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Triochem Products Ltd. Interim / Quarterly Report 2021

Nov 18, 2021

63375_rns_2021-11-18_2b968907-0cc6-40b4-9141-a7005001431e.pdf

Interim / Quarterly Report

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TRIOCHEM PRODUCTS LIMITED

MANUFACTURERS O F ETHICAL PIIARMACEUTICAI, PROD UCTS Registered Office: 4th Floor, Sambava Chambers, Sir. P. M. Road, Fort, Munbal, Mcharashtra, PIN: 400001. Telephone 00 91 (22) 2266 3150 ErEiTERifi[IiE Fax: cO 91 (22) 2202 4657 Email: [email protected] Website: www.triochemoroducts.com Coaporate Identity Number: L24249MH1972PLC015544

Ref No: TPL PP 2021938 2021; 15th November 2021

To BSE Limited Corporate Relationship Department, Phiroze ]eejeebhoy Towers, Dalal Street, Fort`MunLhaJ:400001. Securitv Code No. 512101 -ISIN No.: INE331E01013.

Dear Sir / Madam,

Sub: Intimation under Reoulation 47 of SEBI Listing fl0DRI Reoulations. 2015

In compliance to Regulation 47 of SEBI ¢ODR) Regulation, 2015; we are enclosing herewith extract of newapaper copy of Unaudited Financial Results for the quarter and half ended 30th September 2021; published in Navshakti & Free Press ]ournal on 14tb November 2021, which was duly approved by the Board in its meeting on Saturday lath November 2021. -I-

This is for your kind infomation. Thandngyou, your faithfutry, For TRIOCIIEM PRODUCTS IIMITED

ENq=RA DIRECTOR DIN: 00312369 End.: as above

२० नव ●शक्ति |मुंबई, रविवार, १४ नोव्हेंबर २०२१

evius: fv. ff. to tt प्राधिकत अधिकारी
देकाण : मंचई एल अत्याती इंग्लॉमिंग फायलामा लिमिटेर
नी, कार्यालय : लटाम डाऊम, सी-३३, आयटीआय समोर, वागळे इंडस्टीयल इस्टेट, ठागे (प) - ४००६०४. द.क्र. ०२२-७११९१०००
३० सप्टेंबर, २०२१ रोजी संपलेल्या अलिप्त आणि एकत्रित अलेखापरीक्षित वित्तीय निष्कर्षाचे विवरण
सीआयण्य : एल्स्ट५९९० एमएस१९७९पीयलसी०२१९२३
गिल आयडी : [email protected], नेपसाईट : www.ladamaffordablehousing.com
(सेवी (एलओडीआर) रेग्य्लेशन्स, २०१५ चे रेग्य्लेशन ४७(१) (वी)
减.
冨.
तपत्रील रोजी संपन्नेल्या
तिमाडीमाडी
अस्मिम
संपलेल्या मागील
वर्षांची आकडेवारी
३० सप्टेंबर २०२१ ३१/०३/२०२१ रोजी ३०/०९/२०२० रोजी ३० सप्टेंबर २०२१ ३१/०३/२०२१ रोजी
मागील वर्षात संपलेले
संलम्ब 1 महिले
रोजी संपलेल्या
विमारीमाठी
एकत्रित
संपत्तेस्या मानील
पर्षांची आकडेवारी
रक्कम लाखात
$30/0$ $7/20$ $20$ $\text{th}$
मानील पर्यात संपलेलं
संख्यान 3 महिले
(अलेखापरीक्षित) (लेखापरीक्षित) (अलेखापरीक्षित) (अमेम्ब्रापरीतिज) (लेखापरीक्षित) (अलेखापरीक्षित)
۲ प्रवर्तनातुन एकुण उत्पन्न 1.34 2.35 13.03 19.99 13.58x 7x,57
$\ddot{\phantom{a}}$ कालाबधीमाठी विव्यक्त कार/(तोटा) (का. अपनाशनक
आणि किंवा अनन्यसाधारण बाबीएर्ड #)
$-1.99$ $-11.42$ 4.01 $-4.14$ $-1.17$ 22.51
× बालावयोंसाडी करएवं निजन रूप्र/(तीरा)
(अपनाशायक आणि/फिन्ना अनन्यसंख्यास्य नार्योजेतार्ड)
$-5.193$ $-33.17$ 6.48 $-5.54$ $-3.87$ 22.52
Y. कालावधीमाठी करोला विध्वत रफा / (तोरा)
(अपवारात्मक आणि/किंवा अनन्वमाधारण वाबीनत्था)
$-5.94$ $52.66 -$ 6.48 $43.4-$ $-12.32 -$ 13.53
v. कालावधीसाठी एकम सर्वसमावेशक उत्पन्न
(कालावधीमाजी नका / (तोटा) (करोला) आणि इतर
सर्वप्रणावेशक उत्पन्न (कांग्रेसा धसन)
$57.3-$ 25.78 35.37 $90.4 -$ $YZ$ , UKB TC, C
×. man viras 98.33 114.22 884.73 33.33 914.73 184.23
$\blacksquare$ मानील क्योंच्या लेखापरीक्षित ताळेबंदात दाखव-वादसार
राश्चीय (पुनम्-वॉकिट राखीय बगड्न)
$1 - 3 - 7$ . 35.513.3
ë प्रति भाग प्राप्नी (प्रत्येकी ब. ५/- चे (अखंडित न खंडीत
कायकाशासाठी
मसम्बर
गोमिकत :
$(, *)$
(a, iY)
(35.0)
(59.9)
0.08
0.98
$(, *)$
(e, e)
(e, st)
(0, 0.5)
8.85
7.01

च आग चरायातीन बदलांमुळे रिखक नका तोटा, एकुण सर्वसपायेलक उत्पन्न किंवा अन्य कोणत्यारी संवीधन वार्योवरील परिणाम तख्यमेल आकर्षणा कळवल
सी) #-अपचारात्मक आणि/किंवा अनन्यसध्याल वादी प्रयोज असेल त्याप्रयाणे इंड-एएस स्नम/एएस स्क

दिनांक: १२ नोव्हेंबर, २०२१
डिकाण : डायो

सुमेरा अगर
संचा .
पएन : ee}Pho&I

एक्सेल इंडस्ट्रीज लिमिटेड
सीआचएन : एत २४२००एमएच१९६०पीएलसी०११८०७
नोंदणीकृत आणि मुख्य कार्यालय : १८४-८७, एस. नही. रोड, जोगेस्थरी (पश्चिम), मुंबई-४०० १०२.
कोम: + ९१-२२-६६४९-४२००, ई-मेल : [email protected], चेयसाईट : http://www.encelnd.co.in
३० मध्येय २०२१ राजी मधलेली तिमाही आणि अर्थ वर्षांकरिता अलेखापार्गशत एकत्रित वित्तीय निष्कर्षाचे विवरण
(8.1970979)
u. $3 + \sqrt{3} + 1$ . संपर्शनी तिमारी
$3 - 9(4)$
he arches. संयमेमे अर्थ वर्ष
3+ मप्टेंबर,
संचमोने वर्ष
at und.
×. ਸ਼ਧਾਲਿਕ 9.58 $2 + 2 +$ 2420 Fa 32 ३० मध्येमा.
Bala
2024
अमेखापरिधित अलेखायरिक्षित अलेखायरिक्रित अलेखायरिक्रित अलेखायरिक्रित लेखापरिक्रित
٠ प्रशासन एकम अथन $23, -22, +1$ 38,000.00 to, but.55 VE. 268.04 31.090.48 WC.tVE.Ex
¥ सर्वसाधारण कामकाजाहर विश्वस्थ क्या (यर आणि अपवादात्मक वाबीएवं) 13.989.5 9.0147.88 2,229.91 4.884.08 9.355.8 to, aca, tis
٠ कर्माने प्रावेशावरण कानकावाल विषया रूपा (अपवादात्मक वाकीपण्यात) 73.709.5 95.505.9 9,999.98 4.884.08 34.331.1 20,050.20
¥ करोत्तर कालावधीकरिता विध्वज्ञ रखा (अपवाटायक वादीपत्रपत) e7.15e.3 8.888.48 1,111.73 3.645.51 F E.SY.S 9.305.9
$\mathbf{u}$ कानावधीकील एकम सर्वस्थापेशन अन्यन (कानावधीकील क्या/(तीरा) (कापक्या)
आणि इतः सर्वजनावेशनः उत्पन्न (बहचण्यात) समाजित् )
73.335.23 K.CIPLING 75.11.6 40.628.68 88.399.89 90.980.98
x भरणा झालेले समजाग भांडकार (दर्शनी मूल्य म. ५/ - प्रती समभाग) 44.353 876.53 89.383 176.43 49.353 67.358
$\blacksquare$ प्रति भाग प्राप्ती 8, त. (प्रत्येकी 8, ५/– भे दर्शनी मन्य) (अवार्षिकीकृत)
मलमत आणि प्रोमिकत
13.57 Early 13.77 30.66 11.25 46.44
३० सप्टेंडर २०२१ रोजी संपलेली तिमाडी आणि अर्थ क्यांकरिता अलेखापरिश्रित अलिप विभोध विष्कर्षाचे विद्याणा
(S. WINTH)
संपलेली विमाडी संयमों अर्थ वर्ष संपलेले वर्ष
耳.
ĸ.
ਭਦਸੀਸ 1+ सप्टेंबर. $3 + 22$ .
3804
be सप्टेंबर.
$3 + 3 =$
1- union .
$8 + 58$
३० मध्येका.
2020
11 HW.
2022
Pa 9 ? लेखापरिश्रित
अलेखापरिहित अलेखापरिहित अलेखापरिहित अलेखापरिहित अलेखापरिहित 30.050.36
٠ प्रवर्तनात् एकम उत्पन्न 23,027,02 83.855.48 tc. Yor. It 14.835.88 92.777.70
ä प्रबंधानाम कमबाजात निव्हत रका (का आणि अपवाराम्यक वाबीएवं) 9.836.47 2.013.5 3, 8, 64, 29, 1.627.11 1.75x.76 5.544.76
ı कार्ड्स सर्वमाधाला कामकावाहर विभाज रूस (अपवाटात्मक बाबीपाचात) 82.383.5 30.783.5 75.12.5 $Y, \mathcal{L} \oplus \mathcal{L} \oplus$ 3,76x,84 25.94.7
۷ करोत्ता कालावधीकरिता विस्थळ रचा (अपनाटात्यक वाबीयस्थान) $55.6 + 3.3$ 2.234.12 9.634.02 10.350.1 45.537.5 0.076.94
$\mathbf{r}_\mathrm{t}$ बालावधीकील एका सर्वसमारेशक अन्यन (कालावधीकील जहा/(शेश) (कायण्यात)
आणि इतर सर्वसमावेत्तक उत्पन्न (करफणतात) समाधित्)
5.311.67 Y, VY, VZ 1.1371.1 Fr. 171.17 15.544. 33.000.33
τ भाषा झालेले समजाग भांडक्ल (दर्शनी मन्य ४. ५/० प्रती समजाग) 19.353 196.43 59.358 17.353 47.353 19.357
$\overline{a}$ प्रति बाग प्राप्ती 8, त. (प्रत्येकी 8, ५/~ में दर्शनी मृत्य) (अवार्षिकीकृत)
मृतमूत आणि सौमिकत
9.9 lah 11.11 13.42 29.88 11.73 16.01
दीप : सिस्मीटीन ऑन्ट एसबेन बोर्ड ऑफ इंडिया (निन्दिन ऑफिनेशन्स ऑन्ड डिस्क्लोक रिक्सफर्मेट्स) निज़नेशना, २०१५ चया निलोगन 88 अंतर्गत एसबेककडे डाखल केलेल्या १० अप्टेंबर,
२०२१ रोजी संपलेली विमाही आणि अर्थ वर्षाकरिता अलेखरपरिक्षित विभाषाच्या संगीतल्या विवरणचा बरील एक उतारा आहे. ३० सप्टेंबर, २०२१ रोजी संपलेली विमाही आणि अर्थ क्लोकीता
अलेखाररीकित दिलीव निकर्णाचे संपूर्व विसन स्टॉक एकवेंडच्या वेबसाईझा: www.baeindla.com अति www.nseindla.com का उपलब्ध आहे आणि ते कंपनीची वेबसाईट:
www.excelind.co.in #1 122 annua sith
एक्सेल इंडस्ट्रीज लिमिटेडकॉरता

O


राज्ञान स्थानि कायनान्स बाँक लिमिटेड (जेब्युल्ड कमजिंक् बैंक)
नं. कार्बालय : १९–ए, थुक्रेश्वर गार्डन, अवमेर रोड, जयपूर-३०१००१.(सीआयएन: एल३६९११आरबे१९९६पीएलसी०११३८१)

परिशिष्ट IV (नियम ८(I) पहा) कब्जा सूचना

সমগৰী দিনসভাৱলৈতাৰ দুৰু দাসি আৰবাৰ পৰিকল্প হ'ল হ'ল কৰা আৰু বাৰ পৰি দি বি কি কি কি কি কি কি কি কি কি কি কৰা কৰি
কৰ্মানীয় ধৰি দিবপুৰী হবৰে ধৰি সংখ্যা যে বিশিষ্ট (বিয়াৰ অসমিকা বাঁহ) উপনিক সৰিবটা দুৰু বিপৰিয়েক পৰি মাৰ্চাল

Portifico (Instantisto Antistico Instituto)
972 / 3729 / 3239 / 32
F1(1) HUZUT
error urfer ragu
पराण चित्रकारीचे नगरे। a car garandi
REFERE
(कर्म बारी क्र.) एसए००१०६११२२९५७%४९. गाव
शास्त्र गडवाल (कर्जदत्र),
हिन्द राज गडवाल (सहकर्जटन)
11-18-11
$-1536,357,58$
धर्म दोन लाख शाह्याच्या हजार सातजे
रासा मा सक्त्यानि रेर
आरएनपी पार्क जबसे फिर मंदिर रोड आईंदर ऊर्ग महाराष्ट्र ४०११०५ मेचे स्थित एवे
गडवाल फ्लैंट झ. १०३ र मजला किंग भी नवीन का झ १८१ ८ न्यू गोब्रुक छात्र
सीदभवस्तरात्मा गर्नाट येथे भिक्षा विज्ञकत येथे भिवत निवासी/स्वायसायिक मालवत्ता
प्रमित / उमाल / रचन आणि फिल्चर्सचे ने सर्च माग आणि फिमाग मोजनायित ३४.५७
बोस्स होउर
०८ मीर्घो २०२१
(कर्त खाते क्र.) एत.१००१०६०१२०५६१९२१.
मे. आत्रित्व एक्युपर्मेट (कर्जदार),
मोहमद काचिल डोख (सड कार्डरा),
श्रीम, शैशन निहार मोहमट काफिल जेस्ट (संह-कर्नटार)
$15 - 24 - 21$
$-153, 46, 16, 16$
स्पर्ये एकडीस लाखु आफ्नार इजार पायते
न्मार्टेशी मात्र - ४७- क्लै- २१
मोडम्बर बरचिल पर्लर क्र. ११० रेला बढला इमारत क्र.८एमओ आणि नकिम खान
एस भावद को आंगोरिएक आफंकिंग सोफ्रायटी सिर्फिटेट के वही रोड एमएमआनटीए कॉसनी
पर्वा गतीब गांधी नगर मेंबर् महाराष्ट्र ४०००७२ थे सी.टी.एस क्र. १०(पी) १२(पी)
आणि t=a(पी) बेथे मिल मिळकत बेथे मिला निकासी/व्यापशारिक मालमता
प्रक्रिय / इसाल / रचना आणि फिल्नाईचे ते जर्न भाग आणि फिलाग मोब्रमाचित २८.०९
धीया पुर
०८ नोबॉ २०२१
(acat aged as.) spectra to Cousteau Court, sees
इलेक्ट्रो सेल्स, (कर्जदन),
महेश मनमोहनदास आगाशीबाला (सह-कर्जदार) अभी
गहेश आगणरीयामा (सह ऋ'डीटार)
$13 - 21 - 31$
$8.31.35.152/-$
स्पर्य एकतीस लाख सम्बीस हजार नऊपी
बाह्य मात्र
$-24 - 21$
११९ घर झ. ३ आणि ७ युनिट झ२०९ दशरा मजला आणित इंडस्ट्रिआल इस्टेट ऑक्स
इंडन्टिअल डिमायसेस सोयसपुल पिया ठाणे गडाराष्ट ४०११०७ येथे स्थित मिसल्यत येथे
स्थित निवासी/अवायसायिक मालमणा जमिन/ इमारत / रचना आणि फिक्चसेंचे ते सर्व
माग आणि विभाग मोकराणित ४०३ मोरस फर
०८ मोर्से २०२१
(कर्म खाने क्र.) प्रसार==१=६११२२५२३६४४.
मिद्रेश त्येश पायसकर, (कर्जदन),
गरेश बाहरेब पायक्रकर (सहकारिता)
संच्या स्पेष्ठ पायसकर (सफ़बज़ीहार)
काइटेव गोपाल पायसकर (साहकर्पटार)
$15 - 24 - 21$
$-1.476, 97.3$
स्वये एक लाख एकोयसलर हजार सातजे
Vegenta 219
$-26 - 34$
मकल पीआर ८ स्पर्क आबड़ी क्र ९ माई जरूरी मोरुबास्साल पुग्न नगर जबळ एमजीपी
बाँगनी सीटीएस क्र १०५१ ४ एमएनआरडीए कॉलरी मुंबई महाराष्ट्र ४०००९३ वरील
सिद्धेश फारेर फ्र. ५९४ थे तेथे स्थित फिल्म्स्ल येथे स्थित रिजामी/न्यायसायिक
मालवत्ता प्रसिद/ इमाल / रचना आणि फिल्चानिं ते सर्व मांग आणि फिलान
मोजनारित २२५ घोषा फुट
०८ सेच्ने २०२१
(कर्म खाते क्र.) एलए++१+६+११८८२+११२.
संगीता लेक्टीज देलसं, (ऋषेटा(),
गब्जाब इतथा महमे (सह-कर्जहम)
बीरामा गढाधण्या गडगे (सप्त–कर्जटार)
महारंडा गुबराध गड़ने (सह-कर्जदार)
11-28-11
$-1.97; a3, 001/4$
स्पर्ये जाबीस आश्च व्यास्मर शजार आउजी
एकेषाखीय मात्र
$u_0 = \frac{1}{2} \pi^2 - 21$
हराजा फर्नरे क्र. २१/।एं/४०१ सिद्धिक्लियक २१ ही दस आर ए को ऑप ब्राउसिंग
प्रोमापटी निर्मिटेड अंग्रेरी एवं साई जाना मंदिर प्रंपणे नगर मंचई मजराष्ट्र ४००००२ चा
प्लॉट बेचे मिंबत मिळकत येथे मिंबत निवासी/व्यावसायिक मालयता जमिन / इमारत /
रचना आणि फिरूचारिये ते रार्च भाग आणि विभाग मोजमापित २९३ जीषा युद्ध
०८ मार्क २०२१
(कर्त खाते झ.) एल९==१=६२१२२२९२८८४१,
अंतिष्ठा कारल स्टोअर्थ, (अजीहार),
the and (an-water)
अकप दशरब जर्मा (सहबाबीदार)
अस्ताकमार शास्त्र शर्मा (प्रश्न-भाजीदार)
समीला दशस्य शर्मा (सह-कर्जद्रम)
$13 - 34 - 21$
$8.7.77.095/-$
ब्दबे टोम लाखु भावीस प्रजाा आरक्षे
progress and
vo-mi-zt
पशरि अ. २६७ फार्टर अ. १०/डी–१/७०६ १० डी १ गणेत टर्कन बारियली पळ्ळारा
को आरोटियर जाऊंकिंग सोसाबटी लिमिटेड संघर्ष नगर अंचेरी यू मुंबई उपनगर ग्रंथई
महत्त्व Yoorat मेथे पिंग्स मिळवल मेथे स्थित निकासी/व्याप्रधायिक मालमत्ता
प्रविन/ yents / tutal sefft फिरूवार्पये ते सर्व भाग आणि विभाग मोक्सापित २१८
थौरस फ़र
०८ मार्के २०२१
(कर्म खाते फ्र.) एल९ == ११२ = २ = ३४९७९८.
विकास प्रजाएको, (सार्वदार आणि महत्वदार), श्रीमती
दिशा विकारक्षमा प्रकारती (सह-कर्जरूर आणि
गडायटत) / मे. उपयोज म्लेबन फॉर्पाईंग प्रम्पनेट
निर्मियेट (प्राप्ट-कार्तरा)
$84 - 347722 - 28$
4. Fax, Fa, 697/-
बनबे दोन करोड़ प्रभर लाखु प्राप्तर कप्ता
आयती ब्याण्यस मात्र
t = - stfttrz - 21
बिले पार्ले (पूर्व), आजाद रोड, जानुका, अंधेरी, जिल्ला, मंचई नकराष्ट्र बेबील मध्वे क्र
१४० ए. डि. झ. २४ (भाग) आणि २८ (भाग) धारक दाऊन पार्तिंग स्थित मही,
सीडीएस क्र. १९५९ आणि १९५३ जा पतीर क्र. ५१६ मैंने स्थित पतीर क्र. २०३, २१
प्रकला, बिग – जो, एडल-गोर्ट, व्ह्य मोएबएस लिमिटेड बेचे स्थित विज्ञकारीने ते सर्व
माग आणि विभाग चेथे स्थित निवासी/व्यावसायिक मात्रमणा जम्मि/ इमारत / रचना
आणि फिरपसेंगे ने सर्व भाग आणि विभाग मोजमापित ८३७ थी. यूट, पूर्व: आझाद
रोड, पश्चिम: ए-बिग, उत्तर: जीवन तारा बिल्डिंग, दक्षिण: निलोबरी सीएचप्रस्परत
$+2\frac{1}{2}$ $+2\frac{1}{2}$
(wid und w.) unexatatezzoupuzez.
उमटीन भाष्टित काड़ी, (कार्डश),
पक्षः उनटीन काडी (स्त्र-कर्ताटन)
(saka-su) fata styre zvina
$36 - 36 - 36$
$3.3.18.148/-$
स्पर्ध एक लाख भौन्याण्यम इजार एकडी
नौ नाइस मध
$2x - 288 - 21$
फ़ाँट शहनगरपालिका पसंद फ़. 1+४, 10 मजला, तुम अनार्टमेंट मांजरि कोजीवाड़ा
बर्सा बर्सा पश्चिम कोमीनाटा नर्सा पालपर प्रजाएक नेचे स्थित पिळवल गेंचे स्थित
निवामी/व्यावसाणिक नालमण जमिन/ इथारत / रचना आणि फिल्म्वांचे ते सर्व भाग
आणि विभाग मोकमापित ३४४ ची. चू. /थी. मा. /थी. मी.
०९ सीखें २०२१
(and und at.) uneverty (.a four bay)
उमरीन माहित काडी, (कार्डरा),
पत्र उपरोग काली (सा-कार्डशा)
आदिय उमल्टीन काड़ी (सह-फर्जरा)
$75 - 158 - 25$
$E, E+$ , Fa, 13 = /-
रुपये रहा लाख सरतीस हजार नऊने तीस
ATE
$77 - 30 - 21$
पर्नट क्र. ३०४, ३ग मजला, तुवा अपार्टमेंट गाव मार्जोरे कोजीवाडा, वसई पश्चिम
शनी, मज़राष्ट्र स्थित मिळवल पेचे स्थित निवासी/व्यावसायिक मालमना जमिन/
इयास / रखन आणि फिल्वारेंगे ने जर्न भाग आणि बिभाग मोजनायित ३४४ जोड़
०९ सेलो २०२१
निवध ८ अन्वरे ल्होग/हिम! प्रचन केलेल्हा अधिकारांचा वापा कंडन देवील वरील नपट कोहकात नमट केलेल्हा मिखकडीचा कब्जा घेतला आहे.
विनामा: १३/११/२०११, ठिकाण: मुंबई
कर्डटांनी महार रक्का प्रदार करणाम कम केनेनी आहे मापन निनम्माशीकारांनी बरीस कीइका नमूद केलेला तारहेस सद (और २००२) थे कलम १३(४) सहवासता सदरह निवमावतीच्या
''कर्बटाये सब तात मना चित्तेयशभाडी कास्थ्य नेचेन्जा गंटपांत अधिविधात्त्वा कसम १३ च्या पोरवासम (८) च्या तसुटीकडे वेयन्यात येत आहे.
विरोधतः कर्तता आणि सर्वसाधान जनतेला वाहुरी सावधान काण्डाल केले हैं। इतना स्वादेशीय काले प्रवाह कर नये आणि सदाह मिळकरीच्या देवघेळीचा कोणताही व्यवहार हा बरील कोष्काल
न्छुर केलेली रक्का आणि त्यावरील ब्वाउ पा रसमेशाता एषु स्मॉल फायपामा बँख लिमिटेड (शेखपुरुद फर्मशियल बँक)च्या प्रगाल्या अधीन गडील.
प्राभिकृत अभिकारी, एम् स्मॉल फायनान्स मेंन लिमिटेड
$\frac{1}{2}$

2

THE FREE PRESS JOURNAL www.arcepressjournalsm MUMBAI SUNDAY NOVEMBER 14, 2021 17 बैक आफ महाराष्ट
Bank of Maharashtra
Corporarte Identity Number: U65910MH1995PLC364635
Registered Office & Corporate Office: Kanakia Wall Street, A-Wing,
FEDBANK SARTHAK INDUSTRIES LIMITED प्रका यरिकार प्रका बैंक
5th Floor, Unit No.511, Andheri-Kurla Road, Andheri East, Mumbai,
Maharashtra-400093
Tel: +91 22 68520601 Website: www.fedfina.com
Regd. Office: Room No. 4, Anna Bhuvan, 3 + Floor, 87C Devji Ratansi Marg, Dana Bunder, Mumbai, (Maharashtra) 400009,
Contact No.: 022-23485740, Fax: 022-23724718, Email: [email protected], website: www.sarthakindustries.com
CIN: L99999MH1982PLC136834 NARPOLI BRANCH: Hariom Empire, Shop No. 1, Anjurphata, Tal. Bhiwandi,
Dist. Thane - 421302. Tel. No.: 02522-262459 . Email: [email protected].
HEAD OFFICE: Lokmangal,1501, Shivajinagar, Pune - 411005.
STATEMENT OF UNAUDITED FINANCIAL RESULTS
FOR THE QUARTER AND HALF YEAR ENDED SEP 30, 2021
Rs. in Lakh Extract of Un-Audited Standalone Financial Results for the quarter and half year ended 30" September, 2021 (Rs in Lace Mel. No: AM24/TZ/REC/SARFAESI/2021-22 Date: 09.11.2021
POSSESSION NOTICE (For Immoveable Property) [Rule 8(1)]
Sr.
No.
PARTICULARS For the
Quarte
For the
Quarter
For the
Year
For the
Quarter
Particulars Quarter Ended Half Year Ended Year ende
30.09.2021 30.06.2021 30.09.2020 30.09.2021 30.09.2020 31.03.2021
fhereas, the undersigned being the Authorized Officer of Bank of Maharashtra under
the Securitization and Reconstruction of Financial Assets and Enforcement of Security
terest Act, 2002 and in exercise of powers conferred under Sub-Section (12) of Section
ended
Septembe
30, 2021
ended
June
30, 2021
ended
March
31, 2021
ended
pptembe
30, 2020
(Refer Notes Below)
Total income from Operations
In Audited
4382.41
4184.34 Un-Audited Un-Audited Un-Audited Un-Auditec
4028.38
8566.75 Audited
5848.15
13354.29
13 read with Rule 8 of the Security Interest (Enforcement) Rule, 2002, issued a Demand
Notice dated 06.09.2021 by hand delivery, calling upon the Borrower S K Enterprises
Total Income from Operations (Unaudited)
20,593
Unaudited
19.901
(Audited)
69.181
(Unaudited)
16,306
Net Profit/ (Loss) for the perior
(before Tax, Exceptional and/or Extraordinary fams)
58.14
103.66
136.94 161.80 176.54
294.02
Prop. Mrs. Sunita Ashok Khandelwal to repay in full the amount of CC limit Aic. No. 60084553915 ledger balance Ru. 64,99,351.53 + unapplied interest Ru. 7,07,621.82
interest due thereupon @11.60 % plus penal interest @2.00% w.e.f. 02.04.2021
$\overline{2}$ Net Profit / (Loss) for the period (before Tax,
Exceptional and/or Extraordinary items#)
5.292 $-850$ 7.693 $-910$ Net Profit/ (Loss) for the period before tax
(after Exceptional and/or Extraordinary items)
Net Profit/ (Loss) for the period after tax
103.66
58.14
135.94 161.80 176.54
294.02
plus other expenses if any, within 60 days from the date of receipt of the said Notice
and FITL1-MCLR A/c. No. 60345014470 LB of Rs. 10,68,008.00 + unapplied interest
$\mathbf{3}$ Net Profit / (Loss) for the period before tax
(after Exceptional and/or Extraordinary items#
Net Profit / (Loss) for the period after tax
5.292 $-850$ 7.693 $-910$ (after Exceptional and/or Extraordinary items)
Total Comprehensive Income for the period
41.20
72.84
98.46 114.04 209.24
126.66
Rs. 75,481.00 @7.80% w.e.f. 02.04.2021 + penal interest @ 2.00% plus other
expenses if any, within 60 days from the date of receipt of the said Notice and FITL-2
Loan A/c. No. 25050183170 ledger balance Rs. 3,34,791.00 plus unapplied interest
$\overline{\mathbf{5}}$ after Exceptional and/or Extraordinary items
Total Comprehensive Income for the period
4,032 $-691$ 6,169 $-185$ [Comprising Profit/[Loss] for the period (after tax) and
Other Comprehensive Income (sflar tsx)
Equity share capital
10.30
125.34
696.89
696.89
(34.65)
696.89
135.54
596.89
234.49
305.49
696.89
696.89
Rs. 35,840.00 @11.60% plus penal [email protected]%, other expenses if any, within 60
days from the date of receipt of the demand notice.
[Comprising Profit / (Loss) for the period
(after tax) and Other Comprehensive Income
(after tax))
4.033 $-683$ 6.202 $-188$ Reserves (excluding Revaluation Reserve) as shown
in the Audited Balance Sheet of the previous year
3063.70 The notice was given by Regd.AD / Hand Delivery, calling upon the borrower and
guarantors for payment of dues towards to the bank. The borrower having failed to repay
the amount, Notice is hereby given to the borrower and the public in general that the
Paid up Equity Share Capital
Reserves (excluding Revaluation Reserve)
31,851
75,094
31,851
71,006
28.992
54,481
27,342
44,072
Earnings per share (of Rs. 10/- each)
(for continuing and discontinued operations)
0.59
1.DS
1.41 1.64 1.82
3.00
undersigned has taken Symbolic Possession of the properties described herein below
in exercise of cowers conferred on him / her under section 13 (4) of the said Act read
10 Securities Pramium
Net worth
Paid up Debt Capital / Outstanding Debt
50,700
106,945
437.519
50.700
102.857
396,589
33.555
83.473
432.808
27,308
71,415
367,581
Diluted
Nota: 1 The above results have been reviewed by the Audit Committee and taken on record by the Board of Directors of the Company at their meeting held or
1.05
0.59
1.41 1.64 1.82
3.00
with Rule 8 of the said rules on this 09.11.2021.
The borrower in particular and the public in general is hereby cautioned not to deal with
the properties and any dealings with the properties will be subject to the charge of Bank
11
12
Outstanding Redeemable Preference Shares
Debt Equity Ratio
4.09 3.86 5.18 5.15 November 13, 2021.
2. The statutory auditors of the company have carried out limited review of the financial results for the quarter and half year anded September 30, 2021
of Maharashtra for an amount hereinabove mentioned.
The Borrowers attention is invited to the provisions of sub-section 8 of section 13 of the
13 Earnings Per Share (of Rs. 10 /- each).
(for continuing and discontinued operations)
1. Basic
1.32 $-0.24$ 2.19 $-0.07$ 1. In view of the Covid-19 pendemic, there have been several restrictions imposed by governments across the globe on the travel, goods movement and
transportation considering public health and safety measures. The Company
of Agri and Non Agri Commodities. This COVID-19 pandemic has impacted the operations of the Company during the quarter and half year ended Septembe
Act in respect of time available, to redeem the secured asset
Fiat No. 5 on 1" Floor of Building, B-Wing in Kanchan Pushpa Co-op. Hsg. Society Ltd.
DESCRIPTION OF IMMOVABLE PROPERTY
1. Diluted
Capital Redemption Reserve
1.32
NA
$-0.24$
NA
2.18
NA
$-0.07$
NA
30, 2021, based on the facts and circumstances existing as of that date. the Company does not anticipate my material uncertainties which affects its liquidity
position and also ability to continue as a going concern. Howev
ssociated with its nature and duration. The management will continue to closely monitor the evolving situation and assess its impact on the business of the
admeasuring 118.02 sq.mts.(1270 sq.ft.) consisting 3 BHK Rooms and constructed on
the land situated, being and lying at Village Palghar in the registration District Palghar
bearing CTS / Survey Nos. 170A Hissa No. 1/2, Survey No. 190/1A Hissa No. 22, in
15
16
17
Debenture Redemption Reserve
Debt Service Coverage Ratio
Interest Service Coverage Ratio
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
Company.
. Previous periodiyear figures have been regrouped/incasted whereever necessary
5. The above financial results are available on Company's website www.sarthakindustries.com and also on the website of BSE.
the name of Guarantor Mr. Ashok K. Khandelwal along with borrower Mrs. Sunits A. Khandelwai. Bounded by as: On or towards North-Remaining land of Survey No. 190
Notes: a) The above standalone unaudited financial results for the quarter and half year ended September 30, 202 For & on Behalf of Board of Director
Sarthak Industries Limite
Sdi- A Hissa No. 22; On or towards East- S No. 170 A Part, H No. 1/2 and Sindhi Society;
On or towards West- Road and thereafter Hotel Sai Residency; On or towards South-
Paighar Mahim Road. Together with building and structure thereon.
have been reviewed by the Audit Committee and approved by Board of Directors at its meeting held or
November 13, 2021.
The above is an extract of the detailed format of the financial results for the quarter and half year ended
Date: 13.11.2021
Place: Indore
Y. M. Sharma
Whole-time Directo
DIN: 03644480
Place: Paighar Authorized Officer & Chief Manager,
September 30, 2021 filed with the Stock Exchanges under Regulation 52 of the SEBI (Listing and Other
Disclosure Requirements) Regulations, 2015 as amended. The full format of the financial results for quarte
and half year ended September 30, 2021 are available on the websites of the Stock Exchange
Date: 09.11.2021 Bank Of Mahrashtra, Narpoli Branch
"www.bseindia.com" and on the Company's website "www.fedfina.com".
For the other line items referred in the Regulation 52 (4) of the SEBI (Listing and Other Disclosure
Requirements) Regulations, 2015, the pertinent disclosures have been made to the BSE india and can be
मराठी मनाचा ASHOKA ® ASHOKA BUILDCON LIMITED
accessed on the "www.bseindia.com"
Fedbank Financial services Limited (the 'Company') has prepared audited financial results (the 'Statement'
CIN:L45200MH1993PLC071970
for the year ended March 31, 2021 in accordance with Regulation 52 of the SEBI (Listing Obligations and
Disclosure Requirements) Regulations, 2015 (the 'Listing Regulations, 2015') and the Accounting Standards
specified under section 133 of the Companies Act, 2013 read with the Companies (Indian Accounting
Phone No: 0253-6633705, Fax: +0253 2236704, Email: [email protected], Website: www.ashokabuildcon.com Regd. Office: S. No. 861, Ashoka House, Ashoka Marg, Vadala, Nasik - 422 011
Standards) Rules, 2015 as amended and the relevant provision of the Companies Act, 2013, as applicable.
The impact of net profit / loss, total comprehensive income or any other relevant financial item(s) due to
change(s) in accounting policy shall be disclosed by means of footnote.
बवशकि * EXTRACT OF UNAUDITED FINANCIAL RESULTS FOR THE QUARTER & HALF YEAR ENDED 30TH SEPTEMBER. 2021 Rs. in lakhs except for EPS
For and on behalf of Fedbank Financial Services Limited Sd/
Anil Kothur
Particulars Quarter ended Half year ended Year ended
: Mumbai
13 th November, 2021
Managing Director & CEO
DIN:00177945
www.navshakti.co.in 30.09.2021
Unaudited
30.06.2021
Unaudited
30.09.2020
Unaudited
30.09.2021
Unaudited
30.09.2020
Unaudited
31.03.202
Audited
TRIOCHEM PRODUCTS LIMITED Total Income from operations 130,470.94 131,014.69 121,802.92 261,485.5 201,052.70 512,187.20
Regd. Off : Sambhava Chamber, 4th Floor, Sir P.M. Road, Fort, Mumbai - 400 001. CIN : L24249MH1972PLC015544, www.triochemproducts.com $\overline{2}$
$\mathbf{3}$
Net profit / (loss) for the period before tax
Net profit / (loss) for the period after tax and share of profit
12,646.10
7,809.73
12,450.13
7,950.08
11,467.01
7.042.04
25,096.23
15,759.81
10,546.71
3,275.22
43,765.06
27,348.07
EXTRACT OF STATEMENT OF UNAUDITED STANDALONE FINANCIAL RESULTS
FOR THE QUARTER AND HALF YEAR ENDED 30TH SEPTEMBER, 2021
$\overline{4}$ floss) of associates Net profit / (loss) for the period attributable to shareholders of 7.993.80 8,021.71 7,325.54 16.015.51 4,531.8 27.622.24
Particulars Quarter Ended
30-Sep-21 30-Jun-21 30-Sep-20
30-Sep-21 (Rs. in Lakh) - EXCEPT EPS
Half Year Ended Year Ended
30-Sep-20
31-Mar-21
5 the company Total comprehensive income / (loss) for the period 7,805.91 7,943.46 7,035.99 15,749.37 3,267.05 27,330.50
1 Total Income from operations Unaudited)
337.27
(Unaudited) (Unaudited) (Una
18.19
230.24
355,46
(Unaudited)
(Audited)
231.54
1,407.22
comprehensive income/(loss) (after tax)
Total comprehensive income / floss) attributable to
[comprising profit / (loss) for the period (after tax) and other
Net Profit / (Loss) for the period (before Tax,
Exceptional and / or Extraordinary items)
Net Profit / (Loss) for the pariod before tax
27.66 (15.21) (7.16)
12.46
(42.47)
(58.11)
6 shareholders of the company Paid-up equity share capital (face value of Rs. 5/- each 7,990.89
14,036.16
8,015.09
14,036.16
7,321.13
14,036.16
16,005.98
14,036.16
4,525.16
14,036.16
27,503.76
14,036.16
(after Exceptional and / or Extraordinary items)
Net Profit / (Loss) for the period after tax
27.66 (15.21) (7.16)
12.46
(42.47)
(58.11)
8 Other equity 47,895.10
(after Exceptional and / or Extraordinary items)
Total Comprehensive Income for the period
[Comprising Profit / (Loss) for the period (after tax)
20.36 (10.93) (5.43)
9.44
(44.70)
(31.93)
$\overline{9}$ Basic Rs. Earning Per Share (EPS) (Equity share of Rs. 5/- each) 2.85 2.86 2.61 5.71 1.61 9,84
and other Comprehensive Income (after tax)]
6 Equity share capital (Face value Rs.10/- per share)
(0.27)
24.50
24.50 (0.79)
24.50
24.50
(1.75)
24.50
24.50
1,146.69
ñ Diluted Rs. 2.85 2.86 2.61 5.71 1.61 9.84
7 Other Equity
8 Earnings per share (of Rs.10/- sach)
(for continuing and discontinued operations)
KEY STANDALONE FINANCIAL INFORMATION FOR THE QUARTER & HALF YEAR ENDED 30TH SEPTEMBER, 2021
a) Basic (not annualized)
b) Diluted (not annualized)
8.31
8.31
(4.46)
(4.46)
(2.22)
3.85
(2.22)
3.85
(13.03)
(18.25)
(18.25)
(13.03)
Quarter ended Half year ended Ru, In Lakh
Year ended
Notes
1) The above unaudited financial results of the Company for the quarter and half year ended September 30, 2021 have been reviewed by
the Audit committee of the Board and approved by the Board of Directors at its meeting held on 13,11,2021.
Particulars 30.09.2021 30.06.2021 30.09.2020 30.09.2021 30.09.2020 31.03.2021
2) The Unaudited financial results have been prepared in accordance with Indian Accounting Standards (Ind AS), the provisions of the
Companies Act, 2013 (the Act), as applicable and guidelines issued by the Securities and Exchange 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 116 on the financial
Unaudited Unaudited Unaudited Unaudited Unaudited Audited
results is insignificant.
4) The Company operates in single segment only, i.e. chemical and pharmaceuticals; therefore, disclosure requirement of Indian Accounting
Standard (IND AS-108) "Segment Reporting" is not applicable.
Total Income from operations
Profit before tax
97,618.90
12,706.95
105,860.79
13,469.60
92,732.07
13,932.74
203,479.69
26,176.55
23,063.29 154,802.97 400,960.10
54,722.64
5) The Company has considered the possible effects that may arise out of the still unfolding COVID-19 pandemic on the carrying amounts of
property, pla
int & 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 Results including credit reports and related information, economi
3 Profit after tax 9,559.41 10.133.24 10.470.69 19,692.65 17,377.18 40,812,64
forecasts, market value of certain investments etc. Based on the current estimates, the Company does not expect any significant impac
on such carrying values. The impact of COVID-19 on the Company's financial statements may differ from that estimated as at the date of
approval of Financial Results.
1. The financial results have been prepared in accordance with Indian Accounting Standards ('Ind AS') prescribed under section 133 of the
Companies Act, 2013 read with relevant rules thereunder and in terms of Regulation 33 of the SEBI (Listing Obligations and Disclosure
The Indian Parliament has approved the Code on Social Security, 2020 which would impact the contributions by the company towards
Provident Fund and Gratuity. The Ministry of Labour and Employment has released draft rules for the Code on Social Security, 2020 on
November 13, 2020, and has invited suggestions from stakeholders which are under active consideration by the Ministry. The Company
Requirements) Regulations, 2015 (as amended) and SEBI circular dated 5th July, 2016.
2. The above is an extract of the detailed format of unaudited consolidated financial results for the quarter and half year ended 30th September,
will assess the impact and its evaluation once the subject rules are notified and will give appropriate impact in its financial statements in the
period in which, the Code becomes effective and the related rules to determine the financial impact are published. 7) The Corresponding
gures of the previous quarter / year have been regrouped, recasted and reclassified to make them comparable wherever necessary.
2021 filed with the stock exchanges under Regulation 33 of the SEBI (Listing Obligations and Disclosure Regulrements) Regulations, 2015.
The full format of the unaudited financial results (standalone and consolidated) for the quarter and half year ended 30th September, 2021 is
available on the Company's website i.e. www.ashokabuildcon.com under Investor Information section and on the stock exchange websites
7) The Corresponding figures of the previous quarter / year have been regrouped, recasted and reclassified to make them comparabl
wherever necessary
i.e. www.bseindia.com and www.nseindia.com.
The above results have been reviewed and recommended to the Board of Directors by the Audit Committee and subsequently approved by the
Board of Directors at the respective meetings held on 13th November, 2021.
8) The above is an extract of the detailed format of financial results filed with the Stock Exchange under Regulation 33 of the SEBI (Listing
and Other Disclosure Requirements) Regulation, 2015. The full format of consolidated financial results are available on the Stoci
Exchange website, www.bseindia.com and on the Company's website www.triochemproducts.com
Place: Nashik For and on behalf of the Board of Directors of
Ashoka Buidcon Limited
FOR TRIOCHEM PRODUCTS LIMITED
RAMU S. DEORA
DIRECTOR & CEO
Date: November 13, 2021 $Sd/-$
(Satish D. Parakh)
Place : Mumbal
Dated : 13th November, 2021
DIN: 00312369 Managing Director
DIN: 00112324
District Deputy Registrar, Co-operative Societies, Mumbai City (3)
Competent Authority
under section 5A of the Maharashtra Ownership Flats Act, 1963,
MHADA Building, Ground Floor, Room No. 69, Bandra (E), Mumbai 400051
Jain Irrigation Systems Ltd.
Application u/s 11 of the Maharashtra Ownership Flats
(Regulation of the Promotion of Construction, Sale, Management
and Transfer) Act, 1963
Small Ideas. Big Revolutions.
www.jains.com
Application No. 167 of 2021
Darya Darsh Co-operative Housing Society Limited
Regd. Off.: Jain Plastic Park, N.H.No.6, Bambhori, Jalgaon - 425001. CIN : L29120MH1986PLC042028
Plot No. 65- M, TPS IV, Guzdar Road,
Santacruz West, Mumbai 400054
VS
.Applicant STATEMENT OF UN-AUDITED STANDALONE AND CONSOLIDATED FINANCIAL RESULTS FOR THE QUARTER ENDED 30-SEPT-2021 (₹ in Lacs except earning per share)
1. Mr. Keshavram N. Inger
755, 36th Cross Road, Jay Nagar,
Quarter Ended Standalone Half Year Ended Year Quarter Ended Consolidated Half Year Ended Year
VII Block, Bangalore 560082
2. M/S. Patel Constructions,
Mr. Purshottam J. Patel (Proprietor)
Sr.
No.
Particulars Un-Audited Un-Audited Ended
Audited
Un-Audited Un-Audited Ended
Audited
580- Jame Jamshed Road.
Matunga, C.R. Mumbai 400019
Opponents Revenue from operations 63.854 30-Sep-21 30-Jun-21 30-Sep-20
69.675
39.892 30-Sep-21 30-Sep-20
1,33,529
87,847 31-Mar-21 30-Sep-21 30-Jun-21 30-Sep-20 30-Sep-21 30-Sep-20
2,15,642
1,64,459 1,77,752 1,20,244 3,42,211 2,54,132 31-Mar-21
5,66,688
PUBLIC NOTICE
1) Take the notice that the above application has been filed by the
$\overline{2}$ Net Profit / (Loss) for the period
(before Tax, Exceptional and/or
(6, 720) (4, 371) (16, 019) (11,091) (31, 469) (47, 574) (9, 254) (135) (21, 346) (9, 389) (42, 549) (59, 922)
applicant under section 11 under the Maharashtra Ownership Flats
(Regulation of the Promotion of Construction, Sale, Management
and Transfer) Act 1963 and under the applicable Rules against the
$\overline{\mathbf{3}}$ Extraordinary items) Net Profit / (Loss) for the period before tax (6, 720) (4, 371) (16,019) (11,091) (31, 469) (47, 574) 14,804 (135) (21, 346) 14,669 (42, 549) (59, 922)
Opponents above mentioned.
2) The applicant has prayed for grant of certificate of entitlement of
Unilateral Deemed convevance in respect of land admeasuring 733
$\blacktriangle$ (after Exceptional and/or Extraordinary items)
Net Profit / (Loss) for the period after tax
(after Exceptional and/or Extraordinary items)
(3, 793) (1,644) (10, 694) (5, 437) (20, 988) (30, 731) 10,816 1,344 (17,033) 12,160 (32, 894) (40, 272)
sq. meters bearing Plot No. 65/M of TPS IV, CTS No. G/578 -B,
Santacruz West in mumbai Suburban District together with building
5 period (Comprising Profit / (Loss) Total Comprehensive Income for the
standing there upon, in favour of the Applicant Society.
3) The hearing in the above case has been fixed on 02/12/2021 at 1.00 p.m
for the period (after tax) and Other
Comprehensive Income (after tax)]
(3, 814) (1,656) (10, 756) (5, 470) (20, 989) (30, 787) 9,993 (639) (17, 758) 9.35 (37, 179) (45, 531)
4) The Proprietor/ Opponent/s and their legal heirs if any, or any person/
authority wishing to submit any objection, should appear in person or
through the authorized representative on 02/12/2021 at 1.00 p.m. before
6
$\overline{7}$
Equity Share Capital
Reserves (excluding Revaluation
10,313 10,313 10,313 10,313 10,313 10,313 10,313 10,313 10,313 10,313 10,313 10,313
the undersigned together with any documents, he/she/ they want/s to
produce in support of his/ her objection/ claim/ demand against the
Reserve) as shown in the Audited
Balance Sheet of the previous year
NA NA NA NA NA 380,940 NA NA NA NA NA 286,472
above case and the application/s is/are advised to be present at that
time to collect the written, if any filed by the interested parties,
5) If any person/s interested, fails to appear or file written reply as
8 Earnings Per Share (of ₹ 2/- each) (for
continuing and discontinued operations) -
required by this notice, the question at issue/ application will be decided in
their absence and such person/s will have no claim, object or demand
Basic:
2. Diluted
(0.73)
(0.73)
(0.32)
(0.32)
(2.07)
(2.07)
(1.05)
(1.05)
(4.07)
(4.07)
(5.96)
(5.96)
2.07
2.07
0.24
0.24
(3.27)
(3.27)
2.31
2.31
(6.31)
(6.31)
(7.67)
(7.67)
whatsoever against the property for which the conveyance/ declaration/
order is granted or the direction for registration of the society is
granted to the applications or any order/ certificate/ judgement is
Note: The above is an extract of the detailed Unaudited Financial Working Results for the Quarter ended 30-Sep-2021 filed with the Stock Exchanges unde Regulation 33 of the SEBI (Listing
and Other Disclosure Requirements) Regulations, 2015. The full format of the Unaudited Financial Working Results for the Quarter ended 30-Sep-2021 are available on the websites of the
passed against such interested parties and the matter will be heard
and decided ex-parte.
By Order,
Stock Exchange(s) and the web site of the Company i.e.www.jains.com. For Jain Irrigation Systems Ltd.
B d for District Deputy Registrar, Place : Jalgaon 8d/
Anii B. Jain
Co- Operative Societies, Mumbai City (3), 9094 View Obsale

Comp FA, 196