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Tilaknagar Industries Ltd Interim / Quarterly Report 2022

Feb 10, 2022

60357_rns_2022-02-10_7df7748c-7fc0-4fd8-91cf-a52982067aab.pdf

Interim / Quarterly Report

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February 10, 2022

To, BSE Limited Phiroze Jeejeebhoy Towers, Dalai Street, Mumbai 400001 Scrip Code : 507205

To, National Stock Exchange of India Limited Exchange Plaza, C-1, Block-G, Bandra-Kurla Complex, Bandra (East), Mumbai-400 051. Symbol : TI

Sub: Intimation of publication of the extract of consolidated un-audited financial results for the quarter and nine months ended December 31, 2021

Dear Sir/Madam,

We are submitting herewith copy of Newspaper cuttings with respect to the extract of consolidated un-audited financial results for the quarter and nine months ended December 31, 2021 published today, i.e. Thursday, February 10, 2022 in the following Newspapers in compliance with Regulation 47(1)(b) of the SEBI (LODR) Regulations, 2015:

  • a. Business Standard (English)
  • b. Mumbai Lakshdeep (Marathi)
  • c. Kesari (Marathi)

We request you to kindly take the above information on record.

Thanking you,

Yours faithfully,

For Tilaknagar Industries Ltd.

Ajit Sirsat Chief Financial Officer AJIT ANANT SIRSAT Digitally signed by AJIT ANANT SIRSAT Date: 2022.02.10 17:07:37 +05'30'

Encl: as above

UGRO CAPITAL LIMITED

CIN : L67120MH1993PLC070739

Regd. Office: Equinox Business Park, Tower 3, 4th Floor, LBS Road, Kurla (West), Mumbai - 400070 Telephone: +91 22 48918686 E-mail: [email protected] Website: www.ugrocapital.com

Statement of Unaudited Financial Results For The Quarter & Nine Months Ended 31 December, 2021

` in lakhs

Sr. Particulars Quarter Quarter Nine Months Nine Months Year
No. ended ended ended ended ended
31-Dec-21 31-Dec-20 31-Dec-21 31-Dec-20 31-Mar-21
Unaudited Unaudited Unaudited Unaudited Audited
1 Total income from operations 8,525.89 3,908.10 19,918.92 10,468.33 15,333.84
2 Net Profit / (Loss) for the period (before Tax, Exceptional and/or
Extraordinary items #)
507.19 287.44 1,214.72 974.62 1,212.91
3 Net Profit / (Loss) for the period before
tax (after Exceptional and/or Extraordinary items #)
507.19 287.44 1,214.72 974.62 1,212.91
4 Net Profit / (Loss) for the period after tax (after Exceptional and/or
Extraordinary items)
338.58 627.05 846.52 2,717.57 2,872.75
5 Total Comprehensive Income for the period [Comprising Profit /
(Loss) for the period (after tax) and other Comprehensive Income
(after tax)]
283.61 619.96 807.95 2,722.49 2,886.35
6 Paid up Equity Share Capital 7,052.86 7,052.86 7,052.86 7,052.86 7,052.86
7 Reserves (excluding Revaluation Reserve) 88,856.96 87,992.92 88,856.96 87,992.92 88,190.96
8 Securities Premium Account 77,673.44 77,673.44 77,673.44 77,673.44 77,673.44
9 Net worth 93,857.81 91,920.34 93,857.81 91,920.34 92,087.34
10 Paid up Debt Capital/ Outstanding Debt 176,234.17 55,091.96 176,234.17 55,091.96 76,569.48
11 Outstanding Redeemable Preference Shares Nil Nil Nil Nil Nil
12 Debt Equity Ratio 1.84 0.58 1.84 0.58 0.80
13 Earnings Per Share (of ` 10/- each)
Basic 0.48 0.89 1.20 3.85 4.07
Diluted 0.47 0.89 1.20 3.85 4.07
14 Capital Redemption Reserve NA NA NA NA NA
15 Debenture Redemption Reserve NA NA NA NA NA
16 Debt Service Coverage Ratio NA NA NA NA NA
17 Interest Service Coverage Ratio NA NA NA NA NA

Notes:

The above is an extract of the detailed format of Quarterly/Nine Months ended Financial Results filed with the Stock Exchanges under Regulation 52 of the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015. The detailed financial results and this extract were reviewed by the Audit Committee and approved by the Board of Directors in their meeting held on 08th February, 2022. The full format of the Quarterly, Nine Months ended and Yearly Financial Results is available on the website of the Company i.e. www.ugrocapital.com and on the websites of the Stock Exchanges i.e. BSE Ltd. (www.bseindia.com) and National Stock Exchange Limited (www.nseindia.com)

- Exceptional items adjusted in the Statement of Profit and Loss in accordance with Ind-AS Rules.

For UGRO Capital Limited Sd/- Place: Gurugram Shachindra Nath Date: 08th February, 2022 Executive Chairman & Managing Director

Particulars Quarter
ended
Nine Months
ended
Quarter
ended
Year
ended
31.12.2021 31.12.2021 31.12.2020 31.03.2021
Unaudited Unaudited Unaudited Audited
Revenue from Operations
(Inclusive of Excise Duty) and Other Income 50,183.77 1,27,277.77 43,226.12 1,43,006.42
Less: Excise duty 29,577.03 72,883.86 26,364.37 86,961.34
Revenue from Operations (Net) and Other Income 20,606.74 54,393.91 16.861.75 56,045.08
Profit/(Loss) Before Tax 824.99 1.865.45 88.19 (2.925.17)
Profit/(Loss) After Tax 873.02 2,265.14 88.19 (2,879.21)
Total Comprehensive Income/(Loss) 867.23 2.247.77 84.66 (2,902.37)

Extract Statement of Unaudited Financial Results for the quarter ended December 31, 2021

CHEMTECH INDUSTRIAL VALVES LIMITED Reg. Off.: 105, Hiranandani Industrial Estate, Opp. Kanjurmarg Railway Station, Mumbai – 400 078. CIN: L 29299MH1997PLC105108 Website: www.chemtechvalves.com Email: [email protected]

Sd/-

DIN: 07803209

Date : 09/02/2022 Place : Thane

Rs in Lakhs (Except EPS)

(b) Diluted EPS

Sr. No. Particulars For the Quarter Ended For the Nine Months ended

  1. 2.
Name of the Holders Folio No. Cert. No. Distinctive No.
From
То No. of
Shares
CHAMPABEN KANTILAL
DOSHI (Deceased),
MAHENDRA KANTILAL DOSHI
0034662 008335 003491136 - 003491635 500
Name of Shareholder: Name & Address of the Company:
MAHENDRA KANTILAL DOSHI THE SUPREME INDUSTRIES LIMITED
612, Raheja Chembers, Nariman
Place: Mumbai Date: 10/02/2022 Mumbai, Maharashtra - 400021.

Exceptional and /or Extraordinary items)

3.

Exceptional and/or Extraordinary items)

4.

Exceptional and/or Extraordinary items)

5.

tax) and Other Comprehensive Income(after tax)

6.

(Face value Rs.10 Per share)

7.

as shown in the Audited Balance Sheet of

the previous year

8.

(a) Basic EPS

31-Dec-21 (Unaudited) 31-Dec-20

Year Ended 31-Mar-21

(Unaudited) (Audited)

732.87

-78 -78

-74.78

0

1148.73

1405.5 65.68 65.68 68.39

0

For Chemtech Industrial Valves Limited Puneet Pradeep Badkur Whole Time Director & Chief Financial Officer The above is an extract of the detailed format of Unaudited Financial Results for the quarter ended on December 31, 2021 filed with the stock exchange under Regulation 33 of SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015. The full format of the Unaudited Financial Results for the quarter ended December 31, 2021 are available on Stock Exchange website viz., (www.bseindia.com) and Company's website (www.chemtechvalves.com). - -0.65 0.36 -0.65 0.36 - -0.34 -0.34 - - 0.14 0.14 Earning per share (EPS) FV of Rs.10/- each

Note :

SI.
No.
Tender notice no. and description
of item
Extended online
bid uploading/
submission end
date
Last date of
physical
submission of
tender fee and
EMD
Technical bid
opening date
and time
1. 243/PR/JBVNL/2021-22
ISI Marked 33 kV XLPE UG Cable
400sqmm
14.02.2022 upto
18:00 Hrs
15.02.2022 upto
16:30 Hrs.
15.02.2022
upto $18:00$ Hrs.
2. 244/PR/JBVNL/2021-22
ISI Marked 11 kV XLPE UG Cable
300samm
14.02.2022 upto
$18:00$ Hrs
15.02.2022 upto
$16:30$ Hrs.
15.02.2022
upto 18:00 Hrs.
EXTRACT OF CONSOLIDATED UNAUDITED FINANCIAL RESULTS FOR THE QUARTER AND
NINE MONTHS ENDED DECEMBER 31, 2021
(Rs. in Lacs)
Nine Months
Quarter
Quarter
SI. Particulars
Year
No. ended ended ended ended
31.12.2021 31.12.2021 31.12.2020 31.03.2021
Unaudited Unaudited Unaudited Audited
Total Income from Operations
(including other income)
50.278.34 1.27.379.10 43.202.84 1.42.978.37
$\mathbf{z}$ INET Profit/(Loss) for the period (before Tax.
Exceptional and/or Extraordinary Items)
978.73 1.794.43 (388.58) (3, 857.88)
3 Net Profit/(Loss) for the period before Tax
(after Exceptional and/or Extraordinary Items)
978.73 1,794.43 (388.58) (3,857.88)
$\overline{4}$ Net Profit/(Loss) for the period after Tax
(after Exceptional and/or Extraordinary Items)
1.026.59 2.193.95 (388.58) (3.840.30)
5 Total Comprehensive Income for the period
[Comprising Profit/(Loss) for the period (after tax)
and other Comprehensive Income (after tax)]
1.017.96 2.168.07 (391.39) (3,874.80)
6 Equity Share Capital 15.501.39 15,501.39 12,528.36 12,543.46
Reserves (excluding Revaluation Reserve) as shown
in the Audited Balance Sheet of the previous year)
(18.115.30)
8 Earning Per Share (of Rs.10/- each) (not annualised)
Basic (in Rs.) 0.72 1.57 (0.31) (3.07)
Diluted (in Rs.)
2)
0.70 1.54 (0.31) (3.07)

Corporate Office: 503, Sunrise Business Park, Plot No B-68, Road No-16 Near Kisan Nagar-2, Wagle Industrial Estate, Thane-400604

1148.73

-206.48

0.60 0.60

0.47 0.47

-

53.73 51.8 51.8 1014.29

31-Dec-21 (Unaudited)

0

1148.73

1148.73

0

41.21 40.78 40.78 417.67 (Unaudited) 31-Dec-20

1148.73

0

-38.92 -39.75 -39.75 257.02 (Unaudited) 30-Sep-21

275.70 15.13 15.13 16.26

0

1148.73

Total Income from Operations (Net) Net Profit/(Loss) for the period (before Tax,

Net Profit / (Loss) for the period before tax (after

Net Profit / (Loss) for the period after tax (after

Total Comprehensive Income for the period (after

Paid up equity Share Capital

Reserves (excluding Revaluation Reserve)

ARM - II BRANCH, MUMBAI : 3rd Floor, Canara Bank Building, Adi Marzban Street,
Mumbai-400001.Tel. No. : (022) 22651128 / 29 Email : [email protected]
SALE NOTICE
E-Auction Sale Notice for Sale of Immovable Properties under the Securitization and
Reconstruction of Financial Assets and Enforcement of Security Interest Act, 2002
read with provision to Rule 8 (6) of the Security Interest (Enforcement) Rules, 2002
Notice is hereby given to the public in general and in particular to the Borrower (s) and
Guarantor (s) that the below described immovable properties mortgaged / charged to the
Secured Creditor, the Symbolic Possession of which has been taken by the Authorized
Officer of Canara Bank, will be sold on "As is where is", "As is what is", and "Whatever
there is" basis on 25.02.2022 for recovery of ` 1,76,50,863.21 (as on 31.08.2021 plus
further interest and charges thereon due to the ARM II Branch of Canara Bank from
M/s. Raghunand Chemical Industries, with Regd.address at Plot No. B-85, Lote
Parshuram MIDC Area, Taluka Khed, District Ratnagiri-415 722 represented by its proprietor
Mr. Umesh Shetty. Reserve Earnest Money
Sr.
No.
Description of the Property Price (in ) | Deposit (in)
Plot No. B-85, (Plot Measuring 3825 Sq. Mtrs) Lote
Parshuram MIDC Area, Near Pushkar Chemicals, Village
Lote, Taluka Khed, District Ratnagiri-415 722. (Along with
1,07,50,000/- 10,75,000/-
Hypothecated Plant & Machineries available thereon)
The Earnest Money Deposit shall be deposited on or before 24.02.2022 upto 5.00 p. m.
Date of inspection of properties is on 19.02.2022 (11.00 a. m. to 2.00 p. m.) with prior
appointment with Authorised Officer.
Date up to which documents can be deposited is 24.02.2022 upto 5.00 p. m.
1. For detailed terms and conditions of the sale, please refer the link "E-Auction" provided in
Canara Bank's website (www.canarabank.com) or may contact Mr. Pradeep Padman, Chief
Manager, Canara Bank, ARM II Branch, Mumbai (Ph. No. : (022) 22651128 / 29 / Mob. No.
7639236670) or Mr. Sanjeet Kumar, Officer (Mob No.: 8797860296) e-mail id : cb6289@
canarabank.com during office hours on any working day or the service provider M/s. C1
India Pvt. Ltd., Udyog Vihar, Phase-2, Gulf Petrochem Building, Building No. 301, Gurgaon,

+911244302020 / 21 /22 / 23 / 24, [email protected], [email protected].

ulu : vuiveibule
laaa : Mumhai

sd/-

Standalone Consolidated
I SI.
No.
Particulars Quarter ended Nine months ended Year
ended
Quarter ended Nine months ended Year
ended
31-12-2021 30-09-2021 31-12-2020 31-12-2021 31-12-2020 31-03-2021 31-12-2021 30-09-2021 31-12-2020 31-12-2021 31-12-2020 31-03-2021
(Unaudited) (Unaudited) (Unaudited) (Unaudited) (Unaudited) (Audited) (Unaudited) (Unaudited) (Unaudited) (Unaudited) (Unaudited) (Audited)
Total income from operations 376.27 770.86 461.03 1.215.92 1.086.50 1.137.05 1.154.28 1.776.88 993.09 3,798.33 2,723.29 3,129.48
2 Profit / (loss) for the period before tax 191.71 513.56 147.26 559.12 202.25 (44.06) 248.04 783.39 (99.66) 966.24 (410.91) (1,023.51)
3 Profit / (loss) for the period after tax 154.55 522.46 133.60 516.18 155.24 (49.50) 264.66 841.64 (89.74) 1,022.57 (371.60) (632.02)
4 Total comprehensive income for the period [comprising profit /
(loss) for the period after tax and other comprehensive income
for the period, net of tax] 157.04 524.95 132.49 523.65 151.92 (39.55) 267.33 844.29 (91.13) 1,030.56 (375.75) (621.38)
5 Paid up Equity share capital (Face value of ₹ 10 each) 4,750.00 4.750.00 4.750.00 4.750.00 4.750.00 4.750.00 4.750.00 4,750.00 4.750.00 4,750.00 4.750.00 4,750.00
6 Other equity 11,269.53 4,192.46
Earnings per share (Face value of ₹10 each)
Basic (Rs.) 0.33 1.10 0.28 1.09 0.33 (0.10) 0.56 1.77 (0.19) 2.15 (0.78) (1.33)
Diluted (Rs.) 0.33 1.10 0.28 1.09 0.33 (0.10) 0.56 1.77 (0.19) 2.15 (0.78) (1.33)
Notes:

Date : 09.02.2022 Authorised Officer, Place : Mumbai Canara Bank, ARM-II BRANCH

(CIN : L74110MH1995PLC093448) Regd. Office : Office No-901, Raheja Chambers, Free Press Journal Marg, Nariman Point Mumbai 400021 Website : www.garnetint.com, Email-id : [email protected], Phone No. : +91-22 22820714; + 91-22 22820715

(RS. in Lacs)

Particulars

Unaudited Standalone and Consolidated Financial results for the quarter and nine month ended 31st December, 2021

Standalone Consolidated

1 Total Income from Operations 239.55 985.31 30.18 999.22 3,339.44 1,003.82

2 Net Profit/ (Loss) for the period (before tax,

Exceptional and/or Extraordinary items) (15.78) (260.22) (178.63) 9.65 (114.95) (304.97)
3 Net Profit/ (Loss) for the period before tax
(after Exceptional and/or Extraordinary items) (15.78) (260.22) (178.63) 9.65 (114.95) (304.97)
4 Net Profit/ (Loss) for the period after tax
(after Exceptional and/or Extraordinary items) (15.78) (260.28) (178.63) 9.65 (115.00) (304.97)
5 Total Comprehensive Income for the period
[comprising Profit/ (Loss) for the period (after tax)
and Other Comprehensive Income (after tax)] (15.54) (260.09) (178.15) 9.89 (114.81) (304.27)
6 Equity Share Capital 1,963.50 1,963.50 1,963.50 1,963.50 1,963.50 1,963.50
7 Reserves ( excluding Revaluation Reserve)
as shown in Audited Balance sheet of
the previous year - - - - - -
8 Earnings Per Share ( of Rs.10/- each)
(for continuing and discontiued operations)
a. Basic (0.08) (1.32) (0.91) 0.05 (0.58) (1.55)
b. Diluted (0.08) (1.32) (0.91) 0.05 (0.58) (1.55)
Note:-

The above is an abstract of the detailed format of the Financial Resuts - As per IND AS Compliant filed with the Stock Exchanges under Regulation 33 of the SEBI (Listing and Other Disclosure Requirements) Regulations, 2015. The full format of the Financial results are available on the Company's website www.garnetint.com and on the BSE website.

Place : Mumbai Date: 09th February, 2022 For Garnet International Limited Ramakant Gaggar

Managing Director

DIN: 01019838

31.12.2021 Reviewed

31.12.2021 Reviewed

31.12.2020 Reviewed

31.12.2021 Reviewed

31.12.2021 Reviewed

31.12.2020 Reviewed

Quarter ended

NineMonths Ended

Quarter ended

Quarter ended

Nine Months Ended

Quarter

ended Sr.

No.

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BSEL INFRASTRUCTURE REALTY LIMITED
CIN: L99999MH1995PLC094498
Regd. Office: 737, 7th Floor, The Bombay Oilseeds & Oils Exchange Premises Co. op. Soc. Ltd.,
The Company Exchange, Plot No. 2, 3 & 4, Sector 19-A, Vashi, Navi Mumbai 400 705
Tel.: +91-22-6512 3124, Tele Fax: +91-22 2784 4401. Website: www.bsel.com
CONSOLIDATED UNAUDITED FINANCIAL RESULTS
FOR THE QUARTER AND NINE MONTHS ENDED DECEMBER 31, 2021
(Rupees in Lakhs, except per shares data)
Sr.
No.
PARTICULARS Quarter
ended
2021
Unaudited
Quarter
ended
December 31. December 31. December 31.
2020
Unaudited
Nine months
ended
2021
Unaudited
Year
ended
March 31.
2021
Audited
$\mathbf{1}$
Total income from operations
205.84
215.05
22.93
347.52
$\overline{2}$ Net Profit/(Loss) for the period 183.88 5.26 273.64 141.11
(before tax and exceptional items)
3 Net Profit/(Loss) for the period before tax 5.26 141.11
$\overline{4}$ (after exceptional items)
Net Profit/(Loss) for the period after tax
183.88 273.64
(after exceptional items) 119.39 (49.95) 177.33 49.07
5 Total comprehensive income for the period 119.39 (49.95) 177.33 49.07
6 Paid up Equity Share Capital
(Face Value of Rs. 10/ each)
Earning Per Share (EPS) 8.261.68 8.261.68 8.261.68 8.261.68
Basic 0.14 (0.06) 0.21 0.06
Diluted 0.14 (0.06) 0.21 0.06
The key information of the standalone financial result of the Company are given below:
Total income from operations 215.05 22.93 347.52 205.84
Profit/(Loss) before tax 183.88 5.26 273.64 141.31
Profit/(Loss) after tax 119.39 (49.95) 177.33 49.27
4
177.33
Total comprehensive income for the period
119.39
(49.95)
49.27
1. Notes:
The above financial results have been reviewed by the Audited Committee and approved by the Board of
Directors on February 9, 2022 and has been subject to the Limited Review of the statutory auditor of the
company.
The above extract of the detailed format of quarter and nine months ended Financial Results filed with the
2.
Stock Exchange under Regulations 33 of the SEBI (Listing Obligations and Disclosure Requirements)
Regulations, 2015. Detailed quarterly and nine months ended Financial Results in the prescribed format
are available on the website of Stock Exchange (www.bseindia.com) and the Company (www.bsel.com).

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{XZmßH\$ Ö 04.02.2022
_o. OoE_S>r Zmdo. ghr/-
GOOD VALUE IRRIGATION LTD
CIN: L74999MH1993LC074167
{R>H\$mU: R>mUo {R>H\$mU: R>mUo ‡m{YH•\$V A{YH\$mar, w{ZZ ~±H\$ Am∞\$ Bß{S>`m Am∞\$
Registered Address: Industrial Assurance Building, Churchgate, Mumbai - 400 020.
EXTRACT OF THE STANDALONE UN-AUDITED FINANCIAL RESULTS
Sr. Particulars FOR THE QUARTER ENDED ON 31/12/2021 Quarter Quarter (Rs.in Lacs)
Half Year
No. Ended Ended
31.12.2021 30.09.2020 30.09.2021
Ended nr.EM. H°\${nQ>b {b{_Q>oS>
1 Total Income from Operations
2 Net Profit for the period (before Tax,
- - - Zm XUrH¥\$V H\$mm©c: 5S>r, H\$mH\$S> hmD\$g, 5dm _Obm, E qdJ, Ý`w _arZ bmB©Ýg, {b~Q>u {gZo_m g_moa, _w§~B©-400020.
Xÿa.:022-22019473/022-22012105, B©-_ob:[email protected],
Exceptional and Extraordinary items )
3 Net Profit for the period before tax
-3.40 -18.11 -1.11 grAm`EZ:Eb74140E_EM1973nrEbgr016436
(after Exceptional items )
4 Net Profit for the period after tax (after
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Exceptional and Extraordinary items )
5 Total Comprehensive Income for the period
[Comprising Profit / (Loss) for the period (after tax)
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and Other Comprehensive Income (after tax)]
6 Equity paid up Share Capital
-3.40
1736.63
-18.11
1736.63
-1.11
1736.63
Vnerb 31.12.2021 30.09.2021 31.12.2020 31.12.2021 31.12.2020 31.03.2021
7 Reserves (excluding Revaluation Reserve) as
shown in the Audited Balance Sheet of the
previous year
-1790.86 -1790.86 -1790.86 1 H\$m`©McZmVyZ EHy\$U CËnÞ ({Zìdi) AcoImn[a{úmV
3588.63
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1573.82
639.75 AcoImn[a{úmV AcoImn[a{úmV AcoImn[a{úmV coImn[a{úmV
6168.24
2966.87 4829.28
8 Earnings Per Share (of Rs. 10/- each)
for continuing and discontinued operations :
2 H\$mbmdYrH\$[aVm {Zìdi Z\$m/(VmoQ>m)
Basic and Diluted
NOTES:
-0.02 -0.1 -0.01 (H\$a, AndmXmË_H\$ d {deof gmYmaU ~m~nyd©)
3 H\$amZ§Va H\$mcmdYrH\$[aVm {Zìdi Z\$m/(VmoQ>m)
(303.11) 893.07 270.04 1855.85 1109.08 1573.95
a) The above results were reviewed by the Audit Committee and approved by the Board of
Directors at its meeting held on 09.02.2022
b) The Above is an extract of the details of format quarterly Un-audited Financial results filed
(AndmXmË_H\$ d {deof gmYmaU ~m~Z§Va) 146.81 431.08 160.20 1493.70 699.91 1029.63
with BSE under Regulation 33 of the SEBI(LODR) Regulations, 2015 and same available
BSE website also.
4 H\$mcmdYrH\$[aVm EHy\$U gdªH\$f CËnÞ (H\$mcmdYrH\$[aVm
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146.81 431.08 160.20 1493.70 699.91 1029.63
For Good Value Irrigation Limited Sd/- 5 g_^mJ ^m§S>dc (é.10/-) 300.01 300.01 300.01 300.01 300.01 300.01
Date: 10.02.2022
Place: Mumbai
Vishwajit Dahanukar
Director
DIN:01463131
6 amIrd
7 CËnÞ à{V^mJ (ê\$.10 àË`oH\$s) (dm{f©H\$sH\$aU Zmhr)
- - - - - 1560.41
_yi d gm¡{_H¥\$V 4.89 14.39 5.34 49.79 23.33 34.32
PUBLIC NOTICE 8 CËnÞ à{V^mJ (ê\$.10 àË`oH\$s)({deof gmYmaU ~m~Z§Va)
Registered Ofce : Bombay House, 24, Homi Mody Street, Fort, Mumbai-1. [TATA CHEMICALS LIMITED ] _yi d gm¡{_H¥\$V
{Q>n:
4.89 14.39 5.34 49.79 23.33 34.32
NOTICE is hereby given that the certicate[s] for the under mentioned 1. go~r ({cpñQ>¨J Am°pãcJoeÝg A°ÊS> {S>ñŠcmoOa [a¹\$ma_ Q²>g) ao½wcoeZ 2015 Àm {Z_ 33 AÝd`o ñQ>m°H\$ EŠgM Ogh
securities of the company has/have been lost/mislaid and the holder[s]
o f the said securities/applicants[s] has/have applied to the company to
gmXa H\$aÊmV Amcocr Ì¡_m{gH\$ {dÎmr {ZîH\$fm©Mo g{dñVa Z_wÝmVrc CVmam Amho. Ì¡_m{gH\$ {dÎmr {ZîH\$fm©Mo g§nyU©
issue duplicate certicate[s].
Any person who has a claim in respect of the said securities should
Z_wZm ñQ>m°H\$ EŠgM OÀ`m www.bseindia.com do~gmB©Q>da CncãY Amho.
lodge such claim with the company at its registered ofce within 15 days 2. darb {dËVr{ZîH\$fm©Mo boImg{_VrÛmao nwZ©{dbmoH\$Z H\$aÊmV Ambo Amho Am{U 09 \o\$~«wdmar, 2022 amoOr Pmboëm<br>g§MmbH\$ _§S>imÀm g^oV Vo _mÝH\$aÊmV Ambo.
from this date, else the company will proceed to issue duplicate
certicate[s] without further intimation.
nr.EM. H°\${nQ>b {b{_Q>oS>H\$[aVm
Sr. Name(s) of holder(s) Kind of securities No. of Distinctive ghr/-
No. & jt. Holder(s), if any and face value securities Number(s) [aH\$sZ nr. Xbmb
g§MmbH\$
1. Vijay Jeramdas EQUITY 30
50
21104161 to 21104190
23090672 to 23090721
{R>H\$mU: _w§~B©
{XZm§H\$: 09.02.2022
S>rAm`EZ:01723446
Dawda 20
50
23090722 to 23090741
72399980 to 72400029
GARNET INTERNATIONAL LIMITED
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Place: Mumbai, Date: 10-2-2022. Name of the Shareholder(s)

177449711 to 177449760 177449761 to 177449810 177449811 to 177449820 177449821 to 177449821 177449822 to 177449822 29180898 to 29180922

Vijay Jeramdas Dawda

टिळकनगर इंडस्ट्रीज लि. (टीआय) सीआयएग: L16420PN1933PLC133303 कॉपोरेट कार्यालय : ३ रा मजला, औद्योगिक विमा इमारत, चर्चगेट, मुंबई, महाराष्ट्र - ४०० ०२०. .
नोंदणीकृत कार्यालय : पी.ओ. टिळकनगर, ता. श्रीरामपूर, जि. अहमदनगर, महाराष्ट्र - ४१३ ७२०. ई-मेल : [email protected] वेबसाइट : www.tilind.com दूरध्यनी : + ९१ २२ २२८३१७१६/१८ फॅक्स : + ९१ २२ २२०४६९०४ दि. ३१ डिसेंबर, २०२१ रोजी संपलेली तिमाही व नऊमाहीकरिताच्या एकत्रित अलेखापरीक्षित वित्तीय निष्कर्पाचा सारांश (6. लाखांत) 9905.99.90 9505.99.96 29.97.7090 89.03.2029 रोजी संघलेली जी संपलेली रोजी संपलेली रोजी संपलेले वर्ष 37. तपत्रील तिमाही नऊमाही तिमाही 丽. अलेखापरीक्षित अलेखापरीक्षित अलेखापरीक्षित. लेखापरीक्षित $\lambda$ परिचालनातून एकूण उत्पन्न (अन्य उत्पन्न अंतर्भूत) $40, 206.88$ १,२७,३७९.१० 83.202.68 $8,89,966.86$ कालावधीकरिता निष्क्षळ नफा/(तोटा) (कर, अपवादात्मक २ $80.308$ 8,098.83 $(366, 46)$ $(3.646.66)$ व/या असामान्य बाबीपूर्व) 31 करपूर्व कालावधीकरिता (अपवादात्मक व/वा असामान्य बार्बीपश्चात) $80.309$ 8,698.83 $(34.36)$ $(B, C10, C1)$

९० फेब्रुवारी २०२२ (

ANGEL

$\mathcal{L}_{\mathcal{A}}$ कालावधीकरिता एकूण सर्वसमावेशक उत्पन्न (कालावधीकरिता (करपश्चात) 29.020.28 2,986.00 $(389.39)$ $(8,698.60)$ नका/(तोटा) व अन्य सर्वसमावेशक उत्पन्न (करपश्चात) बांचा समावेश) समभाग भांडवल $\epsilon$ 24.402.39 88.804.88 28.426.35 8, 2483.86 $\mathbf{G}$ राखीब (पुनर्मूल्यांकन राखीब वगळता, गत वर्षांच्या लेखापरीक्षित $(86.884.38)$ ताळेबंदामध्ये दर्शविल्यानुसार) $\epsilon$ उत्पन्न प्रतिशेअर (प्रत्येकी रु. १०/-) (अवार्षिकीकृत) अ) भूलभूत (रू.) $9.10$ 4.44 $(0, 38)$ $(3.06)$ ब) सौम्यीकृत(रु.) $9.48$ $0.190$ $(0.88)$ $(3.06)$ टीपा :

9,028.49

2.223.94

$(34.36)$

$(3,680.30)$

$\mathbf{x}$

निब्बळ नफा/(तीटा)

करपश्चात कालावधीकरिता (अपयादात्मक व/वा

असामान्य बाबीबाबीपश्चात) निध्यक्ष नफा/(तोटा)

Ì

  1. वरील विवरण हे सेवी (सूची अनिवार्यता व विमोचन आवश्यकता) विनियमन, २०१५ च्या विनियमन ३३ अंतर्गत स्टॉक एक्सचेंअेसकडे दाखल करण्यात
    आलेल्या ३१ डिसेंबर, २०२१ रोजी संपलेली तिमाही व नऊमाहीकरिताच्या वित्तीय निष्कर्षांच्या (स्था २०२१ रोजी संपलेली तिमाही व नऊमाहीकरिताच्या वित्तीव निष्कर्षांचे (स्थावी व एकत्रित) संपूर्ण प्रारूप कंपनीची वेबसाइट (www.tilind. ३१डिसेंबर, com) यर तसेच बीएसईची वेबसाइट (www.bseindia.com) व एनएसईची वेबसाइट (www.nseindia.com) बरही उपलब्ध आहे.

$\overline{a}$ दि. ३१.१२.२०२१ रोजी संपलेली तिमाही व नऊमाहीकरिताचे अलेखापरीक्षित वित्तीय निष्कर्ष हे कंपन्या कायदा, २०१३ चे अनुच्छेद १३३ अंतर्गत विहित कंपन्या (भारतीय लेखा मानके) चिनियमन, २०१५ (आयएनडी एएस) अंतरिम वित्तीय नोंदी सहवाचन त्याअंतर्गत आरी संलग्न नियम तसेच भारतामध्ये
सर्वसाधारणपणे स्वीकारण्यात येत असलेल्या अन्य लेखा धोरणांनुसार तथार करण्यात आलेले आहेत.

वरील निष्कर्षांचे लेखापरीक्षण समितीद्वारे पुनरावलीकन करण्यात आले असून संवालक मंडळाद्वारे त्यांच्या दि. ०९.०२.२०२२ रोजी पार पडलेल्या सभेत $\overline{\mathbf{3}}$ . त्यांना मंजुरी देण्यात आली आहे व वैधानिक लेखापरीक्षकांच्या मर्यादित पुनरावलोकनाच्या अधीन सदर निष्कर्ष असतील.

स्थायी विनीय निष्कर्षांची महस्वाची माहिती खाली दिलेली आहे:

$(5.$ लाखांत)
तपशील 9909.99.98
रोजी संघलेली
तिमाडी
39.99.9090
रोजी संपलेली
तिमाही
38.03.2029 रोजी
संघलेले वर्ष
अलेखापरीक्षित अलेखापरीक्षित
अलेखापरीक्षित
लेखापरीक्षित
परिचालनातन महसूल (जकात कर समाधिष्ट) 00.863, 00 8.96.96.06.9 83, 225, 22 8,88,008.82.
वजा - जकात कर 29,400.03 33.663.68 98,388,39 68.958.88
परिचालनातून महसूल (निव्वळ) (अन्य उत्पन्न समाधिष्ट) 80,808,08 48,888.98 96.883.88 48.084.06
करपूर्व नफा/(तोटा) 88.883 8, 684.84 66.99 (2, 994.81)
करपश्चात नफा/(तोटा) 50.603 8,954.98 89.33 (9,669, 28)
एकृण सर्वसमावेशक उत्पन्न/(तोटा) 256.98 288.085.9 23.83 (8, 808, 80)

h. वैधानिक लेखापरीसकांनी दि. ३१.१२.२०२१ रोजी संपलेली तिमाही व नऊमाहीकरिताच्या अलेखापरीसित वित्तीय निष्कर्षांवरील (स्थायी च एकत्रित) जवानक राज्यासम्मान्या पर ११२२२ आहे : १) आवएनडी एएस ३६ - संपत्तीची हानी या आवश्यकतांनुसार विघाडाचे निर्देश असतानाही नियंत्रक
कंपनीन एका ईएनए प्लान्ट्स ची दुरुस्ती कलेली नाही. २) पंजाब एक्सपी ब्रेव्हरीज प्रायक्षेट लिमिटेड ( गांचा तिमाहीदाम्यान निव्वळ तोटा झाला व संचयित तोट्यामुळे निब्बळ संपत्ती मूल्य नकारात्मक. ठाले आहे. बिपरीत आर्थिकस्थिती असतानाही कंपनीने रु. २६८०.२४ लाखांच्या समभाग गुंतवणुकीत दुरुस्तीकरिता तरतुद केली व आयएनडी एएस ३६ संपत्तीची हानी या अंतर्गत आवश्यकतेनुसार पंजाब एक्सपो
यांना रु. ३४६३.७४ लाख आगाऊ रक्कम देऊ केली. ३) राष्ट्रीय कंपनी विधि न्याबाधिकरणाने (एनसीए डिस्टिलरी (प्रा.) लि. (प्राग) या कंपनीच्या परिसमापनाचा आदेश दिला आहे. तथापि, आयएनडी एएस संपतीची हानी याअंतर्गत आवश्यकतेनुसार प्रागमध्ये रु. १५४३.३५ लाखांच्या समभाग गुंतवणुकोकरिता हानीकरिताची तरतूद केलेली नाही. ४) प्राग कंपनीने बॉटलिंग युनिटच्या विस्तार प्रकल्पावर दि. ३१.१२.२०२१ रोजीनुसार ४. १००२१.६९ लाखांचे भांडवली खर्च केले जी बाब प्रगतीपथावरील भांडवल कार्य या शीर्षांतर्गत नोंदीत आहे. सदर प्रकल्प अनेक वर्षांपासून कार्यान्वित नाही ज्याकरिता होनीचे संकेत देण्यात आले आहेत. आयएनडी एएस ३६ संपत्तीची हानी याअंतर्गत आवश्यकतेनसार हानीच्या नुकसानीकरिता सदर प्रकल्पाबी प्राग बांनी बाबणी केली नाही. ५) प्राग बांनी आंध्र प्रदेश बेव्हरेज कॉर्पोरेशन लि. कडून ३.५८६.५५ लाखांच्या थकित व्यापारी स्वीकारार्ह रक्कम असुरक्षित केली आहे व रु. १८२.०५ लाखांच्या ठेवी प्राप्त केल्या आहेत व रु. २१०.९९ लाखांच्या पुरव्याकरिता असुरक्षित आगाऊ रकमांची तरतूद केली आहे जी दीर्घकाळ थकित असले तरीही, शंकास्पद व्यापार स्वीकारयोग्य/अपेक्षित पत हानीवरील भत्यांकरिता कोणत्याही तरतुदीचा विचार केला नाही. व्यवस्थापनाने शंकास्पद व्यापार स्वीकाराई (अपेक्षित पत हानी), जमा व आगाऊ रकमा या दीर्घकाळ थकित असल्या तरीही त्यांच्यासाठी तरतुदी केल्या आहेत.