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Thacker & Co. Ltd. Report Publication Announcement 2026

May 28, 2026

62883_rns_2026-05-28_0edf3a8e-daef-42fa-acc1-b0904fe7378c.pdf

Report Publication Announcement

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THACKER
AND CO. LTD.

28th May, 2026

The Manager,
Corporate Relationship Department,
BSE Limited
Phiroze Jeejeebhoy Towers,
Dalal Street,
Mumbai – 400 001.

Ref: Scrip Code- 509945

Dear Sir/Ma’am,

Sub: Submission of Newspaper clips - Pursuant to the Provision of Regulation 47 of SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015.

Pursuant to Regulation 47 of SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015, we have enclosed the copies of the financial results of the Company for the Quarter and Year ended 31st March, 2026 published in “Free Press Journal” (English language) and “Navshakti” (Marathi language) for your information and record.

Thanking you,

Yours faithfully,
For, Thacker and Company Limited

Siddhi
Dilip Kul
Digitally signed
by Siddhi Dilip Kul
Date: 2026.03.28
11:51:29 +05'30'

Siddhi Kul
Company Secretary & Compliance Officer
ICSI Membership No.: A76672
Encl.: As above.

Regd. Off.: Bhogilal Hargovindas Building, Mezzanine Fl.18/20,K.Dubhash Marg, Mumbai-400001, India
Corporate Office: Jatia Chambers, 60 Dr. V.B.Gandhi Marg, Mumbai-400001, India
Tel: 91-22-43553333, Fax: +91-22-2265 8316
Web-Site: www.thacker.co.in, E-mail: [email protected]
CIN No.: L21098MH1878PLC000033
GST No.: 27AAACT3200A1Z7


www.freepressjournal.in

Mumbai, Thursday, May 28, 2020. THE FREE PRESSJOURNAL

19

NOTICE

The paper is organized as follows: Building houses as "Thaiya Manipur No.2, 3 & 4" (2, 3) like "Miraha, Mahalya of Minabai Chisari Bong of Bunsala Division at 5" West is being developed by Mrs. Navigati Swarjono, who accorded the Environmental Clearance from the State Level Environment and the Environment Authority (SEAA). Environment 3 is part of the 41 (2) of the Mahanashma on 2nd March, 2020.

The copies of clearance letter are available with the Ministry of Environment and Forest (MOEF) and they also be used at website at http://parinvest.nic.in

MAHARASHTRA MEDICAL GOODS PROCUREMENT AUTHORITY

(MMGPh)

Government of Maharashtra

EXPRESSION OF INTEREST (EOI)

FOR EMPANIELMENT OF LAW FIRMS

EOI Reference No. Date of Issue :

MMGPh12GAL/EOI2020.00/31 (00/00/2020)

Last Date for Submission : Date of Submission : 12/30/2020

Order were trm(gs) mshasetha.gov.in

Issued by : The Chief Executive Officer (MMGPh, Arogya

Miran, St. George's Hospital Compound,

Mumbai-406001

Website : www.rmngas.mshasathra.gov.in

Email : [email protected]

DIGPP 2020-277854

img-0.jpeg

ION EXCHANGE

Refreshing the Planet

Regd. Office: Ion Exchange Online, Linkled, Ion News, St. E. Mears Road,

Mahakam, Mumbai - 406 011 | www.ioneschangapital.com | CEE L7000MHRAPLD1456

EXTRACT OF FINANCIALIZED FINANCIAL RESULTS FOR THE

FINANCIAL AND YEAR ENDED 31ST MARCH, 2020

No. Particulars Operations
Exams/Index Year Ended
31.03.2020 (Aids and 1st 1st) 31.12.2020 (Exams/Index) 31.03.2020 (Aids and 2nd 1st) 31.03.2020 (Aids and 3rd 1st) 31.03.2020 (Aids and 4th 1st) 31.03.2020 (Aids and 5th 1st)
1 Revenue from operations 81,351 18,092 10,511 8,078 11,115 10,447
2 Real estate 80,635 18,092 10,532 8,173 11,115 10,447
3 Profit before exceptional item and tax 2,732 4,681 8,534 26,118 35,802 3,083
4 Free profit 2,725 5,215 8,535 18,685 25,802 3,083
5 Tax and other tax 1,807 3,166 10,484 1,528 21,147 2,442
6 Total comprehensive income 1,902 3,494 6,517 13,771 31,442 3,442
7 Total comprehensive profit 1,807 1,481 1,487 1,487 1,487 1,487
8 Other equity - - - 1,37,497 1,20,304 -
9 Earnings per equity share (CPE) (Refer rate 3) (not scheduled, except for the year ended) - - - - - -
10 In favor (IFS 2005) 1,532 1,057 3,232 11,257 17,447 17,447
11 In favor (IFS 2006) 1,532 1,057 3,153 11,157 17,447 17,447

EXTRACT OF CONSOLIDATED FINANCIAL RESULTS FOR THE

QUARTER AND YEAR ENDED 31ST MARCH 2020

No. Particulars CONSOLIDATED
Exams/Index Infor-Ex Year Ended
31.03.2020 (Aids and 1st 1st) 31.12.2020 (Exams/Index) 31.03.2020 (Aids and 2nd 1st) 31.03.2020 (Aids and 3rd 1st) 31.03.2020 (Aids and 4th 1st) 31.03.2020 (Aids and 5th 1st)
1 Revenue from operations 80,637 - 83,492 24,148 2,721 -
2 Real estate 80,635 14,086 44,646 3,08,141 4,79,573 3,08,141
3 Real estate exceptional item and tax 3,552 4,483 8,535 21,013 25,445 25,445
4 Free profit 3,551 2,788 8,534 16,581 33,542 33,542
5 Tax profit after tax 2,439 2,598 6,535 14,331 20,835 20,835
6 Total Comprehensive Income 2,681 2,439 6,416 14,043 20,803 20,803
7 Revenue pay by other capital 1,423 1,433 1,423 1,433 1,423 1,423
8 Other equity - - - 1,32,480 1,10,560 -
9 Earnings per equity share (CPE) (Refer rate 3) (not scheduled, except for the year ended) - - - - 29,208 29,303
10 In favor (IFS 2005) 1,538 1,538 3,244 11,034 17,530 17,530
11 In favor (IFS 2006) 1,538 1,112 3,244 12,034 17,530 17,530

Notes:
The above is an extract of the detailed format of Financial Results for the quarter and year ended on March 31, 2020 filed with the Stock Exchange under Regulation 33 of the SEEB (Listing Obligations and Disclosure Requirements) Regulations, 2015). The full format of the Financial Results is available on the Stock Exchange website www.taxindia.com and on the Company's website www.bayar.in under investor relation section. The same can be accessed by scanning the QR code.

Place: Mumbai

Date: May 28, 2020

BAYER CROPSCHENCE LIMITED

(Registered Office: Bayer House, Central Avenue, Hiranandani Estate, Thane 400607. CIN: L24210MH1556PL0311173)

EXTRACT OF FINANCIAL RESULTS FOR THE QUARTER AND YEAR ENDED MARCH 31, 2020

PARTICULARS Quarter Ended Year Ended
31.03.2020 31.12.2020 31.03.2020 31.03.2020 31.03.2020
UNAUDITED UNAUDITED UNAUDITED AUDITED AUDITED
Total Income from Operations 11,008 11,062 10,464 56,750 54,734
Net Profit for the period/ year before Tax 2,064 1,130 1,679 8,549 7,074
Net Profit for the period/ year after Tax 1,621 957 1,433 6,892 5,685
Total Comprehensive Income for the period/ year 1,539 928 1,391 6,771 6,628
Equity Share Capital 449 449 449 449 449
Reserves (excluding Revaluation Reserve as per Balance Sheet) - - - 29,208 29,303
Earnings Per Share (of P10- each) basis and diluted (First annualised) (in P) 36.07* 21.29* 31.88* 153.35 126.38

Note:
The above is an extract of the detailed format of Financial Results for the quarter and year ended on March 31, 2020 filed with the Stock Exchange under Regulation 33 of the SEEB (Listing Obligations and Disclosure Requirements) Regulations, 2015. The full format of the Financial Results is available on the Stock Exchange website www.taxindia.com and on the Company's website www.bayar.in under investor relation section. The same can be accessed by scanning the QR code.

Place: Mumbai

Date: May 28, 2020

THACKER AND COMPANY LIMITED

(Regd. Office: Brighal Hargondas Bubling, Macarone Pass 1633, 5, Dusak Hing, Neshai 460 001

Tel No.: 01-22-4355333 E-Mail: [email protected] Website: www.thacker.co.in

STATEMENT OF CONSOLIDATED AUDITED FINANCIAL RESULTS

FOR THE QUARTER AND YEAR ENDED 31ST MARCH, 2020

No. Particulars Quarter ended Year Ended
31.03.2020 31.12.2020 31.03.2020 31.03.2020 31.03.2020
(AUDITED) (UNAUDITED) (UNAUDITED) (AUDITED) AUDITED
1 Total Income from operations 11,008 11,062 10,464 56,750 54,734
2 Net Profit/(Loss) for the period before tax 2,064 1,130 1,679 8,549 7,074
3 Net Profit/(Loss) for the period after Tax 1,621 957 1,433 6,892 5,685
4 Net Profit/(Loss) for the period after Tax 1,621 957 1,433 6,892 5,685
5 Share of profit / (loss) of associates 374.89 324.48 445.64 3411.85 2,735.55
6 Other comprehensive income for the period (137.48) (563.39) (1,943.05) (764.28) 805.46
7 Total Comprehensive Income for the period (Comprising Profit for the period/ after tax), Share of profit / (loss) of associates and Other Comprehensive Income (after tax)) (299.48) (175.85) (1,368.49) 1,148.14 2,895.55
8 Equity Share Capital 10.88 10.88 10.88 10.88 10.88
9 Reserves (excluding Revaluation Reserve as shown in the Audited Balance Sheet of previous year) - - - 16,419.75 10,266.61
10 Driving per Equity share: (Basic and Diluted (F) 40.20 35.63 52.99 578.78 162.38

Notes:
1. The above financial results were reviewed and recommended by the Audit Committee and taken on record by the Board of Directors held on 27th May 2020.
2. The Limited Review under Regulation 33 of the SEEB (Listing Obligations and Disclosure Requirements) Regulation, 2015 has been carried out by the Statutory Auditorium.
3. The Stock Exchange (Other) and Stock Exchange (Auditorium) (Auditorium) (Auditorium) (Auditorium) (Auditorium) (Auditorium) (Auditorium) (Auditorium) (Auditorium) (Auditorium) (Auditorium) (Auditorium) (Auditorium) (Auditorium) (Auditorium) (Auditorium) (Auditorium) (Aud

No. Particulars Quarter ended Year Ended
31.03.2020 31.12.2020 31.03.2020 31.03.2020 31.03.2020
(AUDITED) (UNAUDITED) (UNAUDITED) (AUDITED) (AUDITED)
1 Total Income from operations 100.44 125.47 109.58 975.56 832.38
2 Net Profit/(Loss) for the period before tax 75.91 75.20 100.29 388.61 431.73
3 Net Profit/(Loss) for the period after tax 60.81 62.88 127.97 307.27 353.32
4 Other comprehensive income (298.33) (226.31) (446.61) (241.46) 346.82
5 Total other comprehensive income (comprising other comprehensive income and net profit after tax) 254.42 (183.42) (308.84) (16.96) 702.14

Place: Mumbai

Date: 27th May 2020

(Tin labels, unless otherwise stated)

AUDITED

Audits Development Limited

Corporate Intensity Number: 1.43200MH1566PL0308813

Anhade House, Cap. Bhoomi Ankade, Near Chishan R. Academy, A. S. Wang, Ashok Nagar, Karsheah (C), Mumbai, Maharashtra, India, 406101.

(Regulation 47 (1) (2) of the SEEB (LODIS) Regulation, 2020)

Extract of Auditor Financial Results for the Quarter and year ended March, 31, 2020

(Rs in Liatre except 070)

No. Particulars Examiner Consolidated
Quarter Ended Quarter Ended Quarter Ended Year Ended
March 31, 2020 Feb. 31, 2020 March 31, 2020 March 31, 2020 March 31, 2020 March 31, 2020 March 31, 2020 March 31, 2020
1 Real Estate 244,000 244,000 244,000 244,000 244,000 244,000 244,000 244,000
2 Real Estate 1,544,000 1,544,000 1,544,000 1,544,000 1,544,000 1,544,000 1,544,000 1,544,000
3 Compliance/ Items 18,317.54 - 18,317.55 - 18,317.55 - 18,317.55 -
4 Profit After Tax (18,304.81) (1,098.86) 3,308.25 (533.96) (13,663.24) (15,699.01) 4,509.28 3,308.25
5 Total Comprehensive Income for the period (year) (comprising profit for the period/year after tax and other comprehensive income after tax) (8.82) 6.08 (3.72) 0.09 0.53 (6.62) 6.90 (3.72)
6 Paid-up Capital (per value of Rs. 10/- each fully paid) 15,368.30 15,368.30 15,368.30 15,368.30 15,368.30 15,368.30 15,368.30 15,368.30
10 Other Equity - - 83,543.85 35,003.56 - - 83,543.85 35,003.56

PUBLIC NOTICE

No.112.00 18/08/2011 peter has Reported "Email: aleashok harjay aq (General Office of the Government of the Republic of India) for the financial and non-financial services of the Government of the Republic of India" and the report was published. The report was published in the 19th of December 2011. The report was published in the 2011, 2012, and 2013. The report was published in the 2014, 2015, and 2016. The report was published in the 2017, 2018, and 2019. The report was published in the 2020, 2021, and 2022. The report was published in the 2023, 2024. The report was published in the 2025, 2026. The report was published in the 2027, 2028. The report was published in the 2029, 2030. The report was published in the 2031, 2032. The report was published in the 2033, 2034. The report was published in the 2035, 2036. The report was published in the 2037, 2038. The report was published in the 2039, 2040.

Date: 28th May 2020

For RRs Admission & Solicitation

Reg. District: West Piraj

Address: 1000064, 1000064, 1000064, 1000064, 1000064, 1000064, 1000064

No. Particulars Examiner Examiner
Quarter Ended Quarter Ended Quarter Ended Quarter Ended
1 Mandhuri 31.03.2020 31.12.2020 31.12.2020 31.12.2020
2 Total Income 244,000 244,000 244,000 244,000
3 Profit Before Tax 1,544,000 1,544,000 1,544,000 1,544,000
4 Fixed-Payments for the period before tax 1,621 1,621 1,621 1,621
5 Total Fixed Payments for the period after tax 1,621 1,621 1,621 1,621

ARKADE

Akhade Devalrapam Limited

Corporate Intensity Number: 1.43200MH1566PL0308813

Akhade House, Cap. Bhoomi Ankade, Near Chishan R. Academy, A. S. Wang, Ashok Nagar, Karsheah (C), Mumbai, Maharashtra, India, 406101.

(Regulation 47 (1) (2) of the SEEB (LODIS) Regulation, 2020)

Extract of Auditor Financial Results for the Quarter and year ended March, 31, 2020

(Rs in Liatre except 070)

No. Particulars Examiner Consolidated
Quarter Ended Quarter Ended Quarter Ended Year Ended
March 31, 2020 Feb. 31, 2020 March 31, 2020 March 31, 2020 March 31, 2020 March 31, 2020 March 31, 2020 March 31, 2020
1 Real Estate 244,000 244,000 244,000 244,000 244,000 244,000 244,000 244,000
2 Profit Before Tax 1,544,000 1,544,000 1,544,000 1,544,000 1,544,000 1,544,000 1,544,000 1,544,000
3 Compliance/ Items 18,317.54 - 18,317.55 - 18,317.55 - 18,317.55 -
4 Profit After Tax (18,304.81) (1,098.86) 3,308.25 (533.96) (13,663.24) (15,699.01) 4,509.28 3,308.25
5 Total Comprehensive Income for the period/year (comprising profit for the period/year after tax and other comprehensive income after tax) (8.82) 6.08 (3.72) 0.09 0.53 (6.62) 6.90 (3.72)
6 Paid-up Capital (per value of Rs. 10/- each fully paid) 15,368.30 15,368.30 15,368.30 15,368.30 15,368.30 15,368.30 15,368.30 15,368.30
10 Other Equity - - 83,543.85 35,003.56 - - 83,543.85 35,003.56
100 Earning per share (per value of Rs. 10/- each) (8.82) 6.08 (3.72) 0.09 0.53 (6.62) 6.90 (3.72)

CHE TRUCKER AND TAX RELATING

The above financial results are reported in the 2020, 2021, 2022, 2023, 2024, 2025, 2026, 2027, 2028, 2029.


एम.ए., गुम्बारा, २८ से २०२६

नई दिल्ली

प्राकृतिक कव्वा सूचना

Pictit Bank : एक बाजारिक, अटॉपिक्सीसिव बैंक, जो कि अटॉपिक्सीसिव बैंक, अटॉपिक्सीसिव बैंक, अटॉपिक्सीसिव बैंक, अटॉपिक्सीसिव बैंक, अटॉपिक्सीसिव बैंक, अटॉपिक्सीसिव बैंक, अटॉपिक्सीसिव बैंक, अटॉपिक्सीसिव बैंक, अटॉपिक्सीसिव बैंक, अटॉपिक्सीसिव बैंक, अटॉपिक्सीसिव बैंक, अटॉपिक्सीसिव बैंक, अटॉपिक्सीसिव बैंक, अटॉपिक्सीसिव बैंक, अटॉपिक्सीसिव बैंक, अटॉपिक्सीसिव बैंक, अटॉपिक्सीसिव

क्र कव्वारा का नाम क्र. संक्षिप्त क्र. संक्षिप्त
प्रकाशन
अन्य
क्र अन्य अन्य अन्य
1 प्रकाशन प्रकाशन प्रकाशन
2 प्रकाशन प्रकाशन प्रकाशन
3 प्रकाशन प्रकाशन प्रकाशन
4 प्रकाशन प्रकाशन प्रकाशन

ट्रिप

कौशल्य से संबंधित

**सामान्य

  1. प्रकाशन का नाम, प्रकाशन का नाम, प्रकाशन का नाम, प्रकाशन का नाम, प्रकाशन का नाम, प्रकाशन का नाम, प्रकाशन का नाम, प्रकाशन का नाम, प्रकाशन का नाम, प्रकाशन का नाम, प्रकाशन का नाम, प्रकाशन का नाम, प्रकाशन का नाम, प्रकाशन का नाम, प्रकाशन का नाम, प्रकाशन का नाम, प्रकाशन का नाम, प्रकाशन का नाम, प्रकाशन का नाम, प्रकाशन का नाम, प्रकाशन का नाम, प्रकाशन का नाम, प्रकाशन का नाम, प्रकाशन का नाम, प्रकाशन का नाम, प्रकाशन का नाम, प्रकाशन का नाम, प्रकाशन का नाम, प्रकाशन

  2. प्रकाशन का नाम, प्रकाशन का नाम, प्रकाशन का नाम, प्रकाशन का नाम, प्रकाशन का नाम, प्रकाशन का नाम, प्रकाशन का नाम, प्रकाशन का नाम, प्रकाशन का नाम, प्रकाशन का नाम, प्रकाशन का नाम, प्रकाशन का नाम, प्रकाशन

  3. प्रकाशन का नाम, प्रकाशन का नाम, प्रकाशन का नाम, प्रकाशन का नाम, प्रकाशन का नाम, प्रकाशन का नाम, प्रकाशन का नाम, प्रकाशन का नाम, प्रकाशन का नाम, प्रकाशन

  4. प्रकाशन का नाम, प्रकाशन का नाम, प्रकाशन का नाम, प्रकाशन का नाम, प्रकाशन का नाम, प्रकाशन

  5. प्रकाशन का नाम, प्रकाशन का नाम, प्रकाशन का नाम, प्रकाशन का नाम, प्रकाशन का नाम, प्रकाशन

  6. प्रकाशन का नाम, प्रकाशन का नाम, प्रकाशन का नाम, प्रकाशन

CITI CORP FINANCE (INDIA) LIMITED

CITI

Raga Villas all 1, 400,000,000,000
Raga Villas 1, 4,000,000,000,000
Raga Villas 1, 4,000,000,000,000

Raga Villas 1, 4,000,000,000,000

Raga Villas 1, 4,000,000,000,000

Raga Villas 1, 4,000,000,000,000

Raga Villas 1, 4,000,000,000,000

Raga Villas 1, 4,000,000,000,000

Raga Villas 1, 4,000,000,000

Raga Villas 1, 4,000,000,000

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