Paid up Equity Share Capital | 10 | 10 | 10 | 10 |
| Earnings Per Share (of Rs. 10/- each) (for continuing |
||||
| and discontinued operations) | ||||
| Basic: | (0.97) | (1.14) | (1.32) | (6.54) |
| Diluted: | (0.97) | (1.14) | (1.32) | (6.54) |
| ^ Includes share in profit of associate. | $\sim$ $\sim$ | $\cdots$ | $1.001111111111111111111111111111111111$ |
ˆv»˛yòˆÏÑ˛ =!ú Ñ˛ˆÏÓ˚ òyõyÎ˚ ˆ¢òy–
õ!£úyˆÏîÓ˚ ˆòì,˛ˆÏc £!Ó˚Î˚yòyÓ˚ Ñ,˛°ÏÑ˛ˆÏîÓ˚ ›˛ΔyQÓ˚ !õ!äÈú
Ó˚y˝ú Üy!ı˛Ó˚ xƒyÑ˛yv˛zr›˛ â˛yú% Ñ˛Ó˚ú ›%˛£z›˛yÓ˚
òÎ˚y!î!Õ'ñ 14 xÜfi›˛n Ñ˛ÇˆÏ@˘Ã¢ ˆòì˛y Ó˚y˝ú Üy!ı˛Ó˚ xƒyÑ˛yv˛zr›˛ â˛yú% Ñ˛Ó˚ú ›%˛£z›˛yÓ˚– ˆ¢£z ¢ˆÏD Ñ˛ÇˆÏ@˘Ã¢ îú Á ˆÓü !Ñ˛ä%È ˆòì˛yÓ˚ ›%˛£z›˛yÓ˚ xƒyÑ˛yv˛zr›˛Á â˛yú% Ñ˛Ó˚y £ˆÏÎ˚ˆÏäÈ– ~Ñ˛ ¢Æy£ xyˆÏÜ !î!Õ'ˆÏì˛ òÛÓäÈÓ˚ ÓÎ˚¢# ~Ñ˛ !ü÷ˆÏÑ˛ ï°Ï≈ˆÏíÓ˚ x!¶˛ˆÏÎyÜ Á‡˛yÓ˚ ˛ôˆÏÓ˚ ˆ¢£z !ü÷Ó˚ ˛ô!Ó˚ÓyˆÏÓ˚Ó˚ äÈ!Ó ≤ÃÑ˛yü Ñ˛ˆÏÓ˚!äȈÏúò Ó˚y˝ú– ˆ¢£z Ñ˛yÓ˚ˆÏí ì˛y§Ó˚ xƒyÑ˛yv˛zr›˛ ÓœÑ˛ Ñ˛ˆÏÓ˚ ˆîÎ˚ ›%˛£z›˛yÓ˚– ü!òÓyÓ˚ Ñ˛ÇˆÏ@˘ÃˆÏ¢Ó˚ ˆò›˛õyÏõÓ˚ îy!Î˚ˆÏc ÌyÑ˛y ˆÓ˚y£ò =Æ ›%˛£z›˛ Ñ˛ˆÏÓ˚ ÓˆÏúòñ ÚÑ˛ÇˆÏ@˘ÃˆÏ¢Ó˚ ¢ÓyÓ˚ xƒyÑ˛yv˛zr›˛ '%ˆÏú ˆîÁÎ˚y £ˆÏÎ˚ˆÏäÈ–

FE SUNDAY
| Regd Office : 20B, Abdul Hamid Street, 4th Floor, Kolkata - 700069 Email : [email protected], Website : www.eitain.com Phone No. 033- 22483203, CIN: L51109WB1983PLC035969 |
E.I.T.A. INDIA LIMITED | |||
|---|---|---|---|---|
| Statement of Standalone Unaudited Financial Results for the quarter ended 30th June, 2021 |
(Rs. in Lacs except per share data and where otherwise stated) | |||
| PARTICULARS | Quarter ended 30.06.2021 Unaudited |
Quarter ended 30.06.2020 Unaudited |
Quarter ended 31.03.2021 Audited |
Previous year ended 31.03.2021 Audited |
| Total Income from operations (net) | 11219.67 | 6734.21 | 16482.59 | 51494.12 |
| Net Profit/(Loss) for the period (before Tax, Exceptional and/or Extraordinary items) |
$-258.20$ | $-435.55$ | 399.56 | 648.59 |
| Net Profit/(Loss) for the period before Tax (after Exceptional and/ or Extraordinary items) |
$-258.20$ | $-435.55$ | 399.56 | 648.59 |
| Net Profit/(Loss) for the period after tax (after Exceptional and/or Extraordinary items) |
$-251.03$ | $-427.86$ | 188.96 | 364.51 |
| Other Comprehensive Income | 1536 | $-3.34$ | $-3.34$ | |
| Total Comprehensive Income for the period (Compromising Profit/ (Loss) for the period and Other Comprehensive Income) |
$-251.03$ | $-427.86$ | 185.62 | 361.17 |
| Paid-up Equity Share Capital | 259.28 | 259.28 | 259.28 | 259.28 |
| Reserves (excluding Revaluation Reserve as shown in the Balance Sheet of previous year) Earning Per Share (of Rs. 10/- each) |
66. | |||
| Basic: | $-9.68$ | $-16.50$ | 7.16 | 13.93 |
| Diluted: | $-9.68$ | $-16.50$ | 7.16 | 13.93 |
Note: The above is an extract of the detailed format of Quarterly Financial Results filed with the Stock Exchanges under Regulation 33 of the SEBI (Listing Obligations and Disclousre Requirements) Regulations, 2015. The full format of the Quarterly Financial Results are available on the Stock Exchanges website i.e. www.cse-india.com and on the Company's website: www.eitain.com
| For EITA India Limited |
|---|
| 사진 나는 사람들이 모여 있어? $Sd-$ |
| Bachhraj Choraria |
| Wholetime Director |
| DIN NO. 00393059 |
| DHAVAL EXPORTS LIMITED |
|---|
| CIN: L51900WB2005PLC101305 Regd. Office: P-9, Shibtolla Street, 4th Floor, Kolkata-700 007 |
| STATEMENT OF UNAUDITED FINANCIAL RESULTS FOR THE QUARTER ENDED 30 JUNE, 2021 |
| [ In terms of Regulation 47(1)(b) of the SEBI (Listing Obligation and Disclosure Requirements) Regulation 2015 ] |
| All the Minimum company of the |
PEBCO MOTORS LIMITED Regd Office: 8A, Monalisa, 17, Camac Street, Kolkata 700 017 E-mail Id: [email protected], Website: www.pebcomotors.com CIN NO-L67120WB1971PLC029802 NOTICE OF 49th ANNUAL GENERAL MEETING, E VOTING AND BOOK CLOSURE
Notice is hereby given to the Members of Pebco Motors Limited("Company") that the 49thAnnual General Meeting (AGM) of the Company is scheduled to be held on Monday, 06th September, 2021 at 12.00 noon(IST) through Video Conferencing / Other Audio Visual Means (OAVM) in compliance with all the applicable provisions of the Companies Act, 2013 and the Rules made thereunder and the Securities and Exchange Board of India ("SEBI") (Listing Obligations and Disclosure Requirements) Regulations, 2015, read with General Circular No. 14/2020 dated April 08, 2020. General Circular No. 17/2020 dated April 13, 2020, General Circular No. 33/2020 dated September 28, 2020, General Circular No. 39/2020 dated December 31, 2020, General Circular No. 10/2021 dated June 23, 2021 and General Circular No. 02/2021 dated January 13, 2021 and other applicable circulars issued by the Ministry of Corporate Affairs ("MCA") and SEBI (collectively referred to as "relevant circulars"). The Company has on 14th August 2021 duly completed:
Particulars
otal income from operations
despatch of Notice to Members whose e-mail addresses are registered with $(i)$ the Company or Registrar & Share Transfer Agent and Depositories along with E-voting Instructions dated 30th July 2021 for 49thAnnual General Meeting for Financial Year 2020-21 by electronic along with the details of Login ID and Password to the Members. The requirement of sending physical copies of the Notice of the AGM has been dispensed with vide MCA Circulars and the SEBI Circular
Pursuant to the provisions of Section 91 of the Companies Act, 2013 ("Act") read with relevant applicable rules, as amended and Regulation 42 of Securities And Exchange Board Of India (Listing Obligations And Disclosure Requirements) Regulations, 2015 notice is also given that the Register of Members and Share Transfer Books of the Company will remain closed from 31st August 2021 to 06th September, 2021 (both days inclusive) for the purpose of AGM.
Further pursuant to the provisions of Section 108 of the Companies Act, 2013 ('the Act') read with, Rule 20 of the Companies (Management and Administration) Rules 2014 as amended and substituted by Companies (Management and Administration) Amendment Rules, 2015 and Regulation 44 of Securities And Exchange Board Of India (Listing Obligations And Disclosure Requirements) Regulations, 2015, the Company is pleased to provide members facility to exercise their right to vote on resolutions proposed to be passed at the 49th Annual General Meeting (AGM) by electronic means ('remote e-voting'). The facility for online voting through electronic means shall also be made available at the AGM and Members who have already cast their votes through electronic mode during the schedule voting period prior to the date of the meeting will not be entitled for online voting as on the date of the AGM. Members participating through the VC / OAVM over Zoom facility shall be reckoned for the purpose of quorum under Section 103 of the Companies Act, 2013. The Company has engaged the services of Central Depository Services (India) Limited (hereinafter referred as "CDSL") as agency to provide remote e-voting facility. The details pursuant to the provisions of the Act and Rules are given hereunder:
The remote e-voting period commences on 03rd September, 2021 and ends on 05th September, 2021. The remote e-voting module shall be disabled by CDSL for voting thereafter
Members of the Company holding shares either in physical form or in dematerialized form, along with person whose name is recorded in the register of members or in the register of beneficial owners maintained by the Depositories.
As on the cut-off date of 30th August, 2021 shall be entitled to avail the facility of remote e-voting as well as voting at the AGM through electronic means.
Any Person who have acquired shares and became member after the dispatch of the Notice of the AGM but before the 'Cut-off Date' may obtain their iser ID and Password for e-voting from the Company's Registrars & Share Transfer Agent, M/s. Niche Technologies Pvt. Ltd., 7th Floor, Room No. 7A & 7B, 3A, Auckland Road, Elgin, Kolkata - 700017, West Bengal, Tel No.: (033) 2280 6617 / 6618 6619; e-mail : [email protected]. However, if the member is already registered with CDSL for remote e-voting then he/she can use his/her exiting user ID and password for casting the vote through e-voting.
The Notice of AGM and the Annual Report 2020-21 is available at company's
| 25 | THE GROB TEA CO. LTD | ||||||||
|---|---|---|---|---|---|---|---|---|---|
| THE METHONI TEA CO. LTD. Regd. Office: 75-C Park Street, 1st Floor, Kolkata - 700 016 |
Regd Office : "Haute Street", 9th Floor, 86A, Topsia Road, Kolkata 700046 Phone No. +91-33-4003-1325/26 Email: [email protected] Website : www.grobtea.com CIN: L74110WB1895PLC000963 |
||||||||
| CIN No: L15492WB1929PLC006618 Phone: (033) 4007 6728 Email: [email protected], Website: www.methonitea.com |
UN AUDITED FINANCIAL RESULTS FOR THE QUARTER ENDED 30TH JUNE, 2021 |
||||||||
| EXTRACT FROM THE UNAUDITED STANDALONE FINANCIAL RESULTS FOR THE QUARTER ENDED 30TH JUNE, 2021 |
(そ.in lakhs) | (₹ in Lacs) | |||||||
| Quarter Ended On | Year Ended | SI. | Quarter | Quarter | |||||
| Particulars | 30.06.2021 30.06.2020 31.03.2021 | 31.03.2021 | No. | Particulars | Ended 30th June, 2021 |
Ended 30th June, 2020 |
|||
| Total Income from Operations | (Reviewed) (Reviewed) 213.87 |
197.55 | Audited 268.78 |
Audited 2,025.22 |
(Refer Notes below) | (Unaudited) | (Unaudited) | ||
| 2 | Net Profit/(Loss) for the period (before Tax, | Total income from operations | 1,125.76 | 1,449.16 | |||||
| 3. | Exceptional and/or Extraordinary items ) Net Profit/(Loss) for the period before tax |
(69.90) | (35.06) | (307.41) | 185.59 | $\overline{2}$ | Net Profit/ (Loss) for the period (before tax and exceptional items) |
51.21 | 345.73 |
| 4 | (after exceptional and/or Extraordinary items) Net Profit/(Loss) for the period after tax |
(69.90) | $(35.06)$ $(307.41)$ | 185.59 | з | Net Profit/ (Loss) for the period before tax (after exceptional items) |
51.21 | 345.73 | |
| 5. | (after exceptional and/or Extraordinary items) Total Comprehensive Income for the period (Comprising Profit/(Loss) for the period |
(69.90) | (35.06) | (309.38) | 183.62 | Net Profit/ (Loss) for the period after tax (after exceptional items) |
51.21 | 345.75 | |
| (after tax) and other Comprehensive | 5 | Other comprehensive income (net of tax) | $-40.18$ | 0.89 | |||||
| Income (after tax) Paid up Equity Share Capital face Value of Rs. 10/- each) |
(69.90) 40.80 |
(35.06) 40.80 |
(321.98) 40.80 |
171.02 40.80 |
Total Comprehensive Income for the period | ||||
| Reserves excluding Revaluation Reserve as per Balance Sheet |
503.31 | 367.11 | 573.21 | 573.21 | [Comprising Profit/(Loss) for the period (after tax) and Other Comprehensive Income (after tax)] |
11.03 | 346.62 | ||
| Earnings Per Share | Equity Share Capital | 116.23 | 116.23 | ||||||
| Face Value of Rs. 10/- each) | 8 | Earning Per Share (of Rs. 10/- each) | |||||||
| (a) Basic (Rs.) | (17.13) | (8.59) | (75.83) | 45.00 | (Before & after extradorinary Items) | ||||
| (b) Diluted (Rs.) | (17.16) | (8.59) | (75.83) | 45.00 | (not annualised for quarterly figures) | ||||
| Notes to Accounts : | a) Basic b) Diluted |
4.41 4.41 |
29.75 29.75 |
||||||
| The above is an extract of the detailed fromat of financial results for the Quarter ended 30th June, 2021 filed with the stock Exchanges under Regulation 33 of SEBI (Listing and other Disclosures Requirements) Regulation, 2015. The full format of the Financial results are availiable on Company's website (www.methonitea.com) |
Note: 1) The above is an extract of the detailed format of Quaterly Financial Results ended June 30, 2021 filed with Stock Exchanges under Regulation 33 of the SEBI (Listing Obligations and Disclosures Requirements) Regulations, |
||||||||
| The above results are in accordance with the Companies (Indian Accounting Standard) Rules 2015, (IndAs) prescribed under section 133 of the Companies Act, 2013 read with the relevant rules issued thereunder and other accounting principles generally accepted in India. |
2015. The full format of the Unaudited Financial Results for the gaurter ended June 30, 2021 are available on website of the National Stock Exchange of India i.e. www.nseindia.com and on the webiste of the Company i.e. www.grobtea.com |
For and on behalf of the Board | |||||||
| з | Figures for the previous periods have been regrouped, wherever necessary, to confirm to the current period classification. |
Place: Kolkata | Sd/- (I B Sharaf) Executive Director |
||||||
| For The Methoni Tea Company Limited | By Order of the Board RAJENDRA PRASAD BUBNA |
Date: 14th August, 2021 | (DIN: 00047266) | ||||||
| Place: Kolkata Date: 14th Day of August, 2021 |
Whole Time Director DIN No: 00180543 |
HINDUSTHAN TEA & TRADING CO. LIMITED Regd.Office: 5,J.B.S.Halden Avenue, (Formely E. M. Bye Pass), 1st Floor, Silver Arcade, Kolkata -700105. Telefax: 2251-7051/54/55. Email: [email protected] |
|||||||
| SOMA TEXTILES & INDUSTRIES LIMITED | CIN-L51226WB1954PLC022034 |
(そ in Lakhs)
Year
Ended
1415
| 30TH JUNE, 2021 | (Rs. in Lacs) | |||
|---|---|---|---|---|
| Particulars | Quarter Ended 30.06.21 Unaudited |
Quarter Ended 31.03.21 Audited |
Quarter Ended 30.06.20 Unaudited |
Year Ended 31.03.21 Audited |
| Total Income from Operations | 15.21 | 35.27 | 15.21 | 80.91 |
| Net Profit / (Loss) for the period (before Tax, Exceptional and / or Extraordinary items#) |
10.67 | 29.78 | 13.74 | 59.33 |
| Net Profit / (Loss) for the period |
before tax (after Exceptional and
10.67 | 29.78 | 13.74 | 59.33 |
| STANDALONE | ||||
|---|---|---|---|---|
| SI No. |
Particulars | Quarter ending 30.06.2021 |
Year to date figures/previous year ending 30.06.2020 |
Correspon. 3 months in previous year 30.06.2020 |
| 1 | Total Income from Operations | |||
| 2 | Net Profit /(Loss) for the period (before Tax, Exceptional and /or Extraordinary items"#) |
630,616.00 | (260, 875.00) | (260, 875.00) |
| 3 | Net Profit /(Loss) for the period (before Tax after Exceptional and / or Extraordinary items"#) |
630,616.00 | (260, 875.00) | (260.875.00) |
| $\overline{4}$ | Net Profit/(Loss) for the period (after Tax after Exceptional and / or Extraordinary items"#) |
630,616.00 | (260, 875.00) | (260.875.00) |
| 5 | The Comprehensive Income for the period [Comprising Profit / (Loss) for the period (after tax) and Other Comprehensive Income (after tax))] |
630,616.00 | (260, 875.00) | (260.875.00) |
| 6 | Equity Share Capital | 9,960,000.00 | 9,960,000.00 | 9,960,000.00 |
| 7 | Reserve (excluding Revaluation Reserve) as shown in the Audited Balance Sheet of the previous year. |
1,189,392.72 | ||
| 8 | Earning Per Share (of Rs.10/-each) (for continuing and discontinued operations) 1. Basic: |
0.63 | (0.26) | (0.26) |
| 2. Diluted: | 0.63 | (0.26) | (0.26) |
Disclosure Requirements) Regulations, 2015. The full format of the Quarterly/
Annual Financial Results are available on the websites of the Stock Exchange(s)
financial item(s) due to change(s) in accounting policies shall be disclosed by
b) The impact on net profit/loss, total comprehensive income or any other relevant
c) #-Exceptional an/or Extraordinary items adjusted in the Statement of Profit and Loss
in accordance with Ind-AS Rules / AS Rules, whichever is applicable.
website at www.pebcomotors.com and also at CDSLwebsite https: www.evotingindia.com
For detailed instructions pertaining to remote e-voting, Members may refer in the section 'Notes' in Notice of the 49thAGM.
Members who have cast their votes by remote e-voting prior to the meeting may also join in the meeting through Video Conferencing/Other Audio Visual Means (OAVM) over Zoom but shall not be entitled to cast their vote again through online voting.
In case you have any queries or issues regarding e-voting, you may refer the Frequently Asked Questions ("FAQs") and e-voting manual available at: www.evotingindia.com, and in case of queries email to [email protected].
For the process and manner of e-voting and voting during the AGM, Members may go through the instructions mentioned in the AGM Notice and in case of queries email to [email protected]. The members may further refer to the Frequently Asked Questions (FAQs) and e-voting user manual for shareholders at the Download Section at the said website. In case of any queries or issues regarding e-voting, Members may please contact the Company at [email protected] or to Mrs. Shilpa Aggarwal, Compliance Officer, Phone - 0657 6621200; [email protected].
For Pebco Motors Limited Sd/-Shilpa Aggarwal Date: 15th August, 2021 Company Secretary
| Net Profit / (Loss) for the period | ||||||
|---|---|---|---|---|---|---|
| (before Tax, Exceptional items) ^ | (442) | (466) | (416) | (1914) | ||
| Net Profit / (Loss) for the period | ||||||
| before tax (after exceptional items) ^ | (318) | (473) | (437) | (2252) | ||
| Net Profit / (Loss) for the period | ||||||
| after tax (after exceptional items) | (318) | (370) | (437) | (2149) | ||
| Total comprehensive income for the | ||||||
| period [(Comprising Profit/(Loss) | ||||||
| for the period (after tax) and other | ||||||
| comprehensive income(after tax)}] | (320) | (378) | (437) | (2161) | ||
| Paid up Equity Share Capital | 10 | 10 | 10 | 10 | ||
| Earnings Per Share | ||||||
| (of Rs. 10/- each) (for continuing | ||||||
| and discontinued operations) | ||||||
| Basic: | (0.97) | (1.14) | (1.32) | (6.54) | ||
| Diluted: | (0.97) | (1.14) | (1.32) | (6.54) | ||
| ^ Includes share in profit of associate. | ||||||
| Extract from the Standalone financial results: (₹ in Lakhs) | ||||||
| Particulars | Quarter Ended | Year Ended |
||||
| 30.06.2021 31.03.2021 | 30.06.2020 | 31.03.2021 |
Regd.Office: 2,Red Cross Place,Kolkata-700001
Tel.:033-22487406
Website:www.somatextiles.com;E-mail ID:[email protected]
CIN: L51909WB1940PLC010070
EXTRACTS OF THE UNAUDITED CONSOLIDATED FINANCIAL RESULTS FOR THE
QUARTER ENDED 30TH JUNE, 2021
Quarter Ended
30.06.2021 31.03.2021 30.06.2020 31.03.2021
Unaudited Audited Unaudited Audited
| Unaudited | Audited | Unaudited | Audited |
|---|---|---|---|
| 412 | 601 | 33 | 1415 |
| (442) | (466) | (416) | (1914) |
| (318) | (370) | (437) | (2149) |
| 30.06.2021 31.03.2021 30.06.2020 31.03.2021 |
1) The above results for the quarter ended June 30, 2021 have been reviewed and recommended by the Audit Committee and approved by the Board of Directors at its meeting held on August 14, 2021 and the Statutory Auditors of the Company have carried out "Limited Review" of the same.
2) The above is an extract of the detailed format of year ended Financial Results filed with the Stock Exchanges under Regulation 33 of the SEBI (Listing and Other Disclosure Requirements) Regulations, 2015 and SEBI Circular CIR/CFD/ FAC/62/2016 dated July 05, 2016. The full format of the same are available on Stock Exchanges Website i.e.NSE (www.nseindia.com) and BSE (www.bseindia.com) and on Company's website www.somatextiles.com.
For Soma Textiles & Industries Ltd.
A.K.Somany
DIN:00024903
Place: Shimla
Dated: 14th August, 2021
Managing Director
Place: Ahmedabad Date: 14th August, 2021
| 10.67 | 29.78 | 13.74 | 47.57 |
|---|---|---|---|
| 10.67 | 29.78 | 13.74 | 47.57 |
| 24.50 | 24.50 | 24.50 | 24.50 |
| 480.29 | 480.29 | 432.07 | 480.29 |
| 4.36 | 12.16 | 5.61 | 19.42 19.42 |
| 4.36 | 12.16 | 5.61 |
a. The Statement of Audited Financial Result for the quarter and year. ended 30th June 2021 has been reviewed by Audit Committee and approved by the Board of Directors at their respective meetings held on 14.08.2021
- . The above is an extract of the detailed format of the Audited Quarterly /Annual Financial Results filed with the Stock Exchanges under Regulation 33 of the SEBI (Listing and Other Disclosure Requirements) Regulations, 2015.
- c. Previous years/ Quarter ended figures are re-grouped, re-casted, whereever found necessary.
- . The Company is having only rental Income, hence segmental report not applicable.
- e. No investor complain received during the quarter and no investor complain pending till date.
- The impact on net profit / loss, total comprehensive income or any other relevant financial item(s) due to change(s) in accounting policies shall be disclosed by means of a footnote.
- Exceptional and/or Extraordinary items adjusted in the Statement of Profit and Loss in accordance with Ind-AS Rules / AS Rules, whichever is applicable.
By order of the Board For Hindusthan Tea & Trading Co. Ltd. Sd/- Manoj Kumar Bhagat Place : Kolkata Director Date: 14.08.2021 (DIN: 00088842)
and the listed entity.
means of a footnote.
Place: Kolkata
Date: 13.08.2021
ITACHANDA A.D. BRANCH
Director
Sd/- Nitesh Jain
Place: Kolkata
P.O.- Guskara, Dist.- Purba Bardhaman, PIN-713128, W.B.
POSSESSION NOTICE (for Immovable Property) Appendix IV [Rule 8(1)]
FOR DHAVAL EXPORTS LIMITED
Whereas, The undersigned being the Authorized Officer of the State Bank of India, Itachanda A.D. Branch under the Securitization and Reconstruction of Financial Assets and Enforcement of Security Interest Act 2002 and in exercise of the powers conferred under section 13 (12) read with Rule 9 of the Security Interest (Enforcement) Rules, 2002 issued Demand Notice dated mentioned below and calling upon the Borrower/Guarantor to repay the amount mentioned in the notice within 60 days from the date of receipt of the said notice. The Borrower/Guarantor having failed to repay the amount, notice is hereby given to the Borrower/Guarantor and the public in general that the undersigned has taken possession of the property described herein below in exercise of powers conferred on him/her under Section 13(4) of the said Act read with Rule 9 of the said Rules as per the dates shown against the Borrower. The Borrower/Guarantor 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 the State Bank of India, Itachanda A.D. Branch for the said amount and interest thereon. The Borrowers/Guarantors attention is invited to provisions of sub-section (8) of section 13 of the Act, in respect of time available, to redeem the secured assets.
| Name and Address of Borrower/ Guarantor with A/C No. |
Description of immovable Property | 1) Demand Notice Date 2) Possession Notice Date 3) Outstanding Amount |
|---|---|---|
| Borrower: Mr. Bablu Das S/o Kshudiram Das P.O.- Guskara, P.S.- Aushgram, Rabindra Sarani Road, A.D.S.R. Guskara, Dist.- Purba Bardhaman, PIN-713128 A/c No.- (T/L) 38802684873 (HBL) |
Owner Shri Bablu Das, S/o Kshudiram Das. All that piece & parcel of Land and Building measuring area 0.03 Acre. The Property situated at Mouza- Guskara, J.L. No. 110, L.R. Khatian No. 5172, R.S. & L.R. Plot 1476/4379, Holding No. 37, Ward No. 08 under Guskara Municipality, Class- Bastu, Mahalla- Rabindra Sarani, P.O.- Guskara, P.S.- Aushgram, Dist.- Purba Bardhaman, PIN-713128. Butted & Bounded by: On the North - Landed property of Narayan Chandra Das, On the South- House of others, On the East - Pond, On the West - Municipal Road. |
1) 08.06.2021 2) 09.08.2021 3) Rs. 16,47,615.68(Rupees Sixteen lakh Forty Seven thousand Six hundred Fifteen and Paisa Sixty Eight only) as on 26.04.2021 plus up to date accrued interest with other charges. |
Focusing on the Future Power

| Standalone | Consolidated | ||||||
|---|---|---|---|---|---|---|---|
| Quarter ended | Year ended | Quarter ended | Year ended | ||||
| S. No. |
Particulars | 30.06.2021 (Unaudited) |
30.06.2020 (Unaudited) |
31.03.2021 (Audited) |
30.06.2021 Unaudited) |
30.06.2020 (Unaudited) |
31.03.2021 (Audited) |
| 1. | Total Income from Operations |
66,366 | 67,489 | 2,49,083 | 66,246 | 67,372 | 2,48,539 |
| 2. | Profit before exceptional items, net movement in regulatory deferral account balance & tax |
42,574 | 44,354 | 2,13,328 | 42,804 | 44,604 | 2,14,591 |
| 3. | Profit before net movement in regulatory deferral account balance and tax |
42,574 | 39,181 | 1,83,984 | 42,804 | 39,431 | 1,85,247 |
| 4. | Profit before tax after net movement in regulatory deferral account balance |
44,507 | 38,414 | 2,16,867 | 44,847 | 38,782 | 2,18,513 |
| 5. | Net Profit after tax from continuing operations |
33,954 | 30,108 | 1,63,304 | 34,213 | 30,390 | 1,64,561 |
| 6. | Total Comprehensive Income after tax |
33,913 | 29,854 | 1,63,138 | 34,172 | 30,136 | 1,64,395 |
| 7. | Paid-up equity share capital (Face value of share ₹10/-each) |
3,92,980 | 3,92,980 | 3,92,980 | 3,92,980 | 3,92,980 | 3,92,980 |
| 8. | Other equity excluding Revaluation Reserve |
8,83,204 | 8,86,138 | ||||
| 9. | Earnings Per Share for continuing operations (before net movement) in regulatory deferral account balance) (of ₹ $10/-$ each) (not annualised) (in ₹) |
||||||
| - Basic & Diluted | 0.82 | 0.78 | 3.46 | 0.83 | 0.79 | 3.50 | |
| 10 Earnings Per Share for continuing operations (after net movement in regulatory deferral account balance) (of ₹10/- each) (not annualised) (in ₹) |
|||||||
| 0.86 | 0.77 | 4.16 | 0.87 | 0.77 | 4.19 |
Date: 15.08.2021 Place: Itachanda, Purba Bardhaman
Authorised Officer, State Bank of India
(₹ in Lakhs)
ISTRIES JD Regd. Office: Meherpur, Silchar, Assam - 788015, Phone: 03842 224822/996, Fax: 03842 241539
Email: [email protected]; Website: ufmindl.weebly.com
CIN: L15311AS1986PLC002539
| Extract of the Unaudited Financial Results for the quarter ended 30th June, 2021 | ||||||
|---|---|---|---|---|---|---|
| Particulars | Quarter Ended 30.06.2021 Unaudited |
Quarter Ended 30.06.2020 Unaudited |
Year Ended 31.03.2021 Audited |
|||
| Total Income from Operations | 1,822.44 | 2,157.04 | 8,515.36 | |||
| Net Profit/(Loss) before tax and exceptional items | 19.66 | 95.45 | 152.97 | |||
| Net Profit/(Loss) before tax after exceptional items | 19.66 | 95.45 | 152.97 | |||
| Net Profit/(Loss) from ordinary activities after tax | 14.91 | 70.53 | 116.29 | |||
| Total Comprehensive Income for the period (comprising profit/(loss) for the period after tax and other comprehensive income after tax) |
14.91 | 70.53 | 116.29 | |||
| Paid up Equity Share Capital (Face Value of Rs. 10/- each) | 593.26 | 593.26 | 593.26 | |||
| Earnings Per Share (of Rs. 10/- each) | ||||||
| - Basic and Diluted (₹) | 0.25 | 1.19 | 1.96 |
NOTES TO FINANCIAL RESULTS:
-
The above results have been reviewed by Audit Committee and approved by the Board of Directors at their respective meetings held on 14th August, 2021. The Statutory Auditors have carried out an audit of the above results.
-
The above is an extract of the detailed format of Quarterly Financial results filed with the Stock Exchanges under Regulation 33 of the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015. The full format of the Quarterly Financial results are available on the Stock Exchange website and also on the Company's website www.ufmindl.weebly.com
| By order of the Board For UFM Industries Limite | |||||
|---|---|---|---|---|---|
| Place : Silchar | |
|---|---|
| Date: 14th August, 2021 |


Mahabir Prasad Jain
Managing Director
DIN: 00498001
CIN: L40101HP1988GOI008409 Regd.Office: SJVN Corporate Office Complex, Shanan, Shimla-171006. H.P. (INDIA) Liasion Office : NBCC Complex, Tower-I, East Kidwai Nagar, New Delhi. Telephone: 0177-2672324, Fax: 0177-2670737 Email: [email protected] Website: www.sjvn.nic.in
Notes : 1. The above is an extract of the detailed format of Quarterly Financial Results filed with the Stock Exchanges under Regulation 33 of the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015. The full format of the Financial Results of the Company are available on the investor section of our website http://www.sjvn.nic.in and under Corporate Section of BSE Limited and National Stock Exchange of India Limited at http://www.bseindia.com & http//www.nseindia.com.
For and on Behalf of Board of Directors $Sd$ (Nand Lal Sharma) Chairman & Managing Director DIN:03495554
