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SPML Infra Limited — Interim / Quarterly Report 2021
Aug 13, 2021
62612_rns_2021-08-13_070024b9-1d63-43a5-a236-047f83a038cf.pdf
Interim / Quarterly Report
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13111August, 2021
To, National Stock Exchange Exchange Plaza, Plot No. C/1, G Block, Baridra (E), Murnbai-400051 (NSE Scrip Code: SPMUNFRA)
BSE Limited Phiroze Jeejeebhoy Towers Dalal Street. Murnbai-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 Unaudited Financial Results of the Company for the first quarter ended 30111June, 202 l '' as Published in the Business Standard Hindi as well as English edition on l 3111August, 202 l. An extract of the aforesaid advertisement is enclosed for your reference.
Kindly take the above on record.
Thanking you, For SPML Infra Lu· ?J:-tt- 2?-?? Swati Agarwal Company Secretary
Encl: a/a
SPML INFRA LIMITED
22, Camac Street, Block-A, 3rd Floor, Kolkata- 700 016 Ph: +91 33 4009 1200/234/247 E-mail: [email protected] I Website: www.spml.co.in CIN: L40106DL1981PLC012228

Regd. Office: F-27/2, Okhla Industrial Area, Phase-II New Delhi-110020 ISO 9001 :20!5
l
| Place: Kolkata |
|---|
| th Dated: 12 August, 2021 |

Note: The above is an extract of the detailed format of Unaudited Standalone and Consolidated Financial Results for the 1st quarter ended 30th June, 2021 filed with the Stock Exchanges under Regulation 33 of the SEBI (ListingObligations and Disclosure Requirements) Regulations, 2015. The full format of the Unaudited Standalone and Consolidated Financial Results for the 1st quarter ended 30th June, 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 1.
| (Rs. in Lakhs) | |||||||||
|---|---|---|---|---|---|---|---|---|---|
| STANDALONE | CONSOLIDATED | ||||||||
| Quarter Ended | Year Ended | Quarter Ended | Year Ended | ||||||
| 30.06.2021 | 31.03.2021 | 30.06.2020 31.03.2021 | PARTICULARS | 30.06.2021 | 31.03.2021 30.06.2020 31.03.2021 | ||||
| (Unaudited) | (Unaudited) | (Unaudited) | (Audited) | (Unaudited) | (Unaudited) (Unaudited) | (Audited) | |||
| 18,302.46 | 18,897.87 | 8,926.03 | 61,539.17 | 1. | Total income from operations | 18,530.69 | 21,142.29 | 8,926.03 | 68,285.34 |
| (783.13) | (2,081.80) | (2,465.16) | (639.14) | 2. | Net Profit for the period (before Tax, Exceptional and/or Extraordinary items#) |
(704.55) | (2,067.55) | (2,687.37) | (1,108.48) |
| (783.13) | (2,081.80) | (2,465.16) | (639.14) | 3. | Net Profit for the period before tax (after Exceptional and/or Extraordinary items#) |
(704.55) | (2,067.55) | (2,687.37) | (1,108.48) |
| (251.08) | (3,523.03) | (3,105.22) | (10,717.42) | 4. | Net Profit for the period after tax (after Exceptional and/or Extraordinary items#) |
(185.38) | (4,420.29) | (3,183.75) | (11,720.71) |
| (220.36) | (4,080.78) | (3,087.60) | (11,247.63) | 5. | Total Comprehensive Income for the period | (154.66) | (4,957.05) | (3,166.13) | (12,229.93) |
| 819.45 | 819.45 | 819.45 | 819.45 | 6. | Equity Share Capital | 819.45 | 819.45 | 819.45 | 819.45 |
| 7. | Earnings Per Share (of Rs.2/- each) in Rs. | ||||||||
| (0.69) | (9.61) | (8.47) | (29.24) | Basic & Diluted | (0.51) | (12.06) | (8.69) | (31.98) |
The Unaudited Standalone and Consolidated Financial Results for the 1st quarter ended 30th June, 2021 was approved by theAudit Committee and the Board of Directors of the Company in their respectivemeetings held on 12thAugust, 2021 2. For SPML Infra Ltd.
sd/-
Subhash Chand Sethi
Chairman DIN: 00464390
th Extract of Standalone and Consolidated Unaudited Financial Results for the First Quarter ended 30 June, 2021
SPML INFRA LIMITED
CIN: L40106DL1981PLC012228 Registered Office : F-27/2, Okhla Industrial Area, Phase-II, New Delhi- 110020 Website: www.spml.co.in, email-id : [email protected]
# The Company does not have any Exceptional and Extraordinary items to report in above periods
Varroc Engineering Limited
Registered Office: L-4, MIDC Area, Waluj, Aurangabad 431 136, Maharashtra CIN: L28920MH1988PLC047335 Tel : +91 240 6653 700/6653 699, Fax : +91 240 2564 540 Web : www.varroc.com; E-mail : [email protected]
Extract of Unaudited Consolidated Financial Results for the quarter ended June 30, 2021
| (Rs. in million) | ||||
|---|---|---|---|---|
| Sr. No. |
Particulars | For the quarter ended on June 30, 2021 For the quarter ended on June 30, 2020 | For the year ended on March 31, 2021 | |
| Unaudited | Unaudited | Audited | ||
| 1 Total Income from operations | 29,569.58 | 13,246.94 | 1,14,298.51 | |
| 2 Profit/(loss) before exceptional items and tax | (2,419.49) | (3,795.09) | (4,982.03) | |
| 3 Profit/ (loss) for the period before exceptional items | (2,292.79) | (3,085.88) | (5,208.65) | |
| 4 Profit/ (loss) for the period | (2,292.79) | (3,085.88) | (6,286.41) | |
| 5 Total Comprehensive Income/ (loss) for the period (Comprising Profit for the period - after tax and Other Comprehensive income - after tax) |
(1,831.27) | (2,971.61) | (6,590.19) | |
| 6 Paid-up equity share capital | 152.79 | 134.81 | 152.79 | |
| 7 Other equity as shown in the Audited Balance Sheet | 30,126.34 | |||
| 8 Basic and diluted Earning Per share (Face value of Re.1/- each) (not annualised) |
(15.07) | (22.83) | (46.75) |
Notes:
1 Information of Unaudited Standalone Financial Results of the Company is as under : (Rs. in million)
| Particulars | For the quarter ended on June 30, 2021 |
For the quarter ended on June 30, 2020 (Restated) |
For the year ended on March 31, 2021 |
|---|---|---|---|
| Unaudited | Unaudited | Audited | |
| Turnover | 6,754.99 | 2,962.28 | 26,731.93 |
| Net Profit/ (loss) for the period (before tax) | 66.93 | (71.38) | 1,371.51 |
| Net Profit/ (loss) for the period (after tax) | 51.32 | (45.35) | 921.62 |
2 The above Unaudited Standalone and Consolidated financial information of the Company for the quarter ended June 30, 2021 have been reviewed by the Audit Committee and approved by the Board of Directors at their meeting held on August 12, 2021.
3 The above is an extract of the detailed format of Unaudited Standalone and Consolidated Financial Resultsfor the quarter ended June 30, 2021, filed with the Stock Exchange under Regulation 33 of the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015, as amended. The full format of Standalone and Consolidated Audited Financial Results are available on the stock exchange websites, i.e www.nseindia.com and www.bseindia.com and on the company's website i.e. www.varroc.com
Place : Pune Date : August 12, 2021
| For and on behalf of |
|---|
| Varroc Engineering Limited |
| sd/- |
| Tarang Jain |
| Chairman and Managing Director |
| DIN : 00027505 |
| (10.011100110, 0.0000110) | |||||
|---|---|---|---|---|---|
| Consolidated | |||||
| SI. | Particulars | Quarter ended | Year ended | ||
| Nol | June 30, 2021 | March 31, 2021 | June 30, 2020 | March 31, 2021 (audited) |
|
| (unaudited) | (audited) | (unaudited) | |||
| Total Income from Operations | 8,216.44 | 9,580.97 | 6,267.14 | 35,754.76 | |
| $\overline{2}$ | Net Profit/ (Loss) for the period (before tax and exceptional items) |
(402.52) | (23.09) | (1,078.12) | 200.29 |
| 3 | Net Profit/ (Loss) for the period (before tax and after | ||||
| exceptional items) | (402.52) | (80.15) | (1,027.36) | 318.08 | |
| $\overline{4}$ | Net Profit/ (Loss) for the period (after tax and after exceptional items) |
(85.93) | (1,061.90) | 107.92 | |
| 5 | Total Comprehensive Income for the period [Comprising | (434.08) | |||
| Profit / (Loss) for the period (after tax) and Other | |||||
| 6 | Comprehensive Income (after tax)] | (433.02) 500.50 |
(103.67) 500.50 |
(1,054.60) 500.50 |
112.14 500.50 |
| $\overline{7}$ | Paid up equity share capital (face value of Re.1/- each) Reserves (excluding Revaluation Reserve) as shown in |
||||
| the Audited Balance Sheet of the previous year | N.A. | N.A. | N.A. | 17,822.75 | |
| 8 | Earnings Per Share (of Rs.1/- each) (for continuing and discontinued operations) |
||||
| a. Basic (in Rs.) | (0.87) | (0.17) | (2.12) | 0.22 | |
| b. Diluted (in Rs.) | (0.87) | (0.17) | (2.12) | 0.22 | |
| Key numbers of standalone financial results: | (Rs.in lakhs) | ||||
| Standalone | |||||
| SI. | Particulars | Quarter ended | Year ended | ||
| No. | June 30, 2021 | March 31, 2021 | June 30, 2020 | March 31, 2021 (audited) |
|
| 1 | Total Income from Operations | (unaudited) 3.436.04 |
(audited) 4.766.61 |
(unaudited) 2,680.46 |
16.946.49 |
| $\overline{2}$ | Net Profit/ (Loss) for the period before tax | 270.13 | (281.71) | 21.54 | 1,187.98 |
| 3 | Net Profit/ (Loss) for the period after tax | 238.03 | (290.60) | (5.65) | 1,003.69 |
| 4 | Total Comprehensive Income for the period [Comprising | ||||
| Profit / (Loss) for the period (after tax) and Other Comprehensive Income (after tax)] |
239.09 | (308.34) | 1.65 | 1,007.91 | |
| Coimbatore 12.08.2021 |
By Order of the Boar Sudarsan Varadara Chairman and Managing Directo DIN: 0013353 |
|---|---|
| -------------------------- | -------------------------------------------------------------------------------------------- |
| For the Quarter ended | Year to date figures for the current |
Corresponding 3 months ended in |
||
|---|---|---|---|---|
| Sr. | Particulars | period ended | the previous year | |
| No. | 30th June 2021 | 30th June 2021 | 30th June 2020 | |
| (Unaudited) | (Unaudited) | (Unaudited) | ||
| 1 Total Income from Operations | 5614.14 | 5614.14 | 2185.96 | |
| 2 | Net Profit / (Loss) for the period (before Tax, Exceptional and / or Extraordinary items#) |
353.12 | 353.12 | 26.35 |
| 3 | Net Profit / (Loss) for the period before tax (after Exceptional and / or Extraordinary items#)) |
353.12 | 353.12 | 26.35 |
| 4 | Net Profit / (Loss) for the period after tax (after Exceptional and / or Extraordinary items#) |
272.24 | 272.24 | 19.85 |
| 5 | Total Comprehensive Income for the period [Comprising Profit / (Loss) for the period (after tax) and Other Comprehensive Income (after tax)] |
272.40 | 272.40 | 19.88 |
| 6 Equity Share Capital | 473 | 473 | 473 | |
| 7 | Reserves (excluding Revaluation Reserve) as shown in the Audited Balance Sheet of the previous year |
NA | ||
| 8 | Earnings Per Share (of ` 2- each) (for continuing and discontinued operations) |
|||
| Basic: | 1.15 | 1.15 | 0.08 | |
| Diluted: | 1.15 | 1.15 | 0.08 |
Notes: 1. These financials have been prepared in accordance with the recognition and measurement principles laid down in IND AS 34 Interim Financial Reporting prescribed under Section 133 of the Companies Act, 2013 read with relevant rules issued thereunder.
Extract of Un-audited Financial Results for the Quarter ended 30th June 2021 ` in Lakhs (except earnings per share) Year to date figures GEE LIMITED CIN : L99999MH1960PLC011879 Regd. Office: Plot No. E-1, Road No. 7, Wagle Ind. Estate, Thane-400 604 Email : [email protected] Web : www.geelimited.com Tel. No. : (02522) 280358, Fax No. : (02522) 281199
-
- Considered and Recommended issuance of fully paid up Bonus Shares in the ratio of 1:10 i.e 1(One) Equity Shares for every 10 (Ten) fully paid up Equity shares each. Subject to approval of shareholders of the Company .The Company will inform in due course the "Record Date" for determining shareholders entitled to receive bonus shares.
-
- Results for the quarter ended 30th June 2021 are in compliance with Indian Accounting Standards (Ind-AS) notified by the Ministry of Corporate of Affairs
-
- In term of IND AS 108, the Company is having single reportable segment i.e "manufacturing of welding consumables, copper coated wires, flux cored wires and welding fluxes".
-
- The outbreak of COVID-19 pandemic and the resulting lockdown enforced during financial year 2020- 2021 and part of financial year 2021-22 has affected the Company's regular operations. Accordingly, the Company has considered the possible effects that may result from the pandemic on the carrying amounts of Property, Plant and Equipment, Investments, Inventories, Receivables and other current assets. In developing the assumptions relating to the possible future uncertainties in the global economic conditions because of this pandemic, the Company, as at the date of approval of these financial results has used internal and external information which are relevant in determining the expected future performance of the Company. The Company has evaluated its liquidity position, recoverability of such assets and based on current estimates expects the carrying amount of these assets will be recovered. The impact of COVID-19 on the Company's financial results may differ from that estimated as at the date of approval of these financial results.
-
- Previous year's/period's figures have been regrouped or reclassified wherever necessary
-
- The results would be uploaded and available for viewing on the Company's website www.geelimited.com and on the website of BSE Limited.
| For GEE Limited | |
|---|---|
| sd/- | |
| Date : 12th August, 2021 | Payal Agarwal |
| Place : Thane | Whole-Time Director & CFO |
| Rameshwar Media |
| RISHI LASER LIMITED CIN : L99999MH1992PLC066412 612, V. K. Industrial Estate, 10-14 Pais Street, Byculla (W), Mumbai 400 011. Tel. No. : (022) 23075677 / 23074585, Fax No. (022) 23080022 E-mail : [email protected], Website : www.rishilaser.com STATEMENT OF UNAUDITED FINANCIAL RESULTS FOR THE QUARTER ENDED 30TH JUNE 2021 |
(` In Lakhs) | |||||||
|---|---|---|---|---|---|---|---|---|
| Consolidated | Standalone | |||||||
| Quarter Ended | Year Ended | Quarter Ended | Year Ended | |||||
| 30-06-2021 30-06-2020 31-03-2021 31-03-2021 | Particulars | 30-06-2021 30-06-2020 31-03-2021 31-03-2021 | ||||||
| Unaudited Unaudited | Audited | Audited | Unaudited | Unaudited | Audited | Audited | ||
| 1805.16 | 828.27 | 2877.76 | 7583.85 Total income from operations | 1800.49 | 827.59 | 2868.73 | 7563.31 | |
| -124.69 | -235.72 | 108.03 | -317.32 Profit / (Loss) before Exceptional Items | -125.03 | -231.79 | 99.63 | -317.88 | |
| -124.69 | -235.72 | 219.95 | -205.40 Profit / (Loss) after Exceptional Items but before Tax | -125.03 | -231.79 | 211.55 | -205.96 | |
| -121.27 | -246.39 | 224.21 | -220.96 Profit / (loss) for the period | -121.56 | -242.41 | 215.95 | -221.23 | |
| -119.90 | -242.89 | 277.22 | -164.39 Total Comprehensive Income for the period | -120.19 | -238.91 | 268.96 | -164.66 | |
| 919.26 | 919.26 | 919.26 | 919.26 Paid up equity share capital (Face Value of ` 10/- each) |
919.26 | 919.26 | 919.26 | 919.26 | |
| 77.44 Other Equity excluding Revaluation Reserve | 93.09 | |||||||
| Earnings per equity share (Face Value of ` 10 each): | ||||||||
| -1.32 | -2.68 | 2.44 | -2.40 Basic: | -1.32 | -2.64 | 2.35 | -2.41 | |
| -1.32 | -2.68 | 2.44 | -2.40 Diluted: | -1.32 | -2.64 | 2.35 | -2.41 | |
| Notes: 1. The above is an extract of the detailed format of Un-audited Financial Results filed with the Stock Exchange under Regulation 33 of the SEBI (Listing |
Obligations and Disclosure Requirements) Regulations, 2015. 2. Rishi Laser is engaged in the sole segment of precision metal fabrication.
- The above Unaudited Financial Results have been reviewd by the Audit Committee and taken on record by the Board of Directors at their meeting held
| on 12th August, 2021. | |
|---|---|
| 4. The statement have been prepared in accordance with the Companies (Indian Accounting Standards) Rules, 2015 (Ind AS) prescribed under Section | |
| 133 of the Companies Act, 2013 and other recognised accounting practices and policies to the extent applicable. | |
| 5. The consolidated financial results include the financial statement of one subsidiary viz. Rishi Vocational Education Pvt. Ltd. | |
| 6. The previous period's figures have been regrouped / rearranged / reclassified wherever necessary. | |
| 7. The full format of the Financial Results are available on the Stock Exchange website and on www.rishilaser.com For | |
| RISHI LASER LTD. | |
| sd/- | |
| Harshad Patel | |
| Place : Mumbai | Managing Director |
| Date : 12.08.2021 | DIN: 00164228 |

Rameshwar Media
| NEW ERA ALKALOIDS |
|
|---|---|
| AND EXPORTS LTD. |
|
| CIN: L24100CT1994PLC008842 |
|
| Regd. Office: 501, Wallfort Ozone |
|
| Fafadih Raipur CT 492001 Id: [email protected] |
|
| Website: http://www.neweraltd.com/ |
|
| NOTICE | |
| The Public notice is hereby given that |
|
| pursuant to Regulation 5 and 6 of the SEBI |
|
| (Delisting of Equity shares) Regulations, |
|
| 2021 and other applicable regulations, if |
|
| any, the | |
| Company | |
| 12th | |
Board of Directors of the Company at its meeting held on Thursday, 12th August, 2021 approved, inter alia, a proposal for voluntary delisting of the Company's Equity Shares from The Calcutta Stock Exchange Limited ("CSE").Reason of Delisting: To save recurring expenditure on listing fees payable to The Calcutta Stock Exchange
Limited ("CSE"), and to mainly reducesavinghas
the administrative work and thus the related cost and further there been no trading of the Equity Shares of the Company at the Calcutta Stock Exchange Limited. Under Regulation 5 and Regulation 6 of the SEBI (Delisting of Equity Shares) Regulations, 2021, the Equity shares of the Company can be delisted from the Calcutta Stock Exchange Limited without giving any exit opportunity to the equity shareholders as the Equity Shares of the Company will continue to be listed on Metropolitan Stock Exchange of India Limited which is having nationwide trading terminals. There would be no change in the capital structure of the Company after the delistingCSE.
of the Equity shares from the The delisting of Equity shares from the CSE will not adversely affect the investors.For New Era Alkaloids and Exports Ltd. Sd/-MonikaCompanyDate:Place:Raipur
Jain Secretary & Compliance12th August, 2021
Officer
| S. No. |
Particulars | For the Quarter ended | For the Year ended |
|||
|---|---|---|---|---|---|---|
| 30.06.2021 31.03.2021 | 30.06.2020 | 31.03.2021 | ||||
| (Unaudited) (Audited) | (Unaudited) | (Audited) | ||||
| 1. Total Revenue from operations | 1,974.30 | 2,940.33 | 818.16 | 8,720.35 | ||
| 2. Profit before share of profit / (loss) of Joint venture and tax |
366.92 | 619.59 | 14.73 | 1,767.26 | ||
| 3. Share of profit / (loss) of Joint venture (VE Commercial Vehicles Limited) |
(39.40) | 69.00 | (65.40) | 31.13 | ||
| 4. Tax expense | 90.39 | 162.45 | 4.51 | 451.50 | ||
| 5. Net Profit / (loss) after tax and share of profit / (loss) of Joint venture |
237.13 | 526.14 | (55.18) | 1,346.89 | ||
| 6. Total Comprehensive income / (expense) | 231.25 | 536.98 | (52.18) | 1,381.24 | ||
| 7. Equity Share Capital | 27.34 | 27.33 | 27.30 | 27.33 | ||
| 8. Other equity | 11,410.75 | |||||
| 9. Earnings Per Share on net profit / (loss) after tax (of 1 each) (not annualised) in (Refer note 2) |
||||||
| (a) Basic | 8.67 | 19.25 | (2.02) | 49.30 | ||
| (b) Diluted | 8.66 | 19.21 | (2.02) | 49.24 | ||
| Key numbers of Standalone Financial Results: | ||||||
| Particulars | For the Quarter ended | For the Year ended |
||||
| 30.06.2021 31.03.2021 | 30.06.2020 | 31.03.2021 | ||
|---|---|---|---|---|
| (Unaudited) (Audited) | (Unaudited) | (Audited) | ||
| Total revenue from operations | 1,907.80 | 2,922.44 | 769.21 | 8,619.04 |
| Profit before tax | 356.08 | 630.74 | 16.34 | 1,783.31 |
| Tax expense | 88.87 | 162.66 | 4.04 | 453.61 |
| Net Profit after tax | 267.21 | 468.08 | 12.30 | 1,329.70 |
| Total Comprehensive Income | 273.16 | 471.54 | 12.56 | 1,353.75 |
Notes :
| number of equity shares in accordance with Ind AS 33 – Earnings per Share. | |
|---|---|
| 3. The Group has considered the possible effects that may result from the global health pandemic relating to COVID-19 on its | |
| operations. Management believes that it has taken into account external and internal information for assessing the | |
| possible impact of COVID-19 on various elements of its financial results, including its liquidity position and the | |
| recoverability of assets. However, the impact assessment of COVID-19 is a continuing process, given the uncertainties | |
| associated with its nature and duration. The Group will continue to monitor any material changes to future economic | |
| conditions and the consequent impact on its business, if any. | |
| For and on behalf of the Board | |
| Sd/- | |
| Siddhartha Lal | |
| Date : August 12, 2021 Managing Director |
|
| Rail Vikas Nigam Limited गुणवत्ता, गति एवं पारदर्शिता (A Government of India Enterprise) |
रेल विकास निगम लिमिटेड | 30 जून, 2021 को समाप्त तिमाही हेतु (एकल एवं समेकित) अलेखापरीक्षित वित्तीय परिणामों का संक्षिप्त विवरण | रेल विकास निगम लिमिटेड (भारत सरकार का उपक्रम) |
पंजीकृत कार्यालयः प्रथमं तल, अगस्त क्रांति भवन, भीकाजी कामा प्लेस, आर. के. पुरम, नई दिल्ली, दक्षिण दिल्ली – 110066 ईमेल: [email protected], वेबसाइट : www.rvnl.org सीआईएन: L74999DL2003GOI118633, |
(रू. करोड. में ईपीएस को छोड़कर) | |||||
|---|---|---|---|---|---|---|---|---|---|---|
| एकल | समेकित | |||||||||
| क्र. | समाप्त तिमाही | समाप्त वर्ष | समाप्त तिमाही | समाप्त वर्ष | ||||||
| सं. | विवरण | 30.06.2021 (अलेखापरीक्षित) |
31.03.2021 (अलेखापरीक्षित) |
30.06.2020 (अलेखापरीक्षित) |
31.03.2021 (लेखापरीक्षित) |
30.06.2021 (अलेखापरीक्षित) |
31.03.2021 (अलेखापरीक्षित) |
30.06.2020 (अलेखापरीक्षित) |
31.03.2021 (लेखापरीक्षित) |
|
| पकी तरक्की | प्रचालनों से राजस्व | 3869.10 | 5577.88 | 2910.83 | 15403.65 | 3869.10 | 5577.92 | 2910.83 | 15403.76 | |
| $2$ अन्य आय | 62.64 | 72.34 | 55.95 | 326.75 | 62.70 | 67.36 | 55.97 | 309.32 | ||
| 3. कुल आय | 3931.74 | 5650.22 | 2966.78 | 15730.40 | 3931.80 | 5645.28 | 2966.80 | 15713.08 | ||
| 4. कर पूर्व लाभ (पीबीटी) | 279.43 | 413.28 | 181.69 | 1155.67 | 300.36 | 382.04 | 179.53 | 1137.55 | ||
| 5. कर पश्चात लाभ (पीएटी) | 211.36 | 343.87 | 143.15 | 940.54 | 232.26 | 312.63 | 140.99 | 922.41 | ||
| 6. अवधि / वर्ष हेतु कुल सम्मिलित आय / $(\overline{\text{g}}\,\overline{\text{h}})$ |
211.57 | 344.64 | 142.92 | 941.16 | 232.47 | 313.40 | 140.75 | 923.03 | ||
| to 57575 or | 7. इक्विटी शेयर पूंजी | 2085.02 | 2085.02 | 2085.02 | 2085.02 | 2085.02 | 2085.02 | 2085.02 | 2085.02 | |
| bsmail.in! | 8. संचेय (पुर्नमूल्यन संचेय छोड़कर) | 2880.56 | 3481.87 | |||||||
| 9. प्रति शेयर अर्जन (ईपीएस)* मूल (रु.) |
1.01 | 1.65 | 0.69 | 4.51 | 1.11 | 1.50 | 0.68 | 4.42 | ||
| ' तनुकृत (रु.) | 1.01 | 1.65 | 0.69 | 4.51 | 1.11 | 1.50 | 0.68 | 4.42 |

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The above is an extract of the detailed format of unaudited consolidated 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 unaudited Quarterly Financial Results (Consolidated and Standalone) are available on Company's website - www.eicher.in and also on the website of stock exchanges i.e NSE –www.nseindia.com and BSE – www.bseindia.com.
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Pursuant to the approval of the shareholders at the Annual General Meeting of the Company held on August 10, 2020, each equity share of face value of Rs. 10/- per share was sub-divided into ten equity shares of face value of Re. 1/- per share, with effect from the record date, i.e., August 25, 2020. Consequently, the basic and diluted earnings per share have been computed for all the periods presented in the Consolidated Financial Results of the Company on the basis of the new
| LVSaMvyksu | lesfdr | |||||||||
|---|---|---|---|---|---|---|---|---|---|---|
| lekIr frekgh lekIr okf"kZdh |
fooj.k | lekIr frekgh | lekIr okf"kZdh | |||||||
| 30.06.2021 31.03.2021 30.06.2020 31.03.2021 | 30.06.2021 31.03.2021 30.06.2020 | 31.03.2021 | ||||||||
| vys[kkijhf{kr vys[kkijhf{kr vys[kkijhf{kr ys[kkijhf{kr | vys[kkijhf{kr vys[kkijhf{kr vys[kkijhf{kr ys[kkijhf{kr | |||||||||
| 18,302.46 | 18,897.87 | 8,926.03 | 61,539.17 | 1. | izpkyuksa ls dqy vk; | 18,530.69 | 21,142.29 | 8,926.03 | 68,285.34 | |
| (783.13) | (2,081.80) | (2,465.16) | (639.14) | 2. | vof/k dk 'kq) ykHk ¼dj] vkiokfnd rFkk@vFkok vlk/kkj.k enksa ls iwoZ ½ # |
(704.55) | (2,067.55) | (2,687.37) | (1,108.48) | |
| (783.13) | (2,081.80) | (2,465.16) | (639.14) | 3. | vof/k dk dj iwoZ 'kq) ykHk ¼dj] vkiokfnd rFkk@ vFkok vlk/kkj.k enksa ds mijkUr ½ # |
(704.55) | (2,067.55) | (2,687.37) | (1,108.48) | |
| (251.08) | (3,523.03) | (3,105.22) | (10,717.42) | 4. | vof/k dk dj mijkUr 'kq) ykHk ¼vkiokfnd rFkk@ vFkok vlk/kkj.k enksa ds mijkUr ½ # |
(185.38) | (4,420.29) | (3,183.75) | (11,720.71) | |
| (220.36) | (4,080.78) (3,087.60) | (11,247.63) | 5. | vof/k dh dqy O;kid vk; | (154.66) | (4,957.05) | (3,166.13) | (12,229.93) | ||
| 819.45 | 819.45 | 819.45 | 819.45 | 6. | bfDoVh 'ks;j iw¡th | 819.45 | 819.45 | 819.45 | 819.45 | |
| 7. | vk; izfr va'k ¼:- 2 izR;sd dh½ :- esa | |||||||||
| (0.69) | (9.61) | (8.47) | (29.24) | ewy ,oa ?kVkdj | (0.51) | (12.06) | (8.69) | (31.98) |
- 30 twu] 2021 dks lekIr lekIr izFke frekgh ds fy, vys[kkijhf{kr LVSaMvyksu vkSj lesfdr foÙkh; ifj.kkeksa dks daiuh dh ys[kkijh{kk lfefr vkSj funs'kd eaMy }kjk 12 vxLr] 2021 dks vk;ksftr mudh lacaf/kr cSBdksa esa vuqeksfnr fd;k x;k FkkA
| एसपाएमएल इफ्रा लामटंड के लिंग | ||
|---|---|---|
mijksä 30 twu] 2021 dks lekIr izFke frekgh ds fy, vys[kkijhf{kr LVSaMvyksu vkSj lesfdr foÙkh; ifj.kkeksa ds foLr`r çk:i dk ,d fooj.k gS] tks lsch ¼lwphc)rk nkf;Ro vkSj çdVhdj.k vko';drk,¡½ fofu;e] 2015 ds fofu;e 33 ds rgr LV'd ,Dlpsatksa ds lkFk nk;j fd;k x;k gSA iw.kZ 30 twu] 2021 dks lekIr izFke frekgh ds fy, vys[kkijhf{kr LVSaMvyksu vkSj lesfdr foÙkh; ifj.kkeksa dk çk:i LV'd ,Dlpsat ¼vksa½ dh osclkbVksa vFkkZr ,u,lbZ dhwww.nseindia.com vkSj ch,lbZwww.bseindia.com vkSj daiuh dh osclkbV osclkbV ij miyC/k gSA www.spml.co.in
| LFkku% dksydkrk | ||
|---|---|---|
| fnukad% 12 vxLr] 2021 | ||
,lih,e,y baÝk fyfeVsM ds fy, gLrk-& lqHkk"k pan lsBh v/;{k MhvkbZ,u% 00464390
</dzéú]äõb<>| Ù§ü çÎËÜè 13 ¥»SÌ 2021 àæé·ý¤ßæÚU | 9 | ||||||||||||||||
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isij feYl ,aM baMLVªht |
fyfeVsM | ||||||||||||||
| CIN : L33301DL1988PLC033434 | lhvkbZ,u% L21012DL1972PLC279773 | ||||||||||||||||
| {ÉÆVÉÒEÞòiÉ EòɪÉÉDZɪÉ: <Ç-10, ±ÉÉä+®ú OÉÉ=Æb÷ }±ÉÉä®ú, ±ÉÉVÉ{ÉiÉ xÉMÉ®ú-III, xÉ<Ç Ênù±±ÉÒ-110024 | Bhb÷ BCºÉ{ÉÉä]ÂõºÉÇ Ê±ÉʨÉ]äõb÷ ÷ CIN: L24100CT1994PLC008842 iath—r dk;kZy;% 4830@24] izºykn LVªhV] valkjh jksM] nfj;k xat] ubZ fnYyh&110002 {ÉÆVÉÒEÞòiÉ EòɪÉÉDZɪÉ: 501, ´ÉÉì±É¡òÉä]Çõ +ÉäVÉÉäxÉ |
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| nÚù®ú¦ÉɹÉ: 91-120-4741300, <ǨÉä±É: [email protected], ´Éä¤ÉºÉÉ<]õ: www.timexindia.com | osclkbV% www.skpmil.com, bZ&esy% [email protected] Qksu ua-% 91&11&46263200 | ¼ ` yk[k esa ½ | |||||||||||||||
| 30 VÉÚxÉ, 2021 EòÉä ºÉ¨ÉÉ{iÉ ÊiɨÉɽþÒ Eäò ʱÉB +±ÉäJÉÉ {É®úÒÊIÉiÉ Ê´ÉkÉÒªÉ {ÉÊ®úhÉɨÉÉäÆ EòÉ ºÉÆÊIÉ{iÉ ¤ªÉÉè®úÉ | ¡òÉ¡òÉb÷Ò½þ ®úɪÉ{ÉÖ®ú UôkÉÒºÉMÉgø 492001 <ǨÉä±É +É<Çb÷Ò: [email protected] ´Éä¤ÉºÉÉ<]õ: http://www.neweraltd.com/ 30 twu] 2021 dks lekIr frekgh ds fy, vys[kkijhf{kr foŸkh; ifj.kkekas dk lkj |
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| (¯û{ɪÉä ±ÉÉJÉ ¨Éå) | 31-03-2021 | 30-06-2020 | |||||||||||||||
| Ê´É´É®hÉ | 30 VÉÚxÉ 2021 EòÉä ºÉ¨ÉÉ{iÉ ÊiɨÉɽþÒ (+±ÉäJÉÉ {É®úÒÊIÉiÉ) |
31 ¨ÉÉSÉÇ 2021 EòÉä ºÉ¨ÉÉ{iÉ ÊiɨÉɽþÒ (+±ÉäJÉÉ {É®úÒÊIÉiÉ) |
30 VÉÚxÉ 2020 EòÉä ºÉ¨ÉÉ{iÉ ÊiɨÉɽþÒ (+±ÉäJÉÉ {É®úÒÊIÉiÉ) |
31 ¨ÉÉSÉÇ, 2021 EòÉä ºÉ¨ÉÉ{iÉ ´É¹ÉÇ (±ÉäJÉÉ {É®úÒÊIÉiÉ) |
Ø fooj.k la |
30-06-2021 dks lekIr frekgh ¼vys[kkijhf{kr½ |
dks lekIr o'kZ ¼ys[kkijhf{kr½ |
dks lekIr frekgh ¼vys[kkijhf{kr½ |
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| {ÉÊ®úSÉɱÉxÉ ºÉä EÖò±É +ɪÉ | 3206 | 5090 | 681 | 14090 | izpkyuksa ls dqy vk; | ||||||||||||
| +´ÉÊvÉ Eäò ʱÉB ÊxÉ´É±É ±ÉɦÉ/(½þÉÊxÉ) (Eò®ú, Ê´Éʶɹ]õ | -528 | 388 | -1242 | -811 | vof/k ds fy, "kq) ykHk@¼gkfu½ | ||||||||||||
| iÉlÉÉ/+lÉ´ÉÉ +ºÉÉvÉÉ®úhÉ ¨Énù ºÉä {ɽþ±Éä) | ¼dj] fof"k'V vkSj@;k vlk/kkj.k enksa ls iwoZ½ | ||||||||||||||||
| Eò®ú {ÉÚ´ÉÇ +´ÉÊvÉ Eäò ʱÉB ÊxÉ´É±É ±ÉɦÉ/(½þÉÊxÉ) | -528 | 388 | -1242 | -811 | |||||||||||||
| (Ê´Éʶɹ]õ iÉlÉÉ/+lÉ´ÉÉ +ºÉÉvÉÉ®úhÉ ¨Énù Eäò ={É®úÉÆiÉ) | dj iwoZ vof/k ds fy, "kq) ykHk@¼gkfu½ | ||||||||||||||||
| Eò®úÉä{É®úÉÆiÉ +´ÉÊvÉ Eäò ʱÉB ÊxÉ´É±É ±ÉɦÉ/(½þÉÊxÉ) | -528 | 398 | -1242 | -801 | ¼fof"k'V vkSj@;k vlk/kkj.k enksa ds i"pkr½ | ||||||||||||
| (Ê´Éʶɹ]õ iÉlÉÉ/+lÉ´ÉÉ +ºÉÉvÉÉ®úhÉ ¨Énù Eäò ={É®úÉÆiÉ) | dj i"pkr vof/k ds fy, "kq) ykHk@¼gkfu½ | ||||||||||||||||
| +´ÉÊvÉ Eäò ʱÉB EÖò±É {ÉÊ®ú{ÉÚhÉÇ +ɪÉ | -538 | 396 | -1252 | -813 | ¼fof"k'V vkSj@;k vlk/kkj.k enksa ds i"pkr½ | ||||||||||||
| [+´ÉÊvÉ Eäò ʱÉB (Eò®úÉä{É®úÉÆiÉ) ±ÉɦÉ/(½þÉÊxÉ) iÉlÉÉ | vof/k ds fy, dqy lexz vk; [vof/k ds fy, ykHk@¼gkfu½ ¼dj i"pkr½ vkSj vU; | ||||||||||||||||
| +xªÉ ʴɺiÉÞiÉ +ÉªÉ (Eò®úÉä{É®úÉÆiÉ) ºÉΨ¨ÉʱÉiÉ] | lexz vk; ¼dj i"pkr½ "kkfey] | ||||||||||||||||
| <ÎC´É]õÒ ¶ÉäªÉ®ú {ÉÚÆVÉÒ | 1010 | 1010 | 1010 | 1010 | bfDoVh "ks;j iwath ¼vafdr ewY; #- 10@& izR;sd½ | ||||||||||||
| Ê{ÉUô±Éä ´É¹ÉÇ Eäò ±ÉäJÉÉ {É®úÒÊIÉiÉ iÉÖ±ÉxÉ {ÉjÉ ¨Éå =±±ÉäÊJÉiÉ | |||||||||||||||||
| +É®úÊIÉiÉ ÊxÉÊvÉ ({ÉÖxɨÉÚDZªÉÉÆEòxÉ +É®úÊIÉiÉ ÊxÉÊvÉ UôÉäc÷Eò®ú) | - | - | - | - | vkjf{kr fuf/k ¼iqueZwY;kadu vkjf{kr dks NksM+dj½ iwoZ o"kZ ds | ||||||||||||
| ÉÊiÉ ¶ÉäªÉ®ú ={ÉÉVÉÇxÉ (¯û. 1 ÉiªÉäEò) ¤ÉäʺÉEò B´ÉÆ b÷É <dzéú]äõb< td=""> | -0.74 | 0.18 | -1.44* | -1.64 | ys[kkijhf{kr rqyu&i= esa n"kkZ, vuqlkj | -0.74* | 0.18* | -1.44* | -1.64 | ys[kkijhf{kr rqyu&i= esa n"kkZ, vuqlkj | |||||||
| * ´ÉÉ̹ÉEò ±ÉäJÉÉ xɽþÓ | izfr bfDoVh "ks;j vtZu ¼vafdr ewY; #- 10@& izR;sd½ ¼okf'kZdh—r ugha½ | ||||||||||||||||
| Ê]õ{{ÉhÉÒ : | ¼d½ ewy ¼` esa½ | ||||||||||||||||
1. >ð{É®ú =±±ÉäÊJÉiÉ Ê´ÉkÉÒªÉ {ÉÊ®ú¨ÉÉhÉÉå EòÒ ±ÉäJÉÉ {É®úÒIÉEò EòʨÉ]õÒ uùÉ®úÉ ºÉ¨ÉÒIÉÉ EòÒ MÉ<Ç ½èþ iÉlÉÉ ÊxÉnäù¶ÉEò ¨ÉÆb÷±É uùÉ®úÉ 11 +MɺiÉ, 2021 EòÉä +ɪÉÉäÊVÉiÉ +{ÉxÉÒ ¤ÉèöEò ¨Éå <ºÉä<br>+ÆMÉÒEÞòiÉ ÊEòªÉÉ MɪÉÉ ½èþ* | | | | | ¼[k½ rjy ¼ esa½ |
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| 2. >ð{É®ú =±±ÉäÊJÉiÉ Ê´ÉkÉÒªÉ {ÉÊ®úhÉÉ¨É ºÉä¤ÉÒ (ºÉÚSÉÒEò®úhÉ ¤ÉÉvªÉiÉÉBÆ B´ÉÆ ÉEò]õxÉ +ɴɶªÉEòiÉÉBÆ) Ê´ÉÊxɪɨÉxÉ, 2015 Eäò Ê´ÉÊxɪɨÉxÉ 33 Eäò +vÉÒxÉ ¤ÉÒBºÉ<Ç Ê±ÉʨÉ]äõb÷ Eäò {ÉÉºÉ nùɪɮ 30 VÉÚxÉ, 2021 EòÉä ºÉ¨ÉÉ{iÉ ÊiɨÉɽþÒ Eäò Ê´ÉkÉÒªÉ {ÉÊ®úhÉɨÉÉå Eäò ʴɺiÉÞiÉ Éɰü{É EòÉ ÊxɹEò¹ÉÇ ½èþ 30 VÉÚxÉ, 2021 EòÉä ºÉ¨ÉÉ{iÉ ÊiɨÉɽþÒ Eäò Ê´ÉkÉÒªÉ {ÉÊ®úhÉɨÉÉå EòÉ ºÉ¨{ÉÚhÉÇ º´É°ü{É º]õÉìEò BCºÉSÉåVÉ EòÒ ´Éä¤ÉºÉÉ<] (www.bseindia.com) iÉlÉÉ EÆò{ÉxÉÒ EòÒ ´Éä¤ÉºÉÉ<]õ (www.timexindia.com) {É®ú ¦ÉÒ ={ɱɤvÉ ½èþ ºlÉÉxÉ: xÉÉäBb÷É |
ÊxÉnäù¶ÉEò ¨ÉÆb÷±É Eäò ʱÉB iÉlÉÉ =xÉEòÒ +Éä®ú ºÉä ]õÉ<¨ÉäCºÉ OÉÖ{É <ÆÊb÷ªÉÉ Ê±ÉʨÉ]äõb÷ ½þºiÉÉ/- ¶Ę́ɱÉÉ ºÉ½þɪÉ ɤɯvÉ ÊxÉnäù¶ÉEò b÷Ò+É<ÇBxÉ: 00893750 |
uksV % rS;kj fd, x, gSaA |
1- ;s ifj.kke daiuh vf/kfu;e] 2013 dh /kkjk 133 ds rgr fu/kkZfjr daiuh ¼Hkkjrh; ys[kkdj.k ekud½ fu;ekoyh] 2015 ¼baM ,,l½ ds vuqikyu esa 2- Åij lsch ¼lwphc+) nkf;Ro vkSj izdVu vko";drk,¡½ fofu;ekoyh] 2015 ds fofu;e 33 ds rgr LVkWd ,Dlpsatksa esa is"k fd, x;s 30 twu] 2021 dks lekIr frekgh ds fy, vys[kkijhf{kr foRrh; ifj.kkeksa ds foLr`r :i dk lkj gSA 30 twu] 2021 dks lekIr frekgh ds fy, vys[kkijhf{kr foRrh; ifj.kkeksa dk iw.kZ :i LVkWd ,Dlpsat dh osclkbV www.bseindia.com vkSj daiuh dh osclkbV www.skpmil.com ij miyC/k gSA |
funs"kd eaMy ds fy, ,oa mUgha dh vksj ls | Jh —'.kk isij feYl ,aM baMLVªht fyfeVsM | ||||||||||||
| iÉÉ®úÒJÉ: 11 +MɺiÉ, 2021 | gLrk-@& | ||||||||||||||||
| LFkku % ubZ fnYyh | ujsUnz dqekj ilkjh | ||||||||||||||||
| fnukad% 12 vxLr] 2021 | izca/k funs"kd MhvkbZ,u & 00101426 |
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| CIN : L34102DL1982PLC129877 | |||||||||||||||||
| Registered Office: 3rd Floor-Select Citywalk, A-3 District Centre, Saket, New Delhi - 110017 | Corporate Office: #96, Sector 32, Gurugram - 122 001, Haryana Telephone: +91 124-4415600 Email: [email protected] Website: www.eicher.in |
,lih,e,y baQk fyfeVsM z |
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| STATEMENT OF CONSOLIDATED UNAUDITED FINANCIAL RESULTS | FOR THE QUARTER ENDED JUNE 30, 2021 | lhvkbZ,u% L40106DL1981PLC012228 iath—r dk;kZy;% ,Q&27@2] vks[kyk vkS ksfxd {ks=] pj.k& II] ubZ fnYyh& 110020 osclkbV: www.spml.co.in] bZesy&vkbZMh: [email protected] |
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| (` in Crores) | |||||||||||||||||
| S. No. Particulars |
For the Quarter ended 30.06.2021 31.03.2021 |
30.06.2020 | For the Year ended 31.03.2021 |
30 twu] 2021 dks lekIr izFke frekgh ds fy, LVSaMvyksu vkSj lesfdr vuvadsf{kr foÙkh; ifj.kkeksa dk fooj.k | ¼#- yk[k esa½ | ||||||||||||
| (Unaudited) (Audited) | (Unaudited) | (Audited) | LVSaMvyksu | lesfdr | |||||||||||||
| 1. Total Revenue from operations | 1,974.30 2,940.33 |
818.16 | 8,720.35 | lekIr okf"kZdh | lekIr frekgh | lekIr okf"kZdh | |||||||||||