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Triochem Products Ltd. Earnings Release 2021

Aug 20, 2021

63375_rns_2021-08-20_7550e8ec-e1a5-4292-ac74-1ef6596eb095.pdf

Earnings Release

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TRIOCHEM PRODUCTS LIMITED

TRIO MANUFACTURERS OF ETHICAL PHARMACEUTICAL PRODUCTS CHEM Registered Office: 4th Floor, Sambava Chambers, Sir. P. M. Road, Fort, Mumbai, Maharashtra, PIN: 400001. Telephone: 00 91 (22) 2266 3150 Fax: 00 91 (22) 2202 4657 E-mail: [email protected] Website: www.triochemproducts.com Corporate Identity Number: L24249MH1972PLC015544

Ref No: TPL PP 2021630 2021; 16th August 2021

To BSE Limited Corporate Relationship Department, Phiroze Jeejeebhov Towers, Dalal Street, Fort, Mumbai: 400 001. Security Code No. 512101 - ISIN No.: INE331E01013.

Dear Sir / Madam,

Sub: Intimation under Regulation 47 of SEBI Listing (LODR) Regulations, 2015

In compliance to Regulation 47 of SEBI (LODR) Regulation, 2015; we are enclosing herewith extract of newspaper copy of Unaudited Financial Results for the quarter ended 30th June 2021; published in Navshakti & Free Press Journal on 15th August 2021, which was duly approved by the Board in its meeting on Saturday 14th August 2021.

This is for your kind information. Thanking you, Yours faithfully, For TRIOCHEM PRODUCTS LIMITED

RAMU S DEORA DIRECTOR DIN: 00312369 Encl.: as above od,

6 THE FREE PRESS JOURNAL WWW.freepressjournalian MUMBAI SUNDAY AUGUST 15, 202
Chola CHOLAMANDALAM INVESTMENT AND FINANCE COMPANY LIMITED
Corporate Office: 1st Floor, 'Dare House', No.2, N.S.C. Bose Road, Chennai - 600 001
Branch Office: Stilt floor, Amrutvel, P No.03, Niranjan Hsg. Society, Tilak Nagar, Shahnoor Wadi, Aurangabad - 431005
DEMAND NOTICE UNDER SECTION 13[2] OF THE SECURITISATION & RECONSTRUCTION OF
PUBLIC NOTICE
We are investigating the title of one M/s. Varun Homes Pvt. Ltd., a Company incorporated
under the provisions of the Companies Act, 1956 and validly existing under the provisions
of the Companies Act, 2013 holding CIN U45102MH2001PTC130677; and having its
Read, Office : 101. 1st Floor, Centre Point, Somnath Daman Road, Somnath.
TIME
TIES TESTING PROGRAM LITE. Dabrel, Nani Daman, Daman (U.T.) 396 210. Corp. Office : 55, Corporate Avenue
CIN: L27203DD1989PLC00324
Website: www.timetechnoplast.com, Email: [email protected]
FINANCIAL ASSETS AND ENFORCEMENT OF SECURITY INTEREST ACT 2002
You, the under mentioned Borrowers / Mortgagors is hereby informed that the company has initiated proceedings
against you under the Securitization and Reconstruction of Financial Assets and Enforcement of Security Interest Act,
rincipal place of business at Safal Pride, 5 e and 6 e Floor, Opp. Saras Baug (Punjabwadi)
ion-Trombay Road, Deonar, Mumbai 400088("Owner"), in respect of the immovable
EXTRACT OF UNAUDITED FINANCIAL RESULTS FOR THE QUARTER ENDED JUNE 30, 2021
(Rs. In Lakhs)
2002 and that the Notice under 13 (2) of the Act sent to you by Registered Post Ack. Due for Borrower/s has been
returned undelivered. Hence, you are hereby called upon to take notice and pay the outstanding loan amount mentione
properties as more particularly described in the Schedule hereunder written ("the said
roperties").
S Particulars Standalone
Quarter Ended
Year Ended
Quarter Ended Consolidated
Year Ended
against the said account with interest accruing there from within 60 days from the date of this publication, failing which
the company will proceed against you by exercising its right under Sub-Sec (4) of Section 13 of the Act by enforcing the
below mentioned security to realize its dues with interests and costs. It is needles to mention that this notice is addresse
Any persons having any right, title, interest, claim against, in, to or upon the said Properties
or any part thereof, by way of sale, exchange, mortgage, charge, gift, trust, maintenance
ossession, tenancy, lease, leave and license, lien or otherwise howsoever or otherwise
No. 30/06/2021 30/06/2020 31/03/2021
(Unaudited) (Unaudited) (Audited) (Unaudited) (Unaudited) (Audited)
30/06/2021 30/06/2020 31/03/2021
to you without prejudice to any other remedy available to the company.
Date of
Name and Address
mand Notice
Description of the property/
Loan
are hereby requested to make the same known in writing, along with supporting
locuments of such claim or objection to the undersigned, at Law Scribes, 303, Lotus Pride
St. Francis Road, Vile Parle (West), Mumbai 400 056, within a period of 7 (seven) days
Total income from operations
Net Profit for the period after tax
Total Comprehensive Income
37.730.25 23.313.12 172.546.01 75.436.43 47.520.13 300.492.05
950.51 (1,289.27) 5,124.48 2,851.50 (1,167.90) 10,343.10
950.51 (1,289.27)
5,183.42 2,851.50 $(1, 167.90)$ 10,540.50
of the Borrower/s
Amount
& Amount
Secured Asset
and Co-Borrowe
Outstanding
rom the date of publication of this notice, failing which it shall be construed and accepted
that there does not exist any such claim or objection; and the same shall be construed as
Equity Share Capital (Face Value of ₹ 1 each)
Earnings Per Share (Face Value of ₹1 each)
2,261.47 2,261.47
2,261.47
2,261.47 2.261.47
2,261.47
LOAN ACCOUNT NO.
30.07.2021 &
X0HLARU00002902832
All that piece and parcel of Flat No. 01, ad-
Borrower & Co-borrowers:
Rs.
aving been non-existent /waived /abandoned.
SCHEDULE
a Basic b Diuted
Notes: The above is an extract of the detailed format of Quarterly financial results filed with the Stock Exchanges under
0.42
0.42
(0.57)
2.27
(0.57)
2.26
1.26
1.26
(0.52)
4.57
4.56
(0.51)
measuring Carpet area 30.93 Sq.meters. &
19,37,373.17
Sachin Ramkrushna Shirsat
Built up area 72.35 Sq meters on the Ground
Floor in the said ""Vijayalaxmi Tirthnkar"
Rs.
19,97,246/-
2. Pradnya Chokha Galkwad
as on
29,07,2021
oth are residing
Description of the said Properties
(a) Flat bearing no. 502 admeasuring 1109 square feet equivalent to 103.04 square
Regulation 33 of the SEBI (Listing Obligations and Other Disclosure Requirements) Regulations, 2015. The full format
of
the Quarterly Financial Results are available on the Stock Exchange websites www.bseindia.com and
constructed on Plot no. 05, out of Gut no. 103,
P.No.8, Line.No.1, Nyay Nagar,
with further
Situated at Deolai, Aurangabad.
Garkheda Parisar, Aurangabad
nterest thered
Aurangabad-431001.
neters Rera carpet area on the 5 * floor in the A Wing; (b) Flat bearing no. 102
admeasuring 1109 square feet equivalent to 103.04 square meters Rera carpet area or
the 1" floor in the B Wing; (c) Flat bearing no. 302 admeasuring 1109 square fee
www.nseindia.com and www.timetechnoplast.com For TIME TECHNOPLAST LIMITED
Anii Jain
AUTHORISED OFFICER
Date: 15.08.2021
Place: Maharashtra
Cholamandalam Investment and Finance Company Limited
equivalent to 103.04 square meters Rera carpet area on the 3 er floor in the B Wing; all in the
building/project known as "Safal Sky" presently under construction on the land bearing
CTS Nos. 409/7 & 409/6, all of Village Borla, Taluka Kurla, Mumbai Suburban District and
Place: Mumbai
Date: 13th August 2021
Managing Director
DIN: 00183364
ying, being and situate at Chembur, Mumbai 400071.
Dated this 13 * day of August, 2021
For Law ScribeS:
Universal Starch-Chem Allied Ltd.
Regd. Office: Mhatre Pen Building, 2nd Floor, Senapati Bapat Marg, Dadar (W),
Sd/-
Neil Mandevia
Advocate and Solicitor
SHASHIJIT INFRAPROJECTS LIMITED
Registered Office: Plot No. 209, Shop No. 23, 2nd Floor, Girnar Khushboo Plaza, GIDC, Vapl-396195, Gujarat, India
CIN: L45201GJ2007PLC052114
Mumbai - 400 028. CIN NO. L24110MH1973PLC016247
Extract of Standalone Un-Audited Financial Results for
the Quarter Ended on 30th June, 2021
Tel. No. 0260-2432963 W: www.shashijitinfraprojects.com E: [email protected]
UN-AUDITED STANDALONE FINANCIAL RESULTS FOR THE QUARTER ENDED JUNE 30, 202
Regulation 47(1) (b) of the SEBI (LODR) Regulations, 2015]
Amt in Lacs
IND Renewable Energy Limited
(Formerly Known as Vakharia Power Infrastructure Limited)
Regd. Office: 10 C, Comet Building, Gurunanak Road, Bandra West, Mumbai 400050
CIN: L40102MH2011PLC221715 Tel: (022) 66996817
Sr. Particulars Quarter ended Correspondin
Quarter ended
(Amount in Lakhs, except EPS Figure)
Year to date
Quarter Ended
Year Ended
SI.
No.
Particulars
30.06.2021 31.03.2021 30.06.2020 31.03.2021
Un-Audited
Un-Audited
Audited
Audited
Statement of Un-Audited Financial Results for the quarter
ended on 30th June, 2021.
(Rs. in Lakhs No. 01. Total Income from Operations (net) 31.12.2020
674.159
31.12.2019
181.547
ended
31.12.2020
1681.725
29739.24
Total Income from Operations
10662.64
10129,60
5243.96
Net Profit / (Loss) for the period (before Tax.
Particulars Standalone
Quarter Ended
02. Net Profit / (Loss) for the period
before Tax, Exceptional and/or Extraordinary item
$-0.650$ $-52.345$ $-17.602$
Exceptional and/or Extraordinary items)
306.70
213.37
112.20
723.23
Net Profit / (Loss) for the period before tax
723.23
after Exceptional and/or Extraordinary items )
306.70
213,37
112.20
30/06/2021
Total income from operations (net)
00.00
30/06/2020
31/03/2021
00.00
0.20
03.
04
Net Profit / (Loss) for the period before tax
(after Exceptional and/or Extraordinary items)
Net Profit / (Loss) for the period after tax
$-0.650$
3.334
$-52.345$
$-38.120$
$-17.602$
$-14.697$
Net Profit / (Loss) for the period after tax
(after Exceptional and/or Extraordinary items)
121.55
275.78
62.33
636.05
Net Profit/ (Loss) for the period
$-0.72$
(before Tax, Exceptional and/or
Extraordinary items)
$-0.27$
$-3.46$
05. after Exceptional and/or Extraordinary items)
Total Comprehensive income for the period
4.752 $-36.369$ $-12.257$
Total Comprehensive Income for the period
[Comprising Profit / (Loss) for the period(after tax)
Net Profit / (Loss) for the period
$-0.72$
before tax (after Exceptional and/or
Extraordinary Items
$-3.46$
$-0.27$
[Comprising Profit / (Loss) for the period (after tax) and
Other Comprehensive Income (after tax)]
Equity Share Capital (Face value of Rs. 10/-)
1034.40 1034.40 1034.40
121.55
275.90
636.17
and Other Comprehensive Income (after tax)]
62.33
Equity Share Capital
420
420
420
420
Reserves (excluding Revaluation Reserve)as shown
Net Profit / (Loss) for the period after
$-0.72$
tax (after Exceptional and/or
Extraordinary items )
$-3.46$
$-0.27$
06.
D7.
Reserves (excluding Revaluation Reserve) as shown in
the Audited Balance Sheet of the previous year
83.34
in the Audited Balance Sheet of the previous year
BB4.24
Earnings Per Share (of Rs. 10/- each)
Total Comprehensive income for the
$-0.72$
period [Comprising Profit/(Loss) for
the period (after tax) and other
$-3.46$
$-0.27$
08. Earnings Per Share (of Rs. 10/- each)
(for continuing and discontinued operations)
1 Rasic
0.03 $-0.37$ $-0.14$
(for continuing and discontinued operations) -
1. Basic: 2. Diluted:
2.89
6,57
1,48
15.14
Note:
Comprehensive Income (after tax)
Equity Share Capital
302.73
302.73
302.73
Note: 2.Diluted 0.03 $-0.37$ $-0.14$
a) 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 and Other Disclosure Requirements) Regulations
2015. The full format of the Quarterly/Annual Financial Results are available on the websites of the Stock
Reserves (excluding Revaluation
Reserves as shown in the Balance
٠
Sheet of previous year)
$\overline{\phantom{0}}$
$\overline{\phantom{a}}$
The above is an extracts of the detailed format of Financial Results filed with the Stock Exchange under Regulation 33 of the SEB
(LODR) Regulations, 2015. The said result has been reviewed by the Audit Committee and approved by the Board of Directors at their
meeting held on 14th August, 2021. The full format of the Quarterly Financial Results is available on the websites of the Stock Exchange.
Exchange(s) and the listed entity. (URL of the filings).
The impact on net profit / loss, total comprehensive income or any other relevant financial item(s) due to
Earnings Per Share (before
extraordinary items) (of Rs. 10/- each)
Basic:
i.e. www.bseindia.com and on the Company's website www.shashijitinfraprojects.com For and on behalf of the Board of
change(s) in accounting policies shall be disclosed by means of a footnote.
Exceptional and/or Extraordinary items adjusted in the Statement of Profit and Loss in accordance with Ind-
AS Rules / AS Rules, whichever is applicable.
Diluted
Earnings Per Share (after extra-
ordinary items) (of Rs. 10/- each)
$\overline{\phantom{a}}$ Place: Vapi Dated: 15th August, 2021 SHASHIJIT INFRAPROJECTS LIMITED
Sd
Ailt Jain
For Universal Starch Chem Allied Limited
Sd/-
Jitendrasinh J Rawal
Basic:
Diluted
Chairman & Managing Director
Place: Mumbai
Chairman & Managing Director
Date: 14.08.2021
DIN: 00235016
liote: The above is an extract of the detailed format of Financial Results filed with the
Stock Exchanges under Regulation 33 of the SEBI (Listing Obligations and Disclosure
Requirements) Regulations, 2015. The full format of the quarterly Financial Results
is available on the website of the Company i.e. www.indrenewable.com and the
Stock Exchange i.e. www.bseindia.com
(Formerly Known as Vakharia Power infrastructure Limited
For IND Renewable Energy Limited ATISHAY LIMITED
G.G.DANDEKAR MACHINE WORKS LTD
Registered Office: 211/A, MIDC, Butibori Industrial Area, Village Kinhi, Tal. Hingana, Dist. Nagpur-441122
Place: Mumbai
Date: 13-08-2021
Managing Director ATISHAY Regd. Office: 14-15, Khatau Building, 44 Bank Street , Fort, Mumbai (MH) - 400001
Head Office: Plot No. 36, Zone - 1, Maharana Pratap Nagar, Bhopal - 462011, Madhya Pradesh
Tel : 022 6666 6618, 0755 2558283 Fax: 0755 4229 195 Website: www.alishay.com
Tel.: (07103) 295109; E-mail: [email protected]; Website: www.ggdandekar.com; CIN: L99999MH1938PLC002869
Extract of Standalone and Consolidated Un-Audited Financial Results for the quarter ended 30th June, 2021
FORM B
PUBLIC ANNOUNCEMENT
STATEMENT OF UNAUDITED STANDALONE FINANCIAL RESULTS CIN NO: L70101MH2000PLC192613
(₹ in Lakhs except EPS)
Consolidated
SI.
Particulars
Standalone
(Regulation 12 of the Insolvency and Bankruptcy Board of India
(Liquidation Process) Regulations, 2016)
FOR THE ATTENTION OF THE STAKEHOLDERS OF
FOR THE QUARTER ENDED JUNE 30, 2021 [र in Lakhs except EPS]
No.
Quarter
Year
Quarter
Quarter
Year
Quarter
ended
ended
ended
ended
ended
ended
30.06.2021
31.03.2021
30.06.2020
30.06.2021
31.03.2021
30.06.2020
SHREE HANUMAN TEXFAB PRIVATE LIMITED
SUN PARTICULARS
DETAILS
Sr.
No
Particulars For the quarter ended
30-June-21 31-March-21 30-June-20
Unaudited
Audited
Unaudited For the year ended
31-March-21
Audited
(Audited)
(Audited)
(Unaudited
539.25
40.85
539.25
40.85
86.81
86.81
1. Total income from Operations
2. Net Profit/(Loss) for the period (before Tax.
(31.84)
(112.04)
(34.43)
(31.84)
(112.04)
(34.43)
Shree Hanuman Textab Private Limits
3. Authority under which corporate debtor 12 May 2008
3. Authority under which corporate debtor is Registrar of Compositer to
1. Name of corporate
$\mathbf{1}$
$\overline{2}$
Total revenue from operations
Net profit/(loss) for the period (before tax and
400.63
643.2
(48.97)
55.37
638.96
84.62
2628.21
351.51
Exceptional and/or Extraordinary Items)
3. Net Profit/(Loss) for the pariod before Tax
(31.84)
(112.04)
(34.43)
(31.84)
(112.04)
(34.43)
incorporate (registered
Corporate (dentity No. / Limited Liability U17121MH2009PTC192331
Identification No. of corporate debtor
Registered Office - 33 New Vora Building $\mathbf{3}$ exceptional items)
Net profit/(loss) for the period before tax (after
(48.97)
55.37
84.62 351.51
arter exceptional and/or extraordinary iter
(32.92)
(114.67)
(33.71)
(32.35)
7.57
(28.15)
Net Profit/(Loss) for the period after Tax
(after Exceptional and/or Extraordinary
mincipal office (if any) of corporat
oda Utstrict, Murri
debtor
Administrative Office - 5-A, Star Manor, 2nd
Floor, Anand Road Extension, Station Road,
Malad (West), Mumbai - 400054
$\overline{4}$ exceptional items)
Net profit/(loss) for the period after tax (after
exceptional items)
35.26
(43.79)
58.04 247.76
Items) (Consolidated includes share of
profit in associate company)
1,104.48
403.42
236.26
982.24
397.85
236.83
5.
Total Comprehensive Income for the period
6. Date of closure of Insolvency Resolution
04th August 202
Process
05th August 2021
Liquidation commencement date of
5 Total comprehensive income for the period
comprising profit / (loss) for the period (after
(42.18)
46.01
56.60 254.19
[Comprising Profit / (Loss) for the period
(after tax) and Other Comprehensive
Income (after tax)]
corporate debtor
Name and registration number of the
insolvency professional acting as
Reg No. -
(Order Received on 13 August 2021)
Ganash Venkata Siva Rama Krishna Reman
/PA-001/P-P01386/2018-19/12176
6 tax) and other comprehensive income (after tax)]
Paid up Equity Share Capital (Face Value of
र10/- per Equity Share)
1098.13
1098.13
1098.13 1098.13
47.61
47.61
47.61
47.61
47.61
47.61
B. Equity Share Capital
Reserves (excluding Revaluation Reserve)
3,877.71
4,001.05
Address and e-mail of the liquidator, as
302 Nahar Business Center Chandival
Mumbai 400072
registered with the Board
Email - [email protected]
Banesh Bemani
10. Address and e-mail to be used for
$\overline{7}$ Reserves (excluding revaluation reserve) as
shown in the audited balance sheet of the
NA
NA
NA 2576.14
as shown in the Audited Balance Sheet
8. Earnings Per Share (of ₹ 1/- each)
(Not annualized) -
dence with the liquidato
Mumbai 400072
c/o M/s NiteN Consulting and Contracting LLP
302 Nahar Business Center Chandivali
previous year
8 Earnings Per Share (of ₹ 10 each) (for continuing
and discontinued operations) -
(D.69)
(0.68)
0.16
(0.59)
I. Basic
(2.41)
(0.71)
2. Diluted:
(D.69)
(0.71)
(0.68)
0.16
(0.59)
(2.41)
Note:
[email protected]
11. Last date for submission of claims
11th September 2021
Notice is hereby given that the Honourable National Company Law Tribunal, Mumbal Bench
has ordered the commencement of liquidation of the Shree Hanuman Textab Private Limite
1. Basic
2. Diluted
The above is an extract of the detailed format of Quarterly and Yearly Financial Results filed with Stock Exchanges under
(0.40)
0.32
(0.40)
0.32
0.53
0.53
2.26
2.26
The above results have been reviewed and recommended by the Audit Committee and approved by the Board of Directors in their
(a)
respective meetings held on August 13, 2021.
The above is an extract of the detailed format of Quarterly Financial Results filed with the Stock Exchanges under Regulation 33 of
(b)
on 05th August 2021 (Order copy received on 13th August 2021)
The stakeholders of Shree Hanuman Textab Private Limited are hereby called upon to submi
their claims with proof on or before 11th September 2021, to the liquidator at the address
Regulation 33 of the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015. The full format of the
Quarterly and Yearly Financial Results is available on the Company's website www.atishay.com and Stock Exchanges'
the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015. The full format of the Quarterly Financial Results is
available on the website of the Stock Exchange at www.bseindia.com & at Company's website www.ggdandekar.com.
For and on Behalf of the Board
mentioned against item No.10.
The financial creditors shall submit their claims with proof by electronic means only. All other
stakeholders may submit the claims with the proof in person, by post or by electronic means
website www.bseindia.com. For and on behalf of Board of Atishay Limited
Sd/
Sd/-
Place : Pune
Mangesh S. Joshi
Submission of false or misleading proof of claims shall attract penalties
Name and signature of liquidator
Ganesh Venkata Siva Rama Krishna Remani Place: Bhopal Akhilesh Jain
Chairman & Managing Director
Executive Director (DIN: 07244555)
Oale: August 13, 2021
14th August 2021, Mumbai
Date and place:
Date: August 14, 2021 DIN No. 00039927
TRIOCHEM PRODUCTS LIMITED
CIN No.: L24249MH1972PLC15544, www.tricchemproducts.com
Off : Sambhava Chamber, 4th Floor, Sir P.M. Road, Fort, Mumbai - 400 001
ZEE LEARN LIMITED
EXTRACT OF STATEMENT OF UNAUDITED FINANCIAL RESULTS FOR THE QUARTER ENDED 30TH JUNE 2021
Rs. in Lakhr
Quarter
Quarter
Year
Quarter
CIN: L80301MH2010PLC198405
Sr.
No.
Ended Ended Ended Ended
30-Jun-21 31-Mar-21 30-Jun-20 31-Mar-21
Audited Unaudited Unaudited Audited
Particulars
JARN Regd. Office: Continental Building, 135, Dr. Annie Basant Road, Worli, Mumbai - 400018.
www.zeelearn.com Email: [email protected] Tel: 022 - 4034 3900
1 Total Income from operations
1,407.22
18.19
781.02
1.30
Net Profit / (Loss) for the period
(35.31)
(before Tax, Exceptional and / or Extraordinary items)
(15.21)
(6.04)
(58.11)
Statements of Standalone and Consolidated Unaudited Financial Results for the Quarter Ended 30 June 2021
Net Profit / (Loss) for the period before tax
(15.21)
(6.04)
(35.31)
(58.11)
after Exceptional and / or Extraordinary items
Net Profit / (Loss) for the period after tax
Standalone Consolidated (t in lakhs except EPS data)
(10.93)
(5.59)
(26.50)
[after Exceptional and / or Extraordinary items]
(44.70)
Total Comprehensive Income for the period
[Comprising Profit / (Loss) for the period (after tax)
Particulars Quarter ended Quarter ended
and other Comprehensive Income (after tax)]
(1.75)
1.36
0.09
6 Equity share capital (Face value Rs.10/- per share)
24.50
24.50
24.50
24,50
1.146.69
7 Other Equity
Total Income 38 June 2821
3,395.86
31 March 2021
2,943.00
30 June 2020
Unaudited
4.211.43
30 June 2021
7,420.50
31 March 2021
6,202.39
38 June 2020
Unaudited
9,263.75
Earnings per share (of Rs.10/- each)
(for continuing and discontinued operations)
(10.82)
(18.25)
(4.46)
(2.28)
a) Basic (not annualized)
(4.46)
(2.28)
(10.82)
b) Diluted (not annualized)
(18.25)
Net Profit/(loss) before Tax
Net Profit/(loss) after Tax
976.56
736.41
1,153.98
553.67
360.63
865.20
580.92
137.89
(1,526.08)
(2,696.51)
543.87
335.52
Notes: Other Comprehensive Income/(loss)
(including tax effect)
10.53 18.65
(3.36)
18.73 15.06 (12.23)
The three above unaudited framed are all to the Commany for the quarter instead June 10, 2021 have been reviewed by the
The United State of the Board and approved by the Board of Directors at its meeting held on 14.08.2021
Board of India (SEBI).
Total Comprehensive Income/(loss)
for the period
746.94 379.28
861.84
156.62 (2,681.45) 323.29
Board of India (SEBI), byte in M.S. 116
2011 - The Christian Schwarz (1998), All Christian Schwarz (1998), The effect of adoption of Ind AS 116
3) on the financial results is insignificant, the company operator (1998), t
Paid up Equity Share Capital
(face value ₹ 1 per share)
3,260.93 3,260.93 3,260.93 3.260.93 3.260.93 3,260.93
Earnings per share
(Not annualised for the interim period):
0.23 0.11
0.27
0.05 (0.46) 0.13
carrying amounts of property, plant & equipment, inventories, trade receivables, etc. For this purpose, the Company has considered internal and external sources of information up to the date of approval of the Financial Re - Basic $(3)$
- Diluted (₹)
0.23 0.11
0.27
0.05 (0.46) 0.13
considered intermal and experiments space of intermal on us to the distinguished method. The method is a company of our and experience of convertising and experiments and experiments are considered in the constraints. The Note:
1. The above results have been reviewed by the Audit Committee and approved by the Board of Directors at their meeting held on 13 August, 2021.
2 The above is an extract of the detailed format of Unaudited Financial Results filed by the Company with the Stock Exchanges under Regulation 33 of the
SEBI (Listing Obligations and Disclosure Requirements ) Regulations, 2015. The full format of the Unaudited Financial Results are available on the Stock
The Corresponding figures of the previous quarter / year have been regrouped, recasted and reclassified to make the
comparable visit and the same of the same of the same of the same of the Single of the Regulation 33 of the SEB
The slove is an extract of the detailed format of francial results fled with the Single Exchange under Regulat
Exchange websites (www.bseindia.com and www.nseindia.com) and also on the Company's website (www.zeelearn.com). For and on behalf of the Board of Directors
FOR TRIOCHEN PRODUCTS LIMITED Sd/
Place: Mumbal
Ritesh Handa
Date: 13 August, 2021
CEO & Director
8d/
RAMU S. DEORA
DIRECTOR & CEO
DIN : 00312369
Place : Mumbai
Dated: 14th August, 2021
DIN: 02725365

THE FREE PRESS JOURNAL WWW.iteepressjournalini MUMBAI | SUNDAY | AUGUST 15, 2021

$\mathbf{2}$

.
पुनित कमर्शियल्स लि. $\overline{\mathbf{s}}$ - जीआवश्यः प्रतन्तरं स्थापारं प्राप्ता ।
जोटणीः कार्यास्थाः पुरुष्कर्षाः स्थापार्थः प्राप्ता स्थापार्थः प्राप्तं प्राप्तः प्राप्तं प्राप्तः अपि जोटि-कुलां संकुलः
यदि पूर्वः पूर्वं पूर्वं प्रवन् २०००९१; विस्ता (सामानश्री) जीता. सार्वाचार मुझ्यम् २२२९, १९ देश, २९ स्त्रामा, पाता प्राप्त के प्राप्त के लिए कुमा के प्राप्त के स्थान के बाद करना है कि उनके स्थान करना की स्थान करना है कि स्थान करना की स्थान करना करना है कि स्थान करना करना करना कर :
भारण सभा ही सूचनेत नपुद केलेले कामकाव
प्राप्त बोर्ग बॉरे-कार्ग संकल वारे पर्व संबर्ध-उस क्या - कार्य किसी किसीमें ब्याविस्तानिक प्रसन्नवाल जैनसे मारण कराना करूंगा - कार्याचार कार्याचार करता है कि
अपने कार्य कार्य करने के बाद करना कर जा अनुसार को बाद को दिया, जा पर देना, बेज के बाद करना करना कर करना कर किय ्
पश्चालक मंडर
पुनित कमर्गिगा ठिकाण: मुंबई
हिनांक: १२ ऑगस्ट, २०२१ सिटी युनियन बँक लि. $(ao)$ | १९८१ - १९८१ - १९८९ - १९१३ - १९१३
| क्रांसट रिकदरी और मैं केवरेंट डियाटमेंट
| प्रशासकीय कार्यालय | इ.स. २४-सी, गांगी नगा,
| कुंबकोगन- (११००१, इंसेल आयदी: [email protected]
| फोन : ०४३५-२४३२३२२, फेंबस: ०४३५-२४३१३४९ CUB $\begin{tabular}{|c||c||c|} \hline \hline & & & & & & & & & & & & & & & & & & & & & & & & & & & & & & & & &$ $\begin{minipage}[t]{.4cm\hbox{\begin{minipage}[t]{.4cm\hbox{\scriptsize{ii}}} \hline \textbf{r}_1 & \textbf{r}_2 & \textbf{r}_3 & \textbf{r}_4 & \textbf{r}_5 & \textbf{r}_6 & \textbf{r}_6 & \textbf{r}_7 & \textbf{r}_7 & \textbf{r}_8 & \textbf{r}_8 & \textbf{r}_8 & \textbf{r}_8 & \textbf{r}_8 & \textbf{r}_9 & \textbf{r}_8 & \textbf{r}_9 & \textbf{r}_9 & \textbf{r}_9 & \textbf{r}_9 & \textbf{r}_9 & \textbf{r}_9 & \textbf{r$ APPENDIX- 16
[Under the Bye-laws No. 34] स्मार्थिक को जाता आहे जाना काम क्रमांक स्थान के अनुसार को आप की सामने की पास को साथ करने हुए मिला और साथ स्थान को साथ स्थान कर स्थान को साथ स्थान कर स्थान को साथ करना है कि स्वास्थ्य को साथ करना कर स्थान कर स्थान कर स्था सार्वजनिक सुचना [Under the Bye-laws No. 34]
MR. ARUN GANPAT SAWANT a member of the SC and MR Core
PRIJSHALI SHILP Co-operative Housing Scorely
Ltd. having address at Chikuwadi, Shimpol,
Borival West, Mumbai-400092, and holding Fith
No.E-1 Was 11, 1 in France and the studient material of the studient studient of the studient material of the studient of the studient of the studient of the studient of the studient of the studient of the studient and the studi

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Place: Thane
Date: 15-08-2021

PUBLIC NOTICE

PUBLIC POINT CONTRACT CONTRACT CONTRACT CONTRACT CONTRACT CONTRACT CONTRACT CONTRACT CONTRACT CONTRACT CONTRACT CONTRACT CONTRACT CONTRACT CONTRACT CONTRACT CONTRACT CONTRACT CONTRACT CONTRACT CONTRACT CONTRACT CONTRACT

om be consideration as waived

Mar. Ramesh Pandey

Office no. C22, Ground Ploor

Chice no. C20

Kanchen Smruti Building,

Beside Oxford School, Thakur Village,

Marchivelli (E), Mumbei-101

Marchivelli (E), Mumbei-101

Mar Date: 15/08/2021

Statement of Standalone unaudited Financial Results for the quarter ended 30/06/2021
Particulars ended on
(30/06/2021)
Three months Three months
ended on
(30/06/2020)
Year ended
(31/03/2021)
(Refer Notes Below) (Unaudited) (Unaudited) (Audited)
Total income from operations (net) 12.77 13.44 60.66
Net Profit / (Loss) for the period (before Tax, Exceptional
and/or Extraordinary Items)
(4.05) 3.00 7.47
Net Profit / (Loss) for the period (before Tax) after Exceptional
and/or Extraordinary Items)
(4.05) 3.00 7.47
Net Profit / (Loss) for the period (after Tax) after Exceptional
and/or Extraordinary Items)
(3.90) 2.98 (83.69)
Total Comprehensive Income for the period
(comprising Profit/(Loss) for the period (after tax) and other
comprehensive income (after tax)
(3.90) 2.98 (83, 69)
Equity Share Capital
(Face Value of the Share Rs 10/- Each)
100.00 100.00 100.00
Reserve excluding Revaluation Reserves as per balance sheet
of previous accounting year
٠ ٠ 433.05
Earnings per share (of Rs. 10 /- each)
(For continuing and discontinued operations)
Basic
(B)
١b
Dilluted
(0.39)
(0.39)
0.30
0.30
(8.37)
(8.37)
1). The above is an extract of detailed format of quarterly results for the quarter ended 30.06.2021 filed with Stock Exchange
under regulation - 33 of the SEBI (Listing and Other Disclosure Requirements) Regulations 2015.
Quarterly/Annual Financial Results is available on the Stock Exchange website www.bseindia.com and on the company's
website, www.shikharleasingandtrading.in
2). The Previous period's figures have been regrouped, rearranged, restated and reclassified wherever necessary.
3). The above unaudited financial results for the year ended 30.06.2021 along with Limited Review Report by Statutory Auditors
were taken on record by the Board of Directors at its meeting held on 14.08.2021.
4). This statement is as per Regulation 33 of the SEBI (Listing Obligations and Disclosure Requirements) Regulations. 2015.
FOR SHIKHAR LEASING & TRADING LMITED
sd/-
SUNIL HIRJI SHAH
DIRECTOR
Sr.
No.
Particulars Quarter
Ended
June 30.
2021
Quarter
Ended
March 31.
2021
Quarter
Ended
June 30.
2020
Year
Ended
March 31.
2021
(Un-audited) (Audited) (Un-audited) (Audited)
Total Income from Operations 53.137.39 65.467.02 15,307.67 1,72,288.83
$\overline{2}$ Net Profit /(Loss) for the period
(before Tax, Exceptional and/or
Extraordinary items)
1.494.77 2,160.89 (110.58) 5,154.65
$\overline{\mathbf{3}}$ Net Profit/(Loss) for the period
(before Tax, after Exceptional and/or
Extraordinary items)
1,494.77 2.160.89 (110.58) 5,154.65
$\overline{4}$ Net Profit/(Loss) for the period
(after Tax, after Exceptional and/or
Extraordinary items)
1.157.75 1.669.06 (99.97) 3,931.00
5 1 Total Comprehensive income for the
period [Comprising Profit for the
period (after tax) and Other
Comprehensive Income(after tax))
1,157.75 1,756.15 (99.97) 4,018.09
6 Equity Share Capital 1,156.36 1,156.36 1,156.36 1.156.36
Reserves excluding Revaluation
Reserves as per Balance Sheet
30,448.72
$\overline{\mathbf{8}}$ Earning per Share (before
Extraordinary Items) of Rs. 5/- each
(quarterly not annualised)
5.01 7.22 (0.43) 17.00
$\overline{9}$ Earning per Share (after
Extraordinary Items) of Rs. 5/- each
(quarterly not annualised)
5.01 7.22 (0.43) 17.00
  • $[1,104,100] \text{ 1.01.02.02.03.04.05.07.06.07.07.08.07.08.07.07.08.07.08.07.09.07.09.07.09.07.09.07.09.07.09.07.09.07.09.07.09.07.09.07.09.07.09.09.09.09.09.09.09.09.09.09.09.09.09.$
  • By order of the Board
    Milan M. Mehta
    Managing Director
    DIN : 00003624

Place: Mumbai
Date: 14" August, 2021

TRIOCHEM PRODUCTS LIMITED Regd. Off: Sambhava Chamber, 4th Floor, St P.M. Road, Fort, Mumbai - 400 001.
EXTRACT OF STATEMENT OF UNAUDITED FINANCIAL RESULTS FOR THE QUARTER ENDED 30TH JUNE 2021

l Sr. Particulars Quarter
Ended
Quarter
Ended
Quarter
Ended
.
Year
Ended
31-Mar-21
INo. $30 - \frac{1}{21}$ 31-Mar-21 $30 - Jun - 20$
Audited Unaudited Unaudited Audited
Total Income from operations 18.19 781.02 1,30 1.407.22
12 Net Profit / (Loss) for the period
(before Tax, Exceptional and / or Extraordinary items) (15.21) (6.04) (35.31) (58.11)
13 Net Profit / (Loss) for the period before tax
(after Exceptional and / or Extraordinary items) (15.21) (6.04) (35.31) (58.11)
4 Net Profit / (Loss) for the period after tax
(after Exceptional and / or Extraordinary items) (10.93) (5.59) (26.50) (44.70)
5 Total Comprehensive Income for the period
[Comprising Profit / (Loss) for the period (after tax)
and other Comprehensive Income (after tax)] 1.26 (1.36) 0.09 (1.75)
l6 Equity share capital (Face value Rs.10/- per share) 24.50 24.50 24.50 24.50
Other Equity 1.146.69
lв. Earnings per share (of Rs.10/- each).
(for continuing and discontinued operations)
a) Basic (not annualized) (4.46) (2.28) (10.82) (18.25)
b) Diluted (not annualized) (4.46) (2.28) (10.82) (18.25)
Notes:
l 1) The above unaudited financial results of the Company for the quarter ended June 30, 2021 have been reviewed by th
Audit committee of the Board and approved by the Board of Directors at its meeting held on 14.08.2021.
2) The Unaudited financial results have been prepared in accordance with Indian Accounting Standards (Ind AS), th
provisions of the Companies Act 2013 (the Act), as applicable and guidelines issued by the Securities and Exchang
Board of India (SEBI).
3) The company has adopted Ind AS 116 effective period beginning from April 01, 2019. The effect of adoption of Ind AS 11
on the financial results is insignificant.
4) The Company operates in single segment only, i.e. chemical and pharmaceuticals; therefore, disclosure requirement of
Indian Accounting Standard (INDAS-108) "Segment Reporting" is not applicable.

The figure is consider a field STM March, 2022 far the ballering figures between suspense to use our series on the state of the figures of the state of the state of the state of the state of the state of the state of the

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Bd/-
RAMU S. DEORA
DIRECTOR & CEO
DIN: 00312359 Place : Mumbal
|Dated: 14th August, 2021

LARAFAN "41 (114 G) लाभ कुन्टहें स्टेम्बर्ट के पैण्ड के लिए निर्मित को प्रति निर्मित है।
1978 मार्गे कर स्वास्थ्य के अपनीति कार्यालय अंतर है का महत्व किया है कि स्वास्थ्य को बोर से बाद - see and the
1978 मार्गे के लिए चोलामंडलम इन्व्हेस्टमेंट ॲण्ड फायनान्स कंपनी लिमिटेड

ले संविधान भागा करने का अपनी को साथ करने की साथ स्थान कर की संविधान करने हैं।
अपनी स्थान कर करने कर से साथ कर कर स्थान कर कर से साथ करने बचाने कर से का स्थान कर कर स्थान कर कर स्थान कर स्थ
- अपनी पदा कर स्थान कर कर स्थान ००
८. साईन फ्र. १, न्याय नगर,
रिसर, औरंगाबाद, औरंगाबाद ,
प्राधिकृत अधिकारी
चोलामंडलम इन्व्हेस्टमेंट ॲंग्ड फायनान्स कंपनी लिमिटेड

१५.०८.२०२१
महाराष्ट्र

युको बैक
(भारत स
रकार का उपकम) UCO BANK
(A Govt. of India Undertaking)
सम्मान आपके विश्वास का Honours Your Trust
यको वेंक, मंवई क्षेत्रिय कार्यालय, युको चेंक विल्डिंग, पहिला मजला, ३५९. डॉ. डी.एन. रोड, फोर्ट, मुंबई- ४०००००१.
जाहीर लिलाच सचना
इं-लिलावाची तारीख~ ०३-सप्टेंबर~२०२१
आहे'' बँकेच्या नावे जंगमगहाण पुर्नकरूजा घेतलेल्या वाहनांच्या विक्रीकरिता ई-लिलाव विक्री सूचना
सर्वसामान्य जनता आणि विषेशत: कर्जदार आणि हमीदार यांना सूचना यादारे देण्यात येते की, खालील वर्णिलेली वाहने ही युको बैंकेच्या कब्जात आहेत,
ती खालील कर्जदार/हमीदार बांचेकडून बुको बँकेला धकीत रकमेच्या वसुलीसाठी ०३-सप्टेंबर-२०२१ रोजी ''जेबे आहे जसे आहे '', ''जे आहे जेबे
M.
事.
शाखा आणि कर्जदाराचे
নাৰ
तत्त्वाने विकण्यात येणार आहेत. राखीव किंमत आणि इसारा अनामत रक्कम खालील कोष्टकात नमुट केलेली आहे
वाइनाचा तपशिल
राखीब किंमत आणि
इसारा रक्कम
संपर्क स्पन्नी
ŧ. चेंब्? कॉलनी
मे. तुकाराम ट्रॅन्डन्स
मेक आणि मॉडेल: फोर्स टॅव्हलर्स सीआर-व्होर ६
नोंदणी क्र. : एमएच ०३एन९३७३
निर्मिती वर्ष: २०१४
5, 7, 00, 700, 00
5, 70, 000, 00
त्री, अमित कुमार
मी. ९८६०३४३८४९
٩. परवेल
श्री स्त्रामी समर्थ टॅब्हल्स
मेक आणि महिल: आयशर पब्लिक बस १०.७५ एसटीआर
11
नोंदणी क्र.: एमएच-४६जे-०४७९
निर्मिती बर्ष: २०१२
8, 7, 38, 000, 00
8, 28, 800, 00
श्री. उत्सव आनंद शाह
3.494499898
١. ठाले पश्चिम
फ्रेन्डम् टूर्स ऑण्ड ट्रॅव्हल्स
मेक आणि महिल: हंडाई एस्सेंट ब्लीटीव्हीटी बीएस-IV
नोंदणी क्र.: एमएच-०४-एचएन-४५९९
निर्मिती वर्ष: २०१९
5, 8, 04, 800, 00
8. 20,500,00
धी. मूपेंट्र कुमार सिंग
350035000
अप्रे
उपलब्ध आहे.
राहणार नाही.
करणे आवश्यक आहे. विक्री सूचनेत नमूर इसारा अनामत रक्कम (इअर) ही वरील नमूर इअरशी संबंधित मुंबई येथे देव 'चुको बँक' च्या नावे डिमांड
डाफ्ट/बॅकर्स चेकसह ०२.०९.२०२१ रोजी किंवा पूर्वी द. ४.०० वा. पर्वत शाखा मुख्य यांचेकडे मोहोरवंट लिफान्यातून जमा करणे आवश्यक
३. लिकास्थावर फक्त बोलीदारांच्या प्राधिकृत व्यक्तीची सही आणि ।) नाव, ii) पत्ता, iii) वैध ईमेल आयडी आणि संपर्क क्र. (ई-लिलाव वेबसाईटवर
नोंटणीकत) (v) केवायसी टस्तावेजाच्या योग्य माहितीसह ई-लिलाय खाते करिता इअर (खात्याचे नाव) उखकपणे लिहिणे आवश्यक आहे.
४. इअर रक्कम ही मुंबई मेथे देव 'मुको बँकेच्या' नावे काढलेल्या बँकर्स चेक/हिमांड इाफ्टमार्फत चुकती करणे आचश्यक आहे.
५. बाहन आगाऊ बेळ उरवून ०२.०९.२०२०१ रोजी किंवा पूर्वी कोणत्याही कामकाताच्या दिवशी कामकाजाच्या बेळेत इच्छुक बोलीदारांना निरिक्षणासाठी
९. . येक लिलाव केलेल्या पाहनांच्या संटर्भातील कोणतेही प्रभार, भार, कर किंवा कोणतीह अन्य शासकीय किंवा कोणाचीही धकबाकी यासाठी जवाबदार
मूचन आहे.
आणि शर्ती विनामस्य डाऊनलोड करू शकतात.
७. मदर त्यांची बकबाकी संपूर्ण वकवाकी चुकती न केल्यास बरोल नमूद तारखेस लिलाब विक्री करण्याबाबत बरीस दर कवांचे कर्जदार/इमीदार यांना सुद्धा
८. ई-सिलाब चे इच्छुक सहभागी ई-लिलाबात सहभागी होण्यासाठी www.bankeauclionwizard.com बरून बिक्री सूचना आणि ई-लिलाबाच्या अटी
९. प्रथम इच्छुक बोलीदार खरेदीदारांनी वरील उल्लेखित ई-लिलावात सहभागी डोण्यासाठी ऑनलाईन नोंदणीकरिता ई-लिलाव बेबसाईट www.bankesuc-
tionwizard.com ला भेर द्यानी. दस्ताबेज डाऊनलोड करण्यासाठी बुजर आयडी आणि पासवर्ड तबार करण्यासाठी बोलीदार बरील दिलेल्या
तपशिलानग्रार मे. अंतरेस सिस्टास लिमिटेड यांना संपर्क करू शकतात.
पैन/टॅन कार्ड इ. सुद्धा सादर करणे आवश्यक आहे. १०. ई-लिलावात सहभागी होणाऱ्या सर्व व्यक्तींनी इअर जमा करतेबेळी त्यांची ओळख, निवास, प्राधिकाराचा पुरेसा आणि स्वीकृती योग्य पुरावा आणि
११. मशस्वी बोलीदाराचे त्वरित (०४.०९.२०२१ पर्यंत) जमा केलेली इअर वजा करून बोली रकमेच्या २५% (पंचवीस टके) जमा करणे आणि उर्वरित रक्कम
लिलावाच्या तारखेपासून १५ दिवसांत जमा फरणे आवश्यक आहे. विहित वेळेत रक्कम जमा काण्यास कसूर केल्यास जमा केलेली रक्कम शाखा मुख्य
जप्त करतील, आणि शाखा मुख्य यांना लिलाव रद्द करण्याचे आणि नवीन लिलाव घेण्याचे स्वाठंत्र आहे.
नदे. १२. संपूर्ण विक्री मोबदला प्राप्त झाल्यावर जाखा मुख्य हे रुल्स नुसार विक्री प्रमाणपत्र जारी करतील.
१३. काही असल्यास मुट्टांक शुरूक विक्री प्रमाणपत्र/अभिहस्तांतरणांची मोंदणीशी संबंधित सर्व खर्च वशस्वी बोलीदाराने करायचा आहे.
१४. कोणत्वाही प्रशासकीय आवश्यकतेमुळे ई=लिलाव भी तारीख आणि बेळेमगील आवश्यक बदल हा सेवा पुरबठादारांकडे त्यांनी दिलेल्या/नॉटविलेल्या
मोबाईल नंबर/ईमेल पत्त्यावर एसएमएस मार्फत किंवा नोंटणीकृत इंमेल पत्त्यावर सेवा पुरचठादारांद्वारे कळविष्यांत चेईल.
१५. शाखा मुख्य यांना कोणवेही कारण न देता कोणतीही बोली स्वीकारणे किंवा नाकारणे किंवा विक्री तहकुब/पुढे ढकलणे/ रर करण्याचा सर्वस्वी हक आहे.
बाबी गेंट घ्यावी की. सदर सूचना ही वाहनांच्या विक्रीसाठी बँकेच्य बतीने कोणतेही आश्वासन किंवा अभिवेदन मानव्यात येऊ नये किंवा तसा अर्थ काढू
१६. वरील मिळकर्त/मत्ता 'जे आहे जेथे आहे तत्वाने', 'जे आहे जसे आहे तत्वाने, आणि जे काही आहे तेथे आहे तत्वाने' विकण्पात पतील इच्छुक
बोलीटागने लिलाव करावयाच्या वाडनाच्या संटर्भातील कोणतीही सांविधिक दावित्वे, धारणाधिकार, भार, कर किंवा शासकीय किंवा कोणाचीही
कोगतीही अन्य बकबाकीची संदर्भात त्यांच स्वतःची चौकशी करणे आवश्यक आहे.
१७. वरील परिशिष्टात नमूद केलेले तपशिल हे शाखा मुख्य आणि/किंवा बँकेच्या योग्य माहितीनुसार नमूद केलेले आहे. ते सदर जाहीर सूचनेतील कोणतीही
चुका चुकीचे विवरण किंवा बगळणे यासाठी उत्तरदायी राष्ट्रणार गाहीत.
१८. कृपया बोली वाडविष्याची रक्कम रु. ५,०००.०० (रुपये पाच हजार मात्र) विचारात घ्यावी.

.
रम्स लिमिटेड, बंगळुरु यांना संपर्क कर
................................... -कृषया वाला नाडांवच्याचा रक्कम रु. ५,०००.०० (रूपच पाच हवार मात्र) त्वचारात ध्यांना.
:ई-विल्लासको संबंधित कोजन्याही चौकसीवरीत. इच्छुक बोलीदार सेसा पुरखटाटर, मै. अंदरास सिस्टम्स लिगिटेड, बंगर
:संदर्क :ब्ल्ली: औ. ग्लोहर एस., $\frac{1}{2}$

प्रेय व्यवस्थापक
नय, फोर्ट, मुंबई

$\frac{1}{2}$

दिनांकः १३.०८.२०२१
ठिकाणः मंबर्ग

.
मुकेश बाबू फायनान्शिअल सर्व्हिसेस लिमिटेड

$\begin{array}{cccccccccccccc} \textbf{1} & \textbf{2} & \textbf{3} & \textbf{4} & \textbf{5} & \textbf{6} & \textbf{7} & \textbf{8} & \textbf{8} & \textbf{9} & \textbf{10} & \textbf{10} & \textbf{10} & \textbf{10} & \textbf{10} & \textbf{10} & \textbf{10} & \textbf{10} & \textbf{10} & \textbf{10} & \textbf{10} & \textbf{10} & \textbf{10} & \textbf{10} & \textbf{10} & \textbf{10} & \textbf{10} & \textbf{$

३०.०६.२०२१ रोजी संपलेली तिमाहीकरिता अलेखापरिक्षित अलिप्त आणि एकत्रित वित्तीय निष्कर्ष (रु. लाखात) .
सम्रथित .
संपलेली तिमाही संपलेली तिमाही संपलेले वर्ष संपलेले वर्ष संघलना समाज । समाज पर स्थान के स्थान में स्थान मानवाद्य ।
२००६,२०११ २०१००६,२०११ २००६,२०११ २००६,२०११ २००६,२०१२ २००६,२०११ २०६,२०२१ २०६,२०१२ २०६,२०१२ २०६,२०१२ २०६,२०१२ २०
असेख्यपरस्थित लोकापरिक्षित अन्येख्यपरिक्षित अनेख्यपर १ प्रवर्तनातून उत्पन्न आणि इतर उत्पन्न

कालावधीसाठी
(कर,
नका
आणि/किया
अपवादात्मक
95.355 (96.439) 90.89 474, 815 230.60 (69.395) 96.909 90.998.9
अनन्वसाधारण वाबीपूर्वी)
करपूर्व परंतु अपवादात्मक
आणि /किंवा अनन्यसाधारण
998.38 (98, 929) 58.08 424.86 230.00 (89.358) 96.909 50.333.3
बाबीनंतर निव्वळ नफा
आणि
करोत्तर
अपवादात्मक
आणि/किंवा
अनन्यसाधारण
बाबीनंतर निब्बळ नफा
88.505 $(x_3, \circ x_5)$ 50.07 85Y.79 96,96.9 $(Y_0, 45)$ 50.588 8, 340, 76
इतर सर्वसमावेशक उत्पन्न, करांच्या
निब्बळ
12.808 95.385.3 9,899.99 8,808,80 9,990.89 90.388, 9 10.9905 99.989.8
करोत्तर एकूण सर्वसमायेशक उत्पन्न 39.930.9 99.49 90.038.8 24.453.8 49.893, 84 8,304,43 e/e.989.5 39.89.8
समभाग भांडवल 10.393 59.393 59.398 10.393 10.393 695.99 49.398 595.393
पुनर्मुल्यांकित राखीव वगळून राखीव - $\qquad \qquad$ ۰ 93.543.5 ۰ ۰ 99.488.04
प्रति भाग प्राप्ती
(प्रत्येकी रु. १०/– चे दर्शनी मूल्य)
ए) मूलभूत 7.88 (3.8) 0.910 4.73 9.49 (3, 4, 0) 9.07 UE.95
$+1$ $\mathbf{B}$ and $\mathbf{B}$ $10 - 10$ ALL $\cdots$ $\sim$ $\sim$ $\sim$ $1 - 1 - 1$ $\sim$ RA 51-1

दिया .
कंपनी १ एप्रिस, २०१९ पासून कंपनीय (इंडियन अकाऊंटिंग स्टेडईस) फरम, २०१५ सहवाडत कंपनी अधिनियम, २०१३ (अधिनियम) च्या कलम १३३ अंतर्गत
अधिमुचित इंडियन अकाऊंटीग स्टेडर्ड (इंड एएस) या अमले केला न अप्रा संक्रमण को आग्रेज केला १९ मार्गत जीएएरी) मांपेपाहर केलं आहे.
जीवा निफर्जाचे अंशापरिक समिती पुर्ताबिलेकन केले हे ११/०८/२०२१ रोजी झालेला संचालन मंडळाच्या देखीत मंतू केले आणि
लेखापरिकर्ताले अंशा विदिश लेखापरीका अभियान दिले आहेत.
जीवायांकवांनी अनुसंधा

पुकेश वायू कोश्या सर्विदेश सिमिटेड करिया आणि काम सर्वम्
- 'सेशि
बार्क्या कोश्या काम कर
कंशश्यान के परिमानका कर

ठिकाण: मुखई विनांक: १३.०८.२०२९