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Vikran Engineering Limited — Earnings Release 2026
May 24, 2026
59110_rns_2026-05-24_07204131-f5b3-4535-973c-8e0210a7e4a9.pdf
Earnings Release
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VIKRAN ENGINEERING LIMITED
(Formerly Known as VIKRAN ENGINEERING & EXIM PRIVATE LIMITED)
Date: 24th May 2026
| To,
The Secretary
BSE Limited
Corporate Relationship Department,
Phiroze Jeejeebhoy Towers, Dalal Street,
Mumbai-400001.
(Scrip Code: Equity - 544496) | To,
The Secretary
National Stock Exchange of India Limited
Listing Department,
Exchange Plaza, Bandra-Kurla Complex,
Bandra (E), Mumbai -400051.
(Scrip Symbol: VIKRAN) |
| --- | --- |
Dear Sir/Madam,
Subject: Intimation regarding publication of Financial Results in Newspapers.
Pursuant to Regulation 30 & 47 of the SEBI (Listing Obligations and Disclosures Requirements) Regulations, 2015 ("Listing Regulations"), please find enclosed herewith extract of the following newspapers, containing publication of Audited Financial Results (Standalone and Consolidated) for the quarter and year ended 31st March 2026.
- Financial Express (English)
- Mumbai Lakshwadeep (Marathi)
This is for your information and records.
Thanking You.
Yours faithfully,
FOR VIKRAN ENGINEERING LIMITED
KAJAL SAGAR
RAKHOLIYA
Digitally signed by KAJAL SAGAR RAKHOLIYA
Date: 2026.05.24 18:32:55
+05'30'
Kajal Rakholiya
Company Secretary and Compliance Officer
Place: Thane
Encl.: as above
Registered Office: B-2 & B-3, B Wing, 3rd Floor, Ashar IT Park, Road No.16-Z, Wagle Industrial Estate, Thane - 400604.
CIN: L93000MH2008PLC272209 • Email: [email protected] • Tel.: 022-68693200
www.vikrangroup.com
WWW.FINANCIALESPRESS.COM
SUNDAY, MAY 24, 2024
FINANCIAL EXPRESS
19
RSC INTERNATIONAL LIMITED
Reg. Office: RSC No. 05, Regular Entries, Expiration 4th Fiscal Year, 1st. Total Price: $1,000.00
* RSC1: 1st. All additional additional: Under general financial conditions
Estimate of Statement of Unacquired Distributors' Funds/Threats for the Quarter and Year Ended
March 31, 2024
As a Financial Impact (FIF)
| Period | Quarter Ended | Year Ended | ||||
|---|---|---|---|---|---|---|
| March 31, 2024 | January 1, 2025 | March 31, 2024 | March 31, 2024 | January 1, 2025 | March 31, 2024 | |
| 1 Total Income from operations (US$) | 1,000,000 | 1,000,000 | 1,000,000 | 1,000,000 | 1,000,000 | 1,000,000 |
| 2 Total Residency for tax and income (US$) | 100,000 | 100,000 | 100,000 | 100,000 | 100,000 | 100,000 |
| 3 Total Residency for tax and income (US$) | 1,000,000 | 1,000,000 | 1,000,000 | 1,000,000 | 1,000,000 | 1,000,000 |
| 4 Total Residency for tax and income (US$) | 1,000,000 | 1,000,000 | 1,000,000 | 1,000,000 | 1,000,000 | 1,000,000 |
| 5 Total Residency for tax and income (US$) | 31,447.50 | 31,447.50 | 31,447.50 | 31,447.50 | 31,447.50 | 31,447.50 |
- Other Space operating Residency means an interest in the balance Sheet of services used.
- March Ending per Share (FIF) is the sum of: 31,447.50; 31,447.50; 31,447.50.
- Total Ending as a whole (FIF) is the sum of: 31,447.50; 31,447.50.
"Other Space operating Residency means an interest in the balance Sheet of services used."
* March Ending per Share (FIF) is the sum of: 31,447.50; 31,447.50; 31,447.50.
"Other Space operating Residency means an interest in the balance Sheet of services."
"Other Space operating Residency means an interest in the balance Sheet of services."
"Other Space operating Residency means an interest in the balance Sheet of services."
"IMPORTANT"
19 Final June is taken prior to acceptance of advertising copy. It is not possible to verify its contents. The Indian Express Company (IFX) is held responsible for such contents, nor for any loss or damage incurred as a result of transactions with companies, associations or individuals advertising in its newspapers or Publications. We therefore recommend that readers make necessary inquiries before sending any monies or entering into any agreements with advertisers or otherwise acting on an advertisement in any manner whatsoever.

VIKRAN ENGINEERING LIMITED
(Formerly, Vidhan Engineering Private Limited)
Registered Office: 332-83, Ashar P' Park, Road no.16-32, Raghun Industrial Estate, Thanei West, Thanei, Maharashtra, 493604
(All amounts in RSP safety unless otherwise stated)
| Sr. | Particulars | Stakeholders | Consolidated | ||||||||
|---|---|---|---|---|---|---|---|---|---|---|---|
| Quarter ended | Year ended | Quarter ended | Year ended | ||||||||
| 31-Mar-2022 (Audited) (Note 1) | 31-Dec-2022 (Unaudited) | 31-Mar-2022 (Audited) (Note 1) | 31-Mar-2023 (Audited) | 31-Mar-2023 (Audited) | 31-Mar-2022 (Audited) | 31-Mar-2022 (Audited) | 31-Mar-2023 (Audited) | 31-Mar-2022 (Audited) | 31-Mar-2023 (Audited) | ||
| 1 | Total Income from Operations (including other monies) | 50,000 | 27,296 | 25,556 | 1,26,627 | 52,236 | 34,000 | 27,296 | 30,000 | 1,26,627 | 52,236 |
| 2 | Tax Profit / Loss for the period before Tax (Amortized and / or Expenditure Items) | 7,750 | 2,713 | 3,570 | 12,224 | 11,016 | 7,750 | 3,713 | 3,570 | 12,224 | 11,016 |
| 3 | Tax Profit / Loss for the period before Tax after (Amortized and / or Expenditure Items) | 7,750 | 2,582 | 3,570 | 12,103 | 11,016 | 7,750 | 3,582 | 3,570 | 12,103 | 11,016 |
| 4 | Tax Profit / Loss for the period after Tax | 5,600 | 2,591 | 3,770 | 9,170 | 7,797 | 5,600 | 2,591 | 3,770 | 9,170 | 7,797 |
| 5 | Total Comprehensive Income for the period (Competing Profit / Loss) for the period (after tax) and (Total Comprehensive Income (after tax)) | 5,600 | 2,134 | 3,676 | 8,239 | 7,094 | 5,600 | 2,134 | 3,676 | 8,239 | 7,094 |
| 6 | Gross Gross Capital | 2,074 | 2,074 | 1,938 | 2,074 | 1,938 | 2,074 | 2,074 | 1,938 | 2,074 | 1,938 |
| 7 | Taxes for the period before Tax (Amortized and / or Expenditure Items) | - | - | - | 1,21,108 | 44,851 | - | - | - | 1,21,108 | 44,851 |
| 8 | Earnings Per Share (of Rs.11 each) for continuing and discontinued operations) | - | - | - | - | - | - | - | - | - | - |
| Basic at 1995 | 3,17 | 2,97 | 2,96 | 4,55 | 4,35 | 3,17 | 2,91 | 2,96 | 4,55 | 4,35 | |
| 9 | Diluted At 1995 | 3,17 | 2,97 | 2,96 | 4,55 | 4,35 | 3,17 | 2,91 | 2,96 | 4,55 | 4,35 |
Notes:
1. Taxes for the period before Tax (Amortized and / or Expenditure Items) are included in the above table.
2. Taxes for the period after tax are included in the above table.
3. Taxes for the period after tax are included in the above table.
For and on behalf of the Board of Directors.

Robert B. McGowan
Chairman & Managing Director
UBC 37000201
As a Service Officer
SHRIRAM GENERAL INSURANCE COMPANY LIMITED
E-8, EPIP, RIICO Industrial Area, Sitapura, Jaipur-302022 (Rajasthan)
Tel No.: 0141-4828400, Toll Free No.: 1800-103-3009, 1800-300-30000 Website: https://www.shriramgi.com
Registration No. 137 and Date of Registration with the IRDAI - May 08,2008 CIN No. U66010RJ2006PLC029979 ISO/IEC 27001:2013 Certified
REVENUE ACCOUNT FOR THE YEAR ENDED ON 31st MARCH 2025
| FORM NL-4-B-RA | ||||||||
|---|---|---|---|---|---|---|---|---|
| Particulars | Fine | Marine | Miscellaneous | Total | ||||
| Total March 31 | 31st March 31 | 31st March 31 | 31st March 31 | 31st March 31 | 31st March 31 | 31st March 31 | 31st March 31 | |
| 1 | 2026 | 2025 | 2026 | 2025 | 2026 | 2025 | 2026 | 2025 |
| Premiums earned (Net) | 3,354 | 4,759 | 173 | 81 | 381,29 | 309,915 | 282,581 | 373,889 |
| Profit Loss on submatanyation of Investments | 21 | (181) | 1 | (6) | 1,834 | 25,787) | 1,890 | 25,854) |
| Interest, Divided & Non - Gross | 2,534 | 3,305 | 63 | 70 | 61,004 | 73,795 | 64,415 | 75,445 |
| Other | ||||||||
| Other income (to be specified) | ||||||||
| 0: Contribution | ||||||||
| Amortization Income | (46) | (25) | (2) | (1) | (25) | (7) | (72) | (41) |
| 22.865c. Income | 0 | 0 | 0 | 0 | (32) | 50 | (32) | 50 |
| Shareholders' Account 0: Deposit Earnings Expenses of Management 01 Offers (income-specific) | 0 | 0 | 0 | 0 | 4,892 | 0 | 4,892 | |
| TOTAL (A) | 7,344 | 7,160 | 102 | 144 | 470,320 | 362,866 | 478,067 | 395,170 |
| Census Incurred (Net) | 1,420 | 2,096 | 77 | 39 | 273,596 | 200,201 | 274,295 | 272,513 |
| Commission | 214 | 1,404 | 0 | 33 | 94,821 | 75,954 | 64,246 | 77,291 |
| Operating Expenses related to Insurance Business | 661 | 1,305 | 56 | 22 | 42,302 | 38,064 | 44,419 | 39,271 |
| Premium Deficiency | ||||||||
| TOTAL (B) | 3,550 | 5,865 | 139 | 51 | 410,415 | 323,215 | 413,057 | 328,075 |
| Operating Profit(Loss) for (A-B) | 5,540 | 1,485 | 54 | 53 | 50,910 | 55,647 | 63,010 | 61,105 |
| ADMINISTRATIONS | ||||||||
| Assets to Controllable Income | 3,046 | 1,405 | 34 | 32 | 39,916 | 59,647 | 63,016 | 61,105 |
| Operating Expenses related to Income to Business | ||||||||
| Premium Delivery | ||||||||
| TOTAL (C) | 5,540 | 1,485 | 54 | 53 | 50,910 | 55,647 | 63,010 | 61,105 |
PROFIT AND LOSS ACCOUNT FOR THE YEAR ENDED ON 31st MARCH 2026
| FORM NL-2-B-PL | ||||||||
|---|---|---|---|---|---|---|---|---|
| Particulars | 31st March 2026 | 31st March 2025 | 31st March 2026 | 31st March 2026 | 31st March 2026 | 31st March 2026 | 31st March 2026 | |
| (Amount in Rs. Lakhs) | ||||||||
| Particulars | ||||||||
| Services | ||||||||
| BaaS | ||||||||
| Accommodation Services | ||||||||
| S&PPC | ||||||||
| S&PPC | ||||||||
| S&PPC | ||||||||
| S&PPC | ||||||||
| S&PPC | ||||||||
| S&PPC | ||||||||
| S&PPC | ||||||||
| S&PPC | ||||||||
| S&PPC |
Analysis: SHEET AA AT 31st MARCH 2026
| FORM NL-2-B-RA | ||
|---|---|---|
| Particulars | Schedule Ref. Form No. | As At 31.03.2026 |
| SOURCES OF FUNDS | ||
| SALES | NL-4 | 25,910 |
| SHARE APPLICATION MONEY PENDING ALLOTMENT | ||
| RESERVES AND SURPLUS | NL-10 | 270,620 |
| LEGENCY | ||
| H&O ASSESSMENT Funds | ||
| H&O ASSESSMENT Funds | ||
| REQUISITORS' Funds | ||
| BORROWINGS | NL-11 | - |
| TOTAL | 284,670 | |
| APPLICATION OF FUNDS | ||
| INVESTMENTS-Blazerholders | NL-12 | 236,908 |
| INVESTMENTS-Polityholders | NL-12A | 1,109,215 |
| LIABILITY | ||
| H&O ASSESSMENT FUNDS | NL-14 | 4,862 |
| DEFINITIONS TAX ASSET | 1,133 | |
| CURRENT ASSETS | ||
| Cash and Bank Balances | NL-15 | 11,153 |
| Advances and Other Awards | NL-16 | 74,043 |
| Sales Tax (A) | 66,056 | |
| Bulk Total (A) | 86,056 | |
| DEPENDITIVE LIABILITY | ||
| CURRENT LIABILITIES | NL-17 | 1,061,638 |
| PROVISIONS | NL-15 | 336,795 |
| Bulk Total (B) | 1,239,034 | |
| NET AMOUNT ASSETS (C) = (A-B) | (1,153,536) | |
| CURRENT ASSETS | ||
| BALANCING (B) (B) (B) (C) | ||
| BENEFITS (B) (C) | ||
| CURRENT ASSETS | ||
| BALANCING (C) (C) | ||
| BALANCING (D) | ||
| BALANCING (D) |
Analysis: BINET AA AT 31st MARCH 2026
| FORM NL-2-B-PL | ||
|---|---|---|
| Particulars | Schedule Ref. Form No. | Amount in Rs. Lakhs |
| SOURCES OF FUNDS | ||
| SALES | NL-4 | 25,910 |
| SHARE APPLICATION MONEY PENDING ALLOTMENT | ||
| RESERVES AND SURPLUS | NL-10 | 270,620 |
| LEGENCY | ||
| H&O ASSESSMENT Funds | ||
| H&O ASSESSMENT Funds | ||
| REQUISITORS' Funds | ||
| BORROWINGS | NL-11 | - |
| TOTAL | 284,670 | |
| APPLICATION OF FUNDS | ||
| INVESTMENTS-Blazerholders | NL-12 | 236,908 |
| INVESTMENTS-Polityholders | NL-12A | 1,109,215 |
| LIABILITY | ||
| H&O ASSESSMENT FUNDS | NL-14 | 4,862 |
| DEFINITIONS TAX ASSET | 1,133 | |
| CURRENT ASSETS | ||
| BALANCING (B) (B) (B) (C) | ||
| BENEFITS (B) (C) | ||
| CURRENT ASSETS | ||
| BALANCING (D) |
- Previous year's figures are regressed / rearranged wherever necessary to make them comparable with those of current year.
Place: Jaipur
Date: 13th May, 2026
For and on behalf of the Board:
Aan
And-Numan Aggarwal
Managing Director & CEO
DIN: 41538037
Analytical Ratios for Non-Life companies
FORM NL-20-ANALYTICAL RATIOS SCHEDULE
| Rt.No. | Particular | 31st March 2026 | 31st March 2026 |
|---|---|---|---|
| 1 | Gross Direct Premium (from) Rate | 32.06% | 31.87% |
| 2 | Gross Direct Premium to Net worth Ratio | 256.37% | 138.79% |
| 3 | Growth rate of Net Worth | 8.87% | 8.47% |
| 4 | Net Retention Rate | 1.00% | 1.00% |
| 5 | Net Commission Ratio | 22.14% | 22.14% |
| 6 | Expenses of Management to Gross Direct Premium Ratio | 18.85% | 13.38% |
| 7 | Expenses of Management to Net Write Premium Ratio | 18.85% | 13.38% |
| 8 | Net Incurred Claims to Net Earned Premium | 68.96% | 67.65% |
| 9 | Claims paid to claims provisions | 32.28% | 30.13% |
| 10 | Combined Ratio | 102.00% | 101.00% |
| 11 | Consolidated Premiums of Management | 7.44% | 6.71% |
| 12 | Technical Revenues to net premium ratio | 109.17% | 99.17% |
| 13 | Underwriting balance ratio | 6.33% | -4.82% |
| 14 | Operating Profit Ratio | 10.08% | 10.08% |
| 15 | Liquid Assets to liabilities ratio | 1.00% | 1.00% |
| 16 | Net earning ratio | 14.16% | 14.16% |
| 17 | Return on net worth ratio | 26.27% | 16.17% |
| 18 | Assistors Senency Margin Ratio to Required Senency Margin Ratio | 2.95 | 2.91 |
| 19 | BIN Ratio | - | - |
| 20 | Gross MNI Ratio | NA | NA |
| 21 | Net MNI Ratio | NA | NA |
| 22 | Debt Earnings Rate | NA | NA |
| 23 | Debt Service Coverage Ratio | NA | NA |
| 24 | Interest Service Coverage Ratio | NA | NA |
| 25 | Earnings per share | $1.19 | $1.19 |
| 26 | Book value per share | 114.42 | 109.85 |
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रविवार, दि. 29 मे, 2025
मुंबई लखदौरा १७
रोज बाचा वै. मुंबई लखदौरा
बाकी सूचना
मुख्य मंत्रालय द्वारा रोज बाच वै. मुंबई लखदौरा के मुताबिक लखदौरा (रोज बाच) को 15 जून, 2025 को रोज बाच दी गई थी। इस मंत्री ने इस योजना के तहत 2025 की रोज बाच रोज बाच की थी। जिसका लाभ वह 15 जून, 2025 को रोज बाच दी गई थी। इस योजना के तहत 2025 की रोज बाच रोज बाच की थी।
पात्र
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पात्र
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