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SPML Infra Limited Annual Report 2021

Jul 1, 2021

62612_rns_2021-07-01_284ebcef-7eb3-423d-a602-c501e895645d.pdf

Annual Report

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01st July, 2021

To, National Stock Exchange Exchange Plaza, Plot No. C/1, G Block, Bandra (E), Mumbai-400051 (NSE Scrip Code: SPMLINFRA)

BSE Limited Phiroze Jeejeebhoy Towers Dalal Street, Mumbai-400001 (BSE Scrip Code: 500402)

Sub Submission of Newspaper Advertisement under Reg. 47 of SEBI (Listing Obligations and Disclosure Requirements) Regulations

Dear Sirs,

With reference to the captioned subject and in terms of the Regulation 47(3) of the SEBI (Listing Obligations & Disclosure Requirements) Regulations, 2015, we are submitting herewith the extract of the Newspaper Advertisement with respect to "Extracts of the Standalone & Consolidated Audited Financial Results for the fourth quarter and year ended 31st March, 2021" as Published in the Business Standard Hindi as well as English edition on 01st July, 2021. An extract of the aforesaid advertisement is enclosed for your reference.

Kindly take the above on record.

Thanking you, For SPML Infra Limited

Swati Agarwal Company Secretary

Encl: a/a

SPML INFRA LIMITED 22, Camac Street, Block-A, 3rd Floor, Kolkata- 700 016 Ph: +91 33 4009 1200 I Fax: +91 33 4009 1303 E-mail: [email protected] I Website: www.spml.co.in Cl N: L40106DL1981PLC012228

st The above is an extract of the detailed format of Audited Standalone and Consolidated Financial Results for the quarter / year ended 31 March, 2021 filed with the Stock Exchanges under Regulation 33 of the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015. st The full format of the Audited Standalone and Consolidated Financial Results for the quarter / year ended 31 March, 2021 are available on the websites of the Stock Exchange(s) i.e NSE at www.nseindia.com and BSE at www.bseindia.com and the Company's website www.spml.co.in st The Unaudited Standalone and Consolidated Financial Results for the quarter / year ended 31 March, 2021 was approved by the Audit th Committee and the Board of Directors of the Company in their respective meetings held on 29 June, 2021

Extract of Standalone and Consolidated Unaudited Financial Results for the Quarter and Year ended 31 March, 2021st(Rs. in Lakhs)
STANDALONE CONSOLIDATED
Quarter Ended Year Ended Quarter Ended Year Ended
31.03.2021 31.12.2020 31.03.2020 31.03.2021 31.03.2020 PARTICULARS 31.03.2021 31.12.2020 31.03.2020 31.03.2021 31.03.2020
(Unaudited) (Unaudited) (Unaudited) (Audited) (Audited) (Unaudited) (Unaudited) (Unaudited) (Audited) (Audited)
18,897.87 26,419.15 22,680.86 61,539.17 82,424.28 1. Total income from operations 21,142.29 30,920.89 35,586.03 68,285.34 170,647.73
(2081.80) 4,641.29 (523.43) (639.14) (223.93) 2. Net Profit for the period (before Tax,Exceptional and/or Extraordinary items#) (2,067.55) 4,566.12 762.49 (1,108.48) 2,065.60
(2081.80) 4,641.29 (523.43) (639.14) (223.93) 3. Net Profit for the period before tax (afterExceptional and/or Extraordinary items#) (2,067.55) 4,566.12 762.49 (1,108.48) 2,065.60
(3,523.03) (2,540.48) 91.37 (10,717.42) 241.79 4. Net Profit for the period after tax (afterExceptional and/or Extraordinary items#) (4,420.29) (2,741.92) 490.61 (11,720.71) 659.13
(4080.78) (2,558.36) 531.23 (11,247.63) 699.81 5. Total Comprehensive Income for the period (4,957.05) (2,759.80) 921.12 (12,229.93) 1,109.10
819.45 819.45 819.45 819.45 819.45 6. Equity Share Capital 819.45 819.45 819.45 819.45 819.45
7.Earnings Per Share (of Rs.2/- each) in Rs.
(9.61)(6.93)(29.24)8. Basic & Diluted0.250.66 (12.06) (7.48) 1.34 (31.98) 1.80
# The Company does not have any Exceptional and Extraordinary items to report in above periods

SPML INFRA LIMITED CIN: L40106DL1981PLC012228 Registered Office : F-27/2, Okhala Industrial Area, Phase-II, New Delhi- 110020 Website: www.spml.co.in, email-id : [email protected]

Note:

th Dated: 29 June, 2021

Place: Kolkata

$(1.5.11$ Lats
Sr. Quarter ended Year ended
No. Particulars 31.03.2021 31.12.2020 31.03.2020 31.03.2021 31.03.2020
(Audited) (Unaudited) (Audited) (Audited) (Audited)
1. Total Income From Operations (Net) 12.20 6.49 20.14 32.34 21.23
2. Net Profit for the period (before Tax, Exceptional
items and / or Extraordinary items) 9.4 3.66 12.26 21.66 20.5
3. Net Profit for the period before Tax( after Exceptional
items and / or Extraordinary items) 2.8 2.83 7.88 10.68 0.73
4. Net Profit for the period after Tax (after Exceptional
items and / or Extraordinary items) 1.58 2.64 6.32 7.9 0.54
5. Total Comprehensive Income for the period after Tax 0.02
6. Equity Share Capital 1,006.44 1.006.44 1.006.44 1.006.44 1.006.44
7. Reserves (excluding Revaluation Reserve as shown in
the Balance Sheet of previous year) 10.00 10.00 10.00 10.00 10.00
8. Earnings Per Share (before and after extraordinary items)
(Face value of Rs. 10/- each)
(a) Basic (Rs.) 0.0158 0.0264 0.0632 0.079 0.0054
(b) Diluted (Rs.) 0.0158 0.0264 0.0632 0.079 0.0054
Place: KolkataDate: June 30, 2021 Mr. Samir BisvManaging DirecDIN: 07834
tatement of Standalone for the Quarter and Year ended March 31, 2021 and Consolidated Audited Financial Results for the year ended March 31, 2021 (₹ in Lakhs)3 monthEnded 3 months Standalone ResultsPreceding Corresponding
Consolidated Results
Audited Ended31.12.2020Audited 3 monthsEnded31.03.2020Audited YearEnded31.03.2021Audited YearEndedAudited YearEndedAudited YearEnded31.03.2020Audited
5220.61$-6057.25$$-6057.25$$-6057.25$-4140.611090.90$-37.96$ 3067.04$-1945.29$-1945.29$-1945.29$$-1295.34$1090.90$-11.87$ 3698.68-2877.86-2877.86$-2877.86$-1851.051090.90$-16.97$ 8287.65$-8002.53$$-8002.53$$-8002.53$-5435.951090.90$-49.83$ 36236.28-4805.26-4805.26-4805.26$-3134.01$1090.90$-6.13$$-28.73$ 8287.65$-8002.53$$-8002.53$$-8002.53$-5435.951090.90$-49.83$ 36236.28-4748.52-4748.52-4748.52$-3074.79$1090.90$-6.13$$-29.35$
Basic & Diluted (in ₹)tes :The above is an extract of the detailed format of Quarterly / Annual Financial Results filed with Stock Exchanges under Regulation 33 of theBI (Listing Obligations and Disclosure Requirements), Regulations, 2015. The full format of the Quarterly / Financial Results is available on thempany's website www.narayanisteels.co.in and Stock Exchanges website www.bseindia.com.For Narayani Steels LimitedSd/- Arun Kumar Meher
Profit before prior period items, exceptional items and tax 31.03.2021 31.03.2020 31.03.2021Company SecretaryIssued with approval of Mr. Krishna Komaravolu,
Particulars Quarter Ended Year Ended
ls.No. 31-03-2021Audited 31-12-2020Unaudited 31-03-2020Audited 31-03-2021Audited 31-03-2020Audited
Total income from operations (net) 14.81 9.06 10.26 50.02 814.48
$\overline{c}$ Net Profit / (Loss) from ordinary activities before tax (135.05) (136.22) (158.89) (555.86) (561.66)
3 Net Profit / (Loss) for the period after tax (131.61) (132.92) 366.91 (542.52) (330.93)
$\overline{4}$ Total Comprehensive Income for the period (128.93) (133.23) 365.10 (540.79) (332.20)
(Net of Taxes)
5 Equity Share Capital (Face Value Rs.1/- per share) 37744.37 37744.37 37744.37 37744.37 37744.37
6 Reserves excluding Revaluation Reserve
(i.e., other equity)
7 Earnings Per Share (basic) (0.003) (0.004) 0.010 (0.01) (0.009)
8 Earnings Per Share (diluted) (0.003) (0.004) 0.010 (0.01) (0.009)
Note: The above is an extract of the detailed format of Quarterly Financial Results filed with the Stock Exchanges under Regulation 33of the SEBI (Listing and other Disclosure Requirements) Regulations, 2015. The full format of the Quarterly Financial Results areavailable on the Stock Exchanges websites www.nseindia.com and www.bseindia.com and on the Company's websitewww.mpsinfotec.com. For MPS Infotecnics Limited
Sd/-
Place : New Delhi Peeyush Kumar Aggarwal Chairman
Date: 30.06.2021 DIN:00090423
INS. III Lacs
Quarter Ended Year Ended
Particulars 31.03.2021 31.12.2020 31.03.2020 31.03.2021 31.03.2020
Audited Unaudited Audited Audited Audited
Total income from operations (net) 2.83 3.37 2.79 11.84 12.90
Net Profit / (Loss) for the period
(before Tax, Exceptional and/or Extraordinary items#) (1.83) 0.29 (0.44) (5.45) (9.47)
Net Profit / (Loss) for the period before tax
(after Exceptional and/or Extraordinary items#) (1.83) 0.29 (0.44) (5.45) (9.47)
Net Profit / (Loss) for the period after tax
(after Exceptional and/or Extraordinary items#) (1.83) 0.29 (0.44) (5.45) (9.47)
Total Comprehensive Income for the period
[Comprising Profit / (Loss) for the period (after tax)
and Other Comprehensive Income (after tax)] (1.83) 0.29 (0.44) (5.45) (9.47)
Equity Share Capital (Face Value Rs. 10 per Share) 1432.28 1432.28 1432.28 1432.28 1432.28
Reserves (excluding Revaluation Reserve) (849.44) (844.80)
Earnings Per Share (Face Value Rs. 10/- each)
(For Continuing and Discontinued Operations)
Basic: (0.0128) 0.0020 (0.0030) (0.0381) (0.0661)
Diluted: (0.0128) 0.0020 (0.0030) (0.0381) (0.0661)

For SPML Infra Limited Sd/- Subhash Chand Sethi Chairman DIN: 00464390

SecureKloud Technologies Limited (Formerly 8K Miles Software Services Limited)

Regd. Off.: # 5, II Floor, Srinivasa Towers, Cenotaph Road, Teynampet, Chennai-600 018 Ph: 044-6602 8000 Email: [email protected] | Website: www.securekloud.com | CIN: L72300TN1993PLC101852

Note:

    1. The above financial results have been reviewed by the Audit Committee and approved by the Board of Directors at their respective meetings held on June 30, 2021. 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 Obligations and Disclosure Requirements) Regulations, 2015. The full format of the Quarterly/Annual Financial Results are available on the websites of the Stock Exchange(s) viz., www.nseindia.com and www.bseindia.com and the Company viz., www.securekloud.com
    1. 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.
    1. Exceptional and/or Extraordinary items adjusted in the Statement of Profit and Loss in accordance with Ind-AS Rules / AS Rules, whichever is applicable.

For SecureKloud Technologies Limited SURESH VENKATACHARI Place: Chennai Chairman

Date: 30-06-2021 DIN: 00365522

STATEMENT OF AUDITED STANDALONE FINANCIAL RESULTS FOR THE QUARTER/YEAR ENDED MARCH 31, 2021 (Rs. in lakhs except EPS)

3 months ended Year ended
Particulars 31-Mar-21 31-Dec-20 31-Mar-20 31-Mar-21 31-Mar-20
Audited Un-audited Un-audited Audited Audited
1 Total Income from Operations 759.84 899.93 1,181.87 4,017.52 4,548.84
2 Net Profit/(Loss) for the period(before tax, Exceptional and/or Extraordinary items) (201.65) (195.70) (1,275.22) 24.87 (514.02)
3 Net profit/(loss) for the period before tax(after Exceptional and/or Extraordinary items) (201.65) (195.70) (1,293.63) 24.87 (532.43)
4 Net profit/(loss) for the period after tax(after Exceptional and/or Extraordinary items) (179.51) (142.56) (1,073.22) (4.19) (525.25)
5 Total Comprehensive income for the period(comprising profit/(loss) for the period (after tax) andother Comprehensive Income(after tax) (182.52) (142.56) (1,068.10) (10.15) (528.03)
6 Equity Share Capital (face value of Rs. 5/- each) 1,525.88 1,525.88 1,525.88 1,525.88 1,525.88
7 Reserves (Excluding Revaluation Reserves) 7,861.37 6,746.55
8 Earnings per share (Face value of Rs. 5/- each)
(i) Basic (Rs.) (0.59) (0.47) (3.52) (0.01) (1.72)
(ii) Diluted (Rs.) (0.59) (0.47) (3.52) (0.01) (1.72)

STATEMENT OF AUDITED CONSOLIDATED FINANCIAL RESULTS FOR THE QUARTER / YEAR ENDED MARCH 31, 2021 (Rs. in lakhs except EPS)

3 months ended Year ended
Particulars 31-Mar-21 31-Dec-20 31-Mar-20 31-Mar-21 31-Mar-20
Audited Un-audited Un-audited Audited Audited
1 Total Income from Operations 8,274.87 9,014.09 7,093.92 34,960.69 38,643.45
2 Net Profit/(Loss) for the period(before tax, Exceptional and/or Extraordinary items) (168.86) 462.39 (258.73) 153.21 (5,878.15)
3 Net profit/(loss) for the period before tax(after Exceptional and/or Extraordinary items) (168.86) 462.39 (14,019.99) 153.21 (67,172.10)
4 Net profit/(loss) for the period after tax(after Exceptional and/or Extraordinary items) (151.40) 515.53 (13,808.59) 118.19 (67,451.16)
5 Total Comprehensive income for the period(comprising profit/(loss) for the period (after tax) andother Comprehensive Income(after tax) (154.41) 515.53 (13,803.47) 112.23 (69,996.24)
6 Equity Share Capital (face value of Rs. 5/- each) 1,525.88 1,525.88 1,525.88 1,525.88 1,525.88
7 Reserves (Excluding Revaluation Reserves) 2,571.43 1,243.32
8 Earnings per share (Face value of Rs. 5/- each)
(i) Basic (Rs.) (0.37) 0.78 (42.23) 0.52 (164.42)
(ii) Diluted (Rs.) (0.37) 0.78 (42.23) 0.52 (164.42) Note :
  1. The above is an extract of the detailed format of Quarterly/yearly financial results filed with the Stock Exchanges under Regulation 33 and Regulation 52 of the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015. The full format of the same is available on the Stock Exchange websites – www.nseindia.com, www.bseindia.com, www.cseindia.com and on the company's website : www.dredgeindia.com.

  2. For the items referred to in sub-clauses (a), (b), (d) and (e) of the Regulation 52 (4) of the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015, the pertinent disclosures have been made to Mumbai Stock Exchange and can be accessed on www.bseindia.com and on the company's website : www.dredge-india.com.

By order of the Board For Dredging Corporation of India Limited Place : Visakhapatnam (Prof Dr. G Y V Victor) Date : 29/06/2021 Managing Director & CEO

Extract of Standalone audited Financial Results for the year ended 31st March 2021 (Rs. in Lakhs)

DREDGING CORPORATION OF INDIA LIMITED CIN No : L29222DL1976PLC008129

R.O: Core-2, 1st Floor, "Scope Minar", Plot No.2A & 2B, Laxmi Nagar District Centre, Delhi-110091. H.O : "Dredge House", HB Colony Main Road,Seethammadhara, Visakhapatnam-530 022. E-mail : [email protected] Tel : 0891-2523250; Fax : 0891-2560581; Website : www.dredge-india.com

Sl.No. PARTICULARS Quarterended Quarterended Yearended31/03/21 31/03/20 31/03/21 31/03/20 Yearended
1 Total Income from Operations 21188.09 22761.85 76376.40 74968.93
2 Net Profit/(Loss) for the period (before tax,exceptional and/or Extraordinary items) -11007.51 269.60 -17059.04 1341.55
3 Net Profit(Loss) for the period before tax(after Exceptional and/or Extraordinary items) -11007.51 269.60 -17059.04 1341.55
4 Net Profit(Loss) for the period after tax (afterExceptional and/or Extraordinary items) -11081.00 -438.21 -17241.40 551.31
5 Total comprehensive Income for the period(comprising Profit/Loss) for the period (after tax)and other comprehensive income (after tax) 428.55 -- 428.55 --
6 Equity share capital 2800.00 2800.00 2800.00 2800.00
7 Reserves(excluding Revaluation Reserves) -- -- 137411.54 154224.39
8 Net Worth -- -- 140211.54 157024.39
9 Debt Equity Ratio -- -- 0.21:1 0.35:1
10 Paid up debt capital / debt outstanding 40,900.55 55,210.00
11 Earnings Per Share (EPS) (in `) -- --
a. Basic (38.04) (1.57) (60.05) 1.97
b. Diluted (38.04) (1.57) (60.05) 1.97
12 Debenture Redemption Reserve -- -- 3000 3000
13 Debt Service coverage ratio -- -- 0.99 0.98
14 Interest service Coverage Ratio -- -- 2.36 2.01
लेखापरीक्षित स्टैण्डएलॉन वितीय परिणामों का सार आईटीएल फिनलीज एण्ड सिक्योरिटीज लिमिटेडपंजीकृत कार्यालय : बी-cs, जीडी-आईटीएल टॉवर, टॉप फ्लोर नेताजी युभाष प्लेस, पीतनपुर, दिल्ली-110034दरभाष : 011-27352981-84, फैक्स : 27352985, सीआईएन : L65910DL1991PLC045090,ई-मेल: [email protected], बेब साइट: www.itlfinlease.com31 मार्च, 2021 को समाप्त तिमाही तथा वित्त वर्ष के रुलाख में AIRMEGA MegaCozpCIN L65100DL1985PLC092375Regd.Office: NSIC Complex, Maa Anandmayee Marg,Okhla Ind. Estate-III, New Delhi-110 020, Ph:+91 11 40531616email:[email protected], www.megacorpltd.com MEGA CORPORATION LTD. Rea दि हाई-टेक गियर्स लिमिटेडCIN: L29130HR1986PLC081555पंजी, कार्यालय : प्लॉट नंबर 24 - 26, आईएमटी मानेसर, सेक्टर-7, गुरुआम-122050, हरियाणाकार्पो. कार्यालय : मिलेनियम प्लाज़ा, टावर-बी, सुशान्त लोक-।, सेक्टर-27, गुरूग्राम -122002, हरियाणाफोन: +91(124) 4715100 Fax: +91(124) 2806085वेबसाइट : www.thehitechgears.com, ई-मेल : [email protected]
विक्लण 31.03.2021 समाप्त तिमाही31.12.2020 31.03.2021 समाप्त वर्ष31.03.202 AUDITED FINANCIAL RESULTS FOR THE YEAR ENDED 31ST MARCH, 2021 मार्च 31, 2021 को समाप्त तिमाही और वर्ष हेतु अंकेक्षित समेकित वित्तीय परिणामों का विवरण
1 प्रचालनों से कुल आय लेखापरीक्षित41.89 अलेखापरीक्षि3.70 नेखापरीक्षित63.79 लेखापरीक्षितSQ.14 (Rs in Lakhs except per share data) (क. मिलियन में, सिवाय प्रति शेयर डेटा)
2 अवधि हेतु निबल लाभ/( हानि) ( कर, अपवारित 15.94 (8.90) 3.41 23.55 STANDALONE III स. क्रि. विवरण तिमाडी वर्ष तिमाही
तथा/अथवा असाधारण मरों से पूर्व) SI.No. Particulars Quarter/Period Ended Year Ended समाप्त31/03/2021 समाप्त31/03/2021 समाप्त31/03/2020
3 कर पूर्व अवधि हेतु निबल लाभ/(हानि)(अपवारित तथा/अथवा असाधारण मरों 15.94 (8.90) 3.41 23.55 (Audied)31.03.2021 (Reviewed)31.12.2020 (Audited)31.03.2020 (Audited)31.03.2021 31.03.2020 (अंकेंशित) (अंकेसित) (अंकेशित)
पश्चात)कर पश्चात अवधि हेतु निबल लाभ/(हानि 13.91 (8.79) 0.04 17.65 Income from Operations(Net) 61.26 61.68 81.16 271.81 267.11 परिचालन से कुल आय 2,498.40 7,560.33 1,650.76
'अपवारित तथा/अथवा असाधारण मरों व Other operating Income (0.10) 2.16 3.50 3.30 तिमाही/वर्ष हेतु शुद्ध लाभ/(हानि) (कर, अपवाद तथा/ 279.77 340.13 (5.57)
पश्चात) Income from Operations (Net) $1.16 83.84 81.16 275.31 270.41 अथवा असाधारण मदों से पहले)
.अवधि हेतु कुल व्यापक आय [अवधि हेलाभ/(हानि) (कर पश्चात) तथा अन्य व्यापवआय ( कर पश्चात) सहित] 14.43 (S.79) 0.56 17.72 $\boldsymbol{2}$Total Expenditure$\bullet$ Profit/(Loss) from operations before other income, 20.81 27.87 30.26 81.31 104.50 तिमाही/वर्ष हेतु शुद्ध लाभ/(हानि), कर से पहले(अपवाद तथा/अथवा असाधारण मदों के बाद) 279.77 340.13 (5.57)
6 इक्विटी शेयर पैंजी 490.81 480.81 480.81 480.81 $\overline{\mathbf{A}}$ Finance costs & Exceptional Item (1 - 2) 40.35 35.87 50.90 194.00 185.91 तिमाही/वर्ष हेतु शुद्ध लाभ/(हानि), कर पश्चात (अपवाद तथा/ 287.25 287.87 (51.67)
7 आरक्षितियाँ (गत वर्ष के लेखापरीक्षित तलन पत्र 440.86 440.86 440.31 Other Income÷. Profit/(Loss) from ordinary activities before 8,98 0.05 3.18 9.03 5.11 अथवा असाधारण मदों के बाद)
में प्रदर्शित के अनुसार पुनर्मुल्यांकन आरक्षितियों क Finance costs and Exceptional items 48.33 36.02 54.08 203,03 171.02 तिमाही/वर्ष हेतु कुल समावेशी आय [जिसमें अवधि हेतु शुद्ध 360.90 445.09 (22.75)
लेडकर)3 आय प्रति शेयर ( रु. 10/– प्रत्येक के) (सतत एवं Finance Cost$\theta$ 46.66 38.50 42.42 161.44 129.33 लाभ/(हानि) (कर पश्चात) तथा अन्य समावेशी आय (कर पश्चात)
असतत प्रचालनों हेतु) Profit/(Loss) from ordinary activities after शामिल है)]
(अ) बेरिका 0.30 (0.18) 0,00 0.37 Finance costs but before Exceptional item 2.57 (2.48) 11.86 41.59 41.69 इक्विटी शेयर पंजी 187.68 187.68 187.68
(ब) डाइल्यूटेड 0.30 (0.18) 0,00 0.37 Exceptional Items$\bf{8}$ 40.91 $\sim$ 40.91 संचेय/अन्य इक्विटी जैसाकि अंकेशित तुलनपत्र में दर्शाया गया है 3,019.68
नोट : $\bullet$ Profit(Loss) from ordinary Activites before Tax 2.67 (2.48) (29.25) 41.59 0.78 प्रति शेयर अर्जन (रू. 10/- प्रत्येक का)
, उपर्युवत सेबी (सूचीबद्धता दायित्व तथा प्रकटन अपेक्षाएँ) विनियम, 2015 के विनियम 33 के अनुसार स्टॉक 10 Tex Exponses 70.57 (7.81) 70.57 (7.81) (जारी तथा बंद प्रचालनों हेत्) –
Provision for Tax 82.05 B2.05 (क) मूल 15.31 15.34 (2.75)
विचीय परिणामों का पूर्ण प्रारूप स्टॉक एक्सचेंजों की बेक्साइट अर्थात www.msei.in तथा कम्पनी की बेक्साइट Deferred Tax (11.4B) (7.81) (11.4B) (7.81) 15.31 15.34
एक्सचेंजों के साथ दर्ज 31 मार्च, 2021 को समाप्त तिमाही तथा वित्त वर्ष के स्टैण्डएलोन लेखापरीक्षित वित्तीय.परिणामों के विस्तृत प्रारूप का सारांश है। 31 मार्च, 2021 को समाप्त तिमाही तथा विच वर्ष हेतु लेखापरीक्षितwww.itlfinlease.com पर उपलब्ध है। 11 Net Profit from ordinary Activities after Tax (67.90) (2.40) (21.44) (28.95) 6.59 नोटस :- (ख) तनुकृत
2. 31 मार्च, 2021 को समाप्त तिमाही तथा वर्ष के उपर्युक्त लेखापरीक्षित परिणामौ की समीक्षा लेखापरीक्षा समितिद्वारा की गयी है तथा 30.06.2021 को आयोजित अपनी बैटक में निर्देशक मण्डल द्वारा अनुमोदित की गयी है। Extra ordinary hems (Net)13 Net Profit/Loss for the period (11-12) 2.80(65.10) (2.45) 2.8(26.15) 8.59
निर्देशक मण्डल के लिए तथा उनकी ओर से 14 Pald-up Equity Capital ( FV of Rs. 1/- each ) 1000.00 1000.00 (21.44)1000.00 1000.00 1000.00 1) उपरोक्त अंकेक्षित समेकित वित्तीय परिणाम अंकेक्षण समिति द्वारा जून 29, 2021 को सम्पन्न इसकी बैठक में पुनरीक्षित किए गए हैं, और उसके उपरान्त निदेशक मंडल द्वारा जून 29, 2021 को सम्पन्न इसकी बैठक में अनुमोदित किए गए हैं (2.75)
आईटीएल फिनलीज एण्ड सिक्योरिटीज लिमिटेड Earning Per Share ( Basic & Diluted ) 2) निर्देशक मंडल ने कम्पनी की प्रदत्त शेयर पूंजी पर, रू. 10/– (रू. दस मात्र) प्रत्येक के हर इक्विटी शेयर पर रू. 2.00 (रू. दो मात्र)
बी.एल. गुप्ता (Before Extra Ordinary Item ) (0.03) 0.01 अर्थात कम्पनी की प्रदत्त शेयर पूंजी पर 20% अंतिम लागांश, सदरयों द्वारा उनकी वार्षिक सामान्य बैठक में अनुमोदन की शर्त पर,
निदेशव Earning Per Share (Basic & Diluted) संरतूत किया है।
द्रीआईएन 00143031 (After Extra Ordinary Item) (0.03) 0.01 3) उपरोक्त विवरण सेबी (सूचीयन एवं अन्य प्रकटीकरण अपेक्षाएं) विनियमावली, 2015 के विनियम 33 के तहत रटॉक एक्सचेन्जेज में
Notes:- प्ररत्त किए गए मार्च 31, 2021 को समाप्त तिमाही और वर्ष हेतु समेकित वित्तीय परिणामों के विरतत प्रारूप का संक्षिप्त विवरण है।
1. The above audited results, reviewed by the Audit Committee were taken on record, by the Board of मार्च 31, 2021 को समाप्त तिमाही और वर्ष हेतु वित्तीय परिणामों का पूर्ण विवरण रटोंक एक्सचेन्जेज की वेबसाइट
Directors in the meeting held on 30th June, 20212. Deferred tax provision has been made in the accounts in accordance with the requirement of the (www.nseindia.com एवं www.bseindia.com) तथा कम्पनी की वेबसाइट (www.thehitechgears.com) पर उपलब्ध है।
accounting standards on Tax on Income (INDAS-12). 4) सेबी (एलओडीआर) विनियमावली, 2015 के विनियम 47 (1) (ख) के अनुसरण में कम्पनी की प्रमुख पृथक्कृत अंकेक्षित वित्तीयंजानकारी के संबंध में अतिरिक्त जानकारी नीचे दी गई है :
3. Previous year/Qtrs. Figures have been regrouped/ rearranged, wherever necessary.
4. Status of investor Complaints: Pending as on 01.01.21 Nil, Received : Nil, Resolved: Nil, Pending as on विवरण तिमाहीसमाप्त वर्ष (रू. मिलियन मेंतिमाही
31.03.21: NII समाप्त31/03/2021 31/03/2021 31/03/2020 समाप्त
For Mega Corporation Limited Ш (अर्कोक्षेत) (अर्कसित) (अर्कश्चित)
Sd/-Surendra Chhalani 1,696.02 5,326.38 1,112.52
Date: 30.06.2021 (Director & CFO) कर पूर्व लाभ │ । परिचालन से आय और अन्य आय 189.88 496.40 (11.43)
Place: New Delhi DIN:00002747 कर पश्चात लाभ 132.50 372.88 (36.95)
कृते एवं हिते निदेशक मंडल
स्थान : नई दिल्लीतिथि: 30.06.2021BAG बी.ए.जी. फिल्मस एण्ड मीडिया लिमिटेड 57 स्थान : नई दिल्ली दि हाई-टेक गियर्स लिमिटेडहरता./-दीप कपूरियाकार्यकारी अध्यक्ष

**વા.**ણ.ગા. ાफल्मस एण्ड मााडवा ।लामटड सीआईएन: L74899DL1993PLC051841

पंजीकृत कार्यालय: 352, अग्रवाल प्लाज़ा, प्लॉट नं. 8, कोंडली, नई दिल्ली-110096 कॉर्पोरेट कार्यालय: एफसी-23, सेक्टर-16 ए, फिल्म सिटी, नोएडा (उ.प्र.)-201301 चेबसाइट:www.bagnetwork24.in,ई-मेल:[email protected]

31 मार्च, 2021 को समाप्त तिमाही एवं वर्ष के लिए स्टैंडएलोन और समेकित लेखापरीक्षित वित्तीय परिणामों का संक्षिप्त विवरण

(र लाख में) समेकित स्टॅंडएलोन समाप्त तिमाही समाप्त तिमाही समाप्त वर्ष समाप्त वर्ष विवरण 31.03.2021 31.12.2020 31.03.2020 31.03.2021 31.03.2020 31.03.2021 31.12.2020 31.03.2020 31.03.2021 31.03.2020 लेखापरीदिता) (लेखापरीक्षित) (लेखापरीदिता) (लेखापरीदिता) (अलेखापीदिता) (लेखापरीदिता) (लेखापरीदिता) (लेखापरीक्षित) लेखापरीक्षित) (अलेखानीतित) । परिचालन से कुल आय (शुद्ध) 688.93 3,003.42 3,331.72 4,065.32 2,580.67 2,915.18 10,046.92 12,054.71 1060.82 883.95 - - - - - - - - - - - - - - - - - - - $(151.96)$ $(35.00)$ $329.03$ $(368.93)$ $61.20$ $(121.75)$ 80.94 $(138.80)$ $(1,440.19)$ $(1,065.46)$ -अनपि हेतु कर पूर्व गुद्ध लाभ/(हानि)के उपरांत))- - - - - - - - - - - - - - - - - - - $(151.96)$ $(121.75)$ $(136.60)$ $(1,440.19)$ $(1,065.46)$ $(35.00)$ 329.03 $(368.93)$ $61.20$ 80.94 $(138.44)$ $(1,454.86)$ $(1,030.66)$ अवधि हेतु कर पश्चात शुद्ध लाभ/(हानि) (विशिष्ट और/या असाबारणमर्दों के अपरात))मन्ने ने उपयोगी $(139.75)$ $(44.72)$ $(386.80)$ $(120.15)$ 327.19 49.67 76.80 अवधि हेतु कुल समग्र आय |अवधि| इतु शुद्ध लाम/(हानि) (कर पश्चात)| और अन्य समग्र आय (कर पश्चात)| शामिल है| $(175.15)$ $(1,472.96)$ $(1,067.36)$ $(147.73)$ $(44.72)$ 327.19 $(394.78)$ 41.89 $(138.25)$ 76.80 अक्बिटी शेयर पूंजी 3,956.65 3,956.66 3,956.66 3,956.66 3,956.66 3,956.66 3,956.66 3,956.66 3,956.66 3,956.66 प्रति शेयर् अर्जन (इ. 2/- प्रत्येकका) (निरतर एवं स्के हुए प्रचालनोंके लिए)-----------------------------------------------

हरता./ दीप कपूरिया कार्यकारी अध्यक्ष निथि: जून 29, 2021 (DIN: 00006185)

BHARTIYA INTERNATIONAL LIMITED BHARTIYA BHARTIYA FASHION Regd. Office:-56/7, Nallambakkam Village (Via Vandalur), Chennai, Tamil Nadu-600 048

Extract of Standalone and Consolidated Audited Financial Results for the Quarter and Year Ended 31st March, 2021

(Rs. In Lacs)
S. Standalone Consolidated
No. Particulars Quarter Ended Year Ended Quarter Ended Year Ended
31.03.202131.03.202031.03.2020(Audited)(Audited)(Audited) 31.03.2021(Audited) 31.03.2021(Audited) 31.03.2020(Audited) 31.03.2020(Audited) 31.03.2021(Audited)
Total Income from Operations 9743.70 9648.80 55776.32 40104.83 14413.58 12811.24 72505.08 55334.45
Net Profit/(Loss) before share of Net Profit/(Loss)of Associate 17.78 29.61 2500.11 237.82 (225.29) 124.58 2910.28 298.03
l3 Share of Net Profit/ (Loss) of Associate 945.45 341.89 (348.68) (887.33)
14 Net Profit /(Loss) for the period before tax.(after exceptional and /or extraordinary items) 17.78 29.61 2500.11 237.82 720.16 466.47 2561.60 (589.30)
ll 5 Net Profit /(Loss) for the period after tax(after exceptional and / or extraordinary items) (19.60) 43.50 2150.67 157.87 775,72 446.03 2125.74 (617.67)
ll6 Total Comprehensive Income for the period(comprising profit/ (loss) for the period (after tax)and other comprehensive Income(After Tax) (17.08) 75.85 2180.98 183.12 778.75 482.93 2155.62 (591.91)
Paid up Equity Share Capital(face value Rs.10/-each) 1220.24 1220.19 1220.19 1220.24 1220.24 1220.19 1220.19 1220.24
18 Reserves (excluding Revaluation Reserve) 27736.70 27920.40 33455.79 32811.76
19 Earnings Per Equity Share of Rs. 10/- eachhasileunne ton)
द्रवितः 0.07 (0.02) .0.17 (0.20) 0.02 (0.07) 0.03 ,(0.09) יד וישן(0.74) 14.47(0.54) BasicDiluted 17.63(0.16)0.36(0.16)17.570.36 1.291.29 6.396.38 3.663.64 17.4317.37 (4.83)(4.82)
टिप्पणी:1. उपर्युक्त लेखापरीखित वित्तीय परिणाम की समीक्षा दिनांक 29 जून, 2021 को लेखापरीका समिति द्वारा की गई है एवं निदेशक मंडल द्वारा आयोजित उनकी सभा मेंअनुमोदन किया गया है।. उपर्युक्त विवरण सेवी (सूचीयन व अन्व प्रकटीकरण आवश्यकताओं) विनियम, 2015 के विनियम 33 के अधीन स्टॉक एक्सचेंजों के पास दाखिल किए गए 31 मार्च,2021 को समाप्त तिमाही एवं वर्ष के लिए लेखापरीक्षित विचीव परिणामों के विस्तृत प्रके लेखापरीश्वित वित्तीव परिणामों का संपूर्ण प्रारूप निवेशकों को स्टॉक एक्सर्चेव की वेबसाइट www.nseindla.com, www.bseindla.com और साथ ही कंपनी कीवेबसाइट www.bagnetwork24.in पर उपलब्ध है।3. पूर्ववर्ती तिमाही/वर्ष के आंकड़ों को जहाँ भी आवश्यक हो, पुनःएकत्रित/पुनःवर्गीकृत किया गया है।स्थान : नोएडातिथि: 29 जून, 2021 UGAFM RADIO कुते वी.ए.जी. फिल्मस एयड मीडिया लिमिटेडजसा/-अनुराया प्रसाद जुक्लाअध्यक्षा सह प्रबंध निदेशकDIN: 00010716 Votes:periods.Place: BangaluruDate: 29.06.2021 Company's website www.bhartiya.com. The above is an extract of the detailed format of Standalone and Consolidated Audited financial results for the qurater and year ended on 31st March, 2021 filled with the StockExchanges under Regulation 33 of the SEBI (Listing Obligations and Disclosure Requirements) Regulation, 2015. The full format of the Standalone and Consolidated FinancialResults for the quarter and year ended 31st March, 2021 are available on the websites of the Stock Exchange(s)(www.bseindia.com and www.nseindia.com) and on theThe above results were reviewed and recommended by the Audit Committee and approved by the Board of Directors at its meeting held on 29th June, 2021.The Company's operations and financial results for the year ended 31st March, 2021 have been impacted partially by the outbreak of COVID-19 pandemic and the consequentlockdown announced by central and state governments, due to which the operations were suspended for a large part of the quarter ended June 30, 2020 and resumed graduallywith prescribed requlations and precautions. Accordingly, the financial results presented for the year ended 31st March, 2021 are not strictly comparable with those of previousCIN: L74899TN1987PLC111744 Tel: +91-9551050418-21 E-mail: [email protected] Website: www.bhartiya.com For Bhartiya International Ltd.Sd/Manoj KhattarWhole Time Director
YORK EXPORTS LIMITEDREGD. OFFICE: D-6, Diwan Shree Apartments, 30, Ferozeshah Road, NEW DELHIWebsite: www.yorkexports.in CIN: L74899DL1983PLC015416Extract of audited Standalone and Consolidated Financial Results for the Quarter andParticulars Year Ended 31st March, 2021 Standalone Consolidated (T in Laith) SPMLEngineering Life SPML INFRA LIMITEDCIN: L40106DL1981PLC012228Registered Office : F-27/2, Okhala Industrial Area, Phase-II, New Delhi-110020
31.03.2021(Audited) Ouerter ended31.12.2020 31.03.2020(Unsudited) (Audited) (Audited) Financial Year ended31.03.2021 31.03.2020(Audited) Financial Year ended31.03.2021(Audited) 31.03.2020(Audited) Website: www.spml.co.in, email-id: [email protected]Extract of Standalone and Consolidated Unaudited Financial Results for the Quarter and Year ended 31 et March, 2021 (Rs. in Lakhs)
Total Income from Operations 34.38 944.65 107.02 2050.03 2503.01 2050.03 2503.01
Net Profit/(Lossifor the period (37.12) 20.79 (28.22) 11.22 40.32 11.22 40.32 STANDALONE CONSOLIDATEDQuarter Ended Year Ended
(before tax, Exceptional and /orExtraordinary items) 31.03.2021 Quarter Ended31.12.2020 31.03.2020 Year Ended31.03.202131.03.2020 PARTICULARS 31.03.2021 31.12.2020 31.03.2020 31.03.2021 31.03.2020
Net Profit/(Loss) for the period(before tax (after Exceptional and / (37.12) 20.79 (28.22) 11.22 40.32 22.12 26.09 (Unaudited) (Unaudited) Unaudited} (Audited) (Audited) (Unaudited) (Unaudited) (Unaudited) (Audited) (Audited)
or Extraordinary items)Net Profit/(Loss)for the period after (35.12) 19.59 (22.22) 8.22 34.32 19.12 20.09 18,897.87 26,419.15 22,680.86 61,539.17 82,424.28 Total income from operations 21,142.29 30,920.89 35,586.03 68,285.34 170,647.73
tax (after Exceptional and /orExtraordinary items) (2081.80) 4,641.29 (523.43) (639.14) (223.93) Net Profit for the period (before Tax,Exceptional and/or Extraordinary items#) (2,067.55) 4,566.12 762.49 (1, 108.48) 2,065.60
Total Comprehensive income for theperiod [Comprising Profit/(Loss) for (33.18) 19.59 (24.59) 10.16 31.95 21.06 17.72 (2081.80) 4,641.29 (523.43) (639.14) (223.93) 3 Net Profit for the period before tax (afterExceptional and/or Extraordinary items#) (2,067.55) 4,566.12 762.49 (1, 108.48) 2,065.60
the period (after tax) and OtherComprehensive Income (after tax)Equity Share Capital 336.28 336.28 336.28 336.28 336.28 336.28 336.28 (3,523.03) (2,540.48) 91.37 (10,717.42) 241.79 Net Profit for the period after tax (afterExceptional and/or Extraordinary items#) (4,420.29) (2,741.92) 490.61 (11, 720.71) 659.13
Reserves (excluding Revaluation (4080.78) (2,558.36) 531.23 (11.247.63 699.81 -5. Total Comprehensive Income for the period (4,957.05) (2,759.80) 921.12 12,229.93 1,109.10
Reserve) as shown in the Audited 819.45 819.45 819.45 819.45 819.45 Equity Share Capital 819.45 819.45 819.45 819.45 819.45
Balance Sheet of the previous year)Earnings Per equity Share (Basic & (0.99) 0.59 (0.73) 0.30 0.95 0.63 0.53 7. Earnings Per Share (of Rs.2/- each) in Rs.
Diuted) (Face Value of Rs.10/- per (9.61) (6.93) 0.25 (29.24) 0.66 8. Basic & Diluted#The Company does not have any Exceptional and Extraordinary items to report in above periods (12.06) (7.48) 1.34 (31.98) 1.80
share)1 The above results are an extract of the detailed format of quarterly / Yearly Financial Results filed with the BSE Ltd. Under Regulation 33 ofSEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015. The full format of the quarterly/Yearly Financial Results areavailable on the Stock Exchange website at (www.bseindla.com)as well as on the Company's Website at www.yorkexports.in.2 The Consolidated Financial Results have been prepared in accordance with principles of Indian Accounting Standards (ind AS) asspecified by ICAI and section 133 of the Companies Act, 2013.3. The finandal results for the quarter and year ended March 31, 2021 are in compliance with Indian Accounting Standard (IND AS) notifiedby the MCA. For and on behalf of the Board of DirectorsFor York Exports Ltd Note: 1. The above is an extract of the detailed format of Audited Standalone and Consolidated Financial Results for the quarter / year ended 31 st March,2021 filed with the Stock Exchanges under Regulation 33 of the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015.The full format of the Audited Standalone and Consolidated Financial Results for the quarter / year ended 31 st March, 2021 are available on thewebsites of the Stock Exchange(s) i.e NSE at www.nseindia.com and BSE at www.bseindia.com and the Company's website www.spml.co.in2. The Unaudited Standalone and Consolidated Financial Results for the quarter / year ended 31 st March, 2021 was approved by the AuditCommittee and the Board of Directors of the Company in their respective meetings held on 29 th June, 2021 For SPML Infra LimitedSd/-
Place: LudhlanaDated: 30.06.2021 (Ashwani Dhawan)Mg. DirectorDIN: 00264986 Place: Kolkata Dated: 29 th June, 2021 Subhash Chand SethiChairmanDIN: 00464390

.Thisk Firs

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