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Murudeshwar Ceramics Ltd. Earnings Release 2020

Nov 17, 2020

62002_rns_2020-11-17_5e5b7f4d-4145-4838-bafc-227e8ea4bd7c.pdf

Earnings Release

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Naveen Complex, 7th Floor, No.14, M.G. Road, Bengaluru - 560001 India. Ph: O80 - 42897000, 25584181 E-mail : [email protected], [email protected]

GSTN : 29AABCM2526R12Z CIN : L26914KA1983PLC005401

MCL: SEC: 2020

DATE: 17.11.2020

To, " To, MUMBAI 400 001. Bandra (East), MUMBAI 400 051. STOCK CODE: 515037 STOCK CODE: MURUDCERA.EQ

BOMBAY STOCK EXCHANGE LIMITED NATIONAL STOCK EXCHANGE OF INDIA LIMITED Floor 25, P J Towers, Dalal Street, Exchange Plaza, Bandra Kurla Complex,

Dear Sir/Madam,

Sub: - Publication in Newspaper —Financial Results for the quarter and half year ended 30.09.2020.

Ref: - Stock Code of NSE: MURUDCERA; BSE: 515037

In continuation to our outcome of Board Meeting dated September 13, 2020 with regard to Unaudited Financial Results for the quarter ended September 30, 2020. Please find enclosed herein under a copy of the advertisement published in English and Kannada (vernacular language) newspapers.

This is for your information and records.

Thanking You,

Yours' faithfully,

For Murudeshwar Ceramics Limited

Ze ey Ashok Kumar Ea

Company Secretary & LAY, Compliance Officer Ge tA

An ISO 9001-2008 Certified Company

ವಿಜಯವಾಣಿ

ಹುಬ್ಬಳ್ಣ - 580 030 ≌ 0836-2331615/8 Fax:0836-4252583

CIN:L26914KA1983PLC005401 email:[email protected], Website:www.naveentile.com

ದಿ. 30 ಸಪ್ಟೆಂಬರ 2020ಕ್ಕೆ ಕೂನೆಗೊಂಡ ತ್ರೈಮಾಸಿಕ / ಅರ್ಧ ವಾರ್ಷಿಕ ಅವಧಿಯ ಪಲಿಶೋದಿಸಲಡದೇಯಿರುವ ್ಾ .ಂಡ್ಅಲೋನ್ ಆರ್ಥಿಕ ಪಲತಾಂಶಗಳು

$A = 1$
ತ್ರೈಮಾಸಿಕಕ್ಕೆ ಕಳೆದ ವರ್ಷ ಕಳೆದ ವರ್ಷದಲಿ
ಕೊನೆಗೊಂಡ/ ಕೊನೆಗೊಂಡ
ವರ್ಷದಿಂದ
ಅನುಗುಣವಾದ
ಪ್ರಸಕ್ತ ವರ್ಷಕ್ಕೆ ದಿನಾಂಕಕೆ. ತ್ರೈಮಾಸಿಕಕ್ಕೆ
$\frac{1}{6}$ ವಿವರಗಳು ಕೊನೆಗೊಂಡ ಅಂಕಿಆಂಶಗಳು ಕೊನೆಗೊಂಡ
30.09.2020 30.092020 30.09.2019
ಕಾರ್ಯಾಚರಣೆಗಳಿಂದ ಬಂದ ಒಟ್ಟು ಆದಾಯ 1,506.93 2,395.12 3,049.22
2 ಅವಧಿಗೆ ನಿವ್ವಳ ಲಾಭ/(ನಷ್ಟ) ತೆರಿಗೆಯ ಮುಂಚೆ
(ವಿಶೇಷ ಮತ್ತು/ಅಥವಾ ಅಸಾಧಾರಣ ವಸ್ತುಗಳು) (811.50) (1924.23) 789.58
3 ನಿವ್ದಳ ಲಾಭ/(ನಷ್ಟ) ತೆರಿಗೆಯ ಅವಧಿಗೆ ಮುಂಚೆ
(ವಿಶೇಷ ಮತ್ತು/ಅಥವಾ ಅಸಾಧಾರಣ ವಸ್ತುಗಳ ನಂತರ) ((811.50) (1924.23) 789.58
$\overline{4}$ ನಿವ್ವಳ ಲಾಭ/(ನಷ್ಟ) ತೆರಿಗೆಯ ಅವಧಿಯ ನಂತರ
(ವಿಶೇಷ ಮತ್ತು/ಅಥವಾ ಅಸಾಧಾರಣ ವಸ್ತುಗಳು) (811.50) (1924.23) 624.29
5l ಅವಧಿಗೆ ಒಟ್ಟಾರೆ ಸಮಗ್ಯ ಆದಾಯದ (ತೆರಿಗೆಯ ನಂತರ)
ಅಡಕಗೊಂಡಿರುವ (ಲಾಭ/(ನಷ್ಟ) ಒಳಗೊಂಡಿದ್ದು) ಮತ್ತು
ಇತರೇ ಸಮಗ್ರ ಆದಾಯ (ತೆರಿಗೆಯ ನಂತರ) (811.50) (1924.23) 624.29
6 ಸಂದಾಯವಾದ ಈಕ್ರಿಟಿ ಷೇರು ಬಂಡವಾಳ 4758.17 4758.17 4758.17
ಹಿಂದಿನ ವರ್ಷದ ಪರಿಶೋಧಿತ ಬ್ಯಾಲೆನ್ಸ್ ಷೀಟಿನಲ್ಲಿ ಸೂಚಿಸಿದಂತೆ
ಮೀಸಲುಗಳು (ಪುನರ್ವವೌಲ್ಯಕರಗೊಂಡ ಮೀಸಲು ಹೊರತುಪಡಿಸಿ) 28,671.41 28,671.41 28,548.88
8 ಪ್ರತಿ ಷೇರಿಗೆ ಗಳಿಕೆಗಳು (ತಲಾ ರೂ.10/-ರದ್ದು
ಮುಂದುವರಿಯುತ್ತಿರುವ ಮತ್ತು ನಿಲ್ಲಿಸಿರುವ ಕಾರ್ತಾಚರಣೆಗಳಿಗೆ)
(1.70) (4.04) 1.32
(1.70) (4.04) 1.32
(1) ಮೂಲ
(2) ಅಪಮೌಲ್ಯವಾದದ್ದು

ಸೂಚನೆ:1) 30 ಸಪ್ಟೆಂಬರ, 2020ಕ್ಕೆ ಕೊನೆಗೊಂಡ ತ್ರೈಮಾಸಿಕ/ಅರ್ಧವಾರ್ಷಿಕ ಆರ್ಥಿಕ ಫಲಿತಾಂಶಗಳನ್ನು ಲೆಕ್ಬ
ಪರಿಶೋಧನಾ ಸಮಿತಿಯು ಪರಿಶೀಲಿಸಿದ್ದು, ದಿನಾಂಕ 13.11.2020 ರಂದು ನಡೆದ ಸಭೆಯಲ್ಲಿ ನಿರ್ದೇಶಕರುಗಳು ಅವರ ಸಭೆಯಲ್ಲಿ ಅನುಮೋದಿಸಿರುತ್ತಾರೆ. ಮತ್ತು ಕಂಪನಿಯ ಶಾಸನಬದ್ಧ ಲೆಕ್ಟ ಪರಿಶೋಧಕರು ಸೀಮಿತ ಪರಿಶೀಲನೆ ಮಾಡಿರುತ್ತಾರೆ. 2) ಮೇಲೆ ತಿಳಿಸಿರುವುದು 2015ರ ಸೆಬಿಪಟ್ಟಿ (ಇತರೆ ಬಹಿರಂಗ ಪಡಿಸುವಿಕೆ ಅಗತ್ಯಗಳು), ನಿಬಂಧನೆಗಳ ನಿಬಂಧನೆ 33 ರನ್ವಯ ಷೇರು ವಿನಿಮಯ ಕೇಂದ್ರಗಳಲ್ಲಿ ಸಲ್ಲಿಸಿರುವ ವಿವರವಾದ ನಮೂನೆಯ ಉದ್ದತವಾಗಿದೆ. ತ್ರೈಮಾಸಿಕ/ವಾರ್ಷಿಕ ಆರ್ಥಿಕ ಫಲಿತಾಂಶಗಳ ಪೂರ್ಣ ನಮೂನೆಯು ಷೇರು ವಿನಿಮಯ ಕೇಂದ್ರಗಳ ಸೈಟ್ ಎಂದರೆ.ಬಿಎಸ್ಇ ವೆಬ್ಸೈಟ್: www.

ರೂ.ಲಕಗಳಲಿ

bseindia.com (BSE) ,WWW.nseindia.com (NSE) ಮತ್ತು ಕಂಪನಿಯ ವೆಬ್ಸೈಟ್ :www.naveentile.com ಇಲ್ಲಿ ಲಭ್ಯವಿರುತ್ತದೆ. 3) ಅಗತ್ಯವಾದಡೆಯಲ್ಲಿ ಹಿಂದಿನ ಅವಧಿಗಳ ಅಂಕಿ ಅಂಶಗಳನ್ನು ಮರುಗುಂಪು ಮಾಡಲಾಗಿದೆ. ನಿರ್ದೇಶಕರ ಮಂಡಳಿ ಆಜ್ಜೆಯ ಮೇರೆಗೆ ಮುರುಡೇಶ್ವರ ಸಿರಾಮಿಕ್ಸ್ ಲಿಮಿಟೆಡ್ ಪರವಾಗಿ ಸಹಿ/–ಸತೀಶ ಆರ್.ಶೆಟ್ಟಿ, ಸ್ಥಳ: ಬೆಂಗಳೂರು ವೈಸ್ ಚೇರಮನ್ ಮತ್ತು ನಿರ್ವಾಹಕ ನಿರ್ದೆಶಕರು a. 13.11.2020 ಡಿಐಎನ್:00037526

Hubli Edition Nov 15, 2020Page No. 4
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FINANCIAL EXPRESS

35

The Singareni Collieries Company Limited
$\circ$
(A Government Company)
Regd. Office: KOTHAGUDEM- 507101, Telangana.
E-PROCUREMENT TENDER NOTICE
Tenders have been published for the following Services / Material
$f_{ICICI}$
ICICI Prudential Asset Management Company Limited
PRUDENTIAL
MUTUAL FUND
FTARAKKI KAREIN!
Registered Office: 12 th Floor, Narain Manzil, 23, Barakhamba Road, New Delhi - 110 001.
Corporate Identity Number: U99999DL1993PLC054135 Registered and Corporate Office : 923, G.T. Raod Jalandhar
Ph. No. 0181-4639903-06, Fax No.0181-2459635, Website : www.phfleasing.com
PHF LEASING LIMITED
CIN No.L65110PB1992PLC012488
Email id : [email protected]
Procurement through e-procurement platform. For details, please visit
https://tender.telangana.gov.in - or - https://www.sccimines.com
Corporate Office: One BKC, 13th Floor, Bandra Kurla Complex, Mumbai - 400 051. Statement of Standalone Unaudited Financial Results for the Quarter and half year ended on September 30,2020 (In Lakhs)
NIT/Enquiry No.- Description / Subject- Last date and time for Submission of bid(s) Tel.: +91 22 2652 5000, Fax: +91 22 2652 8100, Website: www.iciciprumf.com,
Email id: [email protected]
Quarter Ended Half Yearly Year ende
E112000289- DRILLING, EXCAVATION, LOADING, TRANSPORTATION, DUMPING,
SPREADING & LEVELLING, ETC., OF 702.189LBCM OF IN-SITU OB (WHICH
Central Service Office: 2 nd Floor, Block B-2, Nirlon Knowledge Park, Western Express PARTICULARS 30/09/2020 30/06/2020 30/09/2019 30/09/2020 30/09/2019 31.03.202
INCLUDES 43.342 LBCM COAL) AND 3.306 LCM OF REHANDLING & SPREADING
OF LOOSE TOPSOIL ON FINISHED EXTERNAL DUMPSWITH HIRED
Highway, Goregaon (E), Mumbai - 400 063. Tel.: 022 2685 2000 Fax: 022 26868313 Unaudited Unaudited Unaudited Unaudited Unaudited Audited
CONVENTIONAL EQUIPMENT AND ADDITIONAL WORKS, VIZ., 6,00,000 RMT OF
DRILLING, 5,000 SHOVEL HOURS AND 5000 DOZER HOURS AT
Notice to the Investors/Unit holders of ICICI Prudential Equity Savings Fund
(the Scheme)
Revenue from operations
Interest income
50.99 44.20 55.94 95.19 122.67 272.03
RAMAKRISHNAPUR OPENCAST PROJECT.MANDAMARRI AREA FOR A PERIOD
OF 48 MONTHS. - 16.11.2020-15:00 Hrs.
Notice is hereby given that ICICI Prudential Trust Limited, Trustee to ICICI Prudential Dividend Income
Total Revenue from operations
0.00
50.99
0.00
44.20
0.38
56.32
95.19 0.81
123.48
0.02
272.05
E112000290- DRILLING, EXCAVATION, LOADING, TRANSPORTATION, DUMPING,
SPREADING & LEVELLING, ETC., OF 612.786 LBCM IN-SITU OB (WHICH INCLUDES
Mutual Fund has approved declaration of the following dividend under the dividend (II) Other income 5.47 2.39 0.11 7.86 0.69 1.96
582.692 LBCM OF HARD OB, 5.820 LBCM OF TOP SOIL & 24.274 LBCM OF COAL)
AND 4.00 LCM RE-HANDLING OF LOOSE OB WITH CONVENTIONAL EQUIPMENT
option of the Scheme, subject to availability of distributable surplus on the record date
i.e on November 19, 2020*:
EXPENSES (III) TOTAL INCOME (I+II) 56.46 46.59 56.43 103.05 124.17 274.01
AND ADDITIONAL WORKS, VIZ., 1000 SHOVEL HOURS, 500 DOZER HOURS
& 140,000 RMT OF DRILLING AT KTK OC-II PROJECT, BHUPALPALLY AREA FOR A
Name of the Scheme/Plans Dividend NAV as on Finance Costs 23.15
23.92
18.48
18.80
17.64
19.72
41.63
42.72
32.06
37.56
75.83
84.71
PERIOD OF 36 MONTHS.-20.11.2020-15:00 Hrs.
E1820O0258- Transportation of Light Diesel Oil (LDO) and Heavy Fuel Oil (HFO) from
$(5$ per unit) November 12, Employee Benefits Expenses
(iii) Depreciation, amortization and impairment
1.82 3.02 1.01 4.84 2.03 12.08
storage & handling terminals of IOCL/HPCL/BPCL, Visakhapatnam to STPP,
SCCL, Pegadapalli Vill, Jaipur(M), Mancherial District, Telangana under Rate Contract for
(Face value of
₹ 10/- each) \$#
2020
$(5$ Per unit)
(iv) Others expenses (v) Impairment on financial instruments 10.01
10.88
4.64
$-0.11$
16.69
(1.17)
14.65
9.71
50.32
11.67
60.25
55.56
a period of two years. - 26, 11.2020-17:00 Hrs. ICICI Prudential Equity Savings Fund (IV) Total Expenses (V) Profit before tax before exceptional items(III-IV) 69.78
(13.32)
44.83
1.76
53.89
2.54
113.55
(10.50)
133.64
(9.47)
288.43
(14.42)
E0520O0277- Procurement of graphite electrodes for 3T Electric Arc Furnace at CWS,
Kothagudem.- 27.11.2020-17:00 Hrs.
Monthly Dividend 0.05 11.08 (vi) Exceptional Items
(vii) Profit before tax
(13.32) 0.00
1.76
0.00
2.54
0.00
(10.50)
0.00
(9.47)
0.00
(14.42)
E0320O0283- Procurement of ME-1000 model Drills spares on RC basis for a period of 2
Years- 01.12.2020-17:00 Hrs.
GM (MP)
Direct Plan - Monthly Dividend 0.05 12.74 (viii) Tax expenses
(1) Current tax
0.00 0.00 0.00 0.00 0.00 (0.31)
NIT No., Date - Name of the work - Estimated Contract Value - Last date & time
for Submission of bids
\$ The dividend payout will be subject to the availability of distributable surplus and
may be lower depending upon the extent of distributable surplus available on the
(2) Deferred tax
(3) Mat Tax entitement
2.18
n nn
0.00
0.00
0.00
0.00
2.18
0.00
0.00
0.00
9.08
12.063
RG.2/CVL/ET-36/2020-21- Labour charges for laying and Jointing of water supply pipe
lines for de-watering in monsoon at OCP-III quarry for the 2020-21 at RG-II area,
record date under the dividend option of the Scheme. (IX) Net tax expenses (4) Income Tax Adjustment 0.00
2.18
0.00
0.00
0.00
0.00
0.00
2.18
0.00
0.00
(0.39)
6.32
Godavarikhani Dist. Peddapalli, Telangana State-Rs. 39,29,779/-27.11.2020-4:30 PM.
-GM. (RG.2Area)
# Subject to deduction of applicable statutory levy.
or the immediately following Business Day, if that day is a Non - Business Day.
(X) Profit for the period (vii+ix)
(XI) Other comprehensive income
(11.14) 1.76 2.54 (8.32) (9.47) (8.10)
MNG/CVL/TN-27/2020-21, Dt.09.11.2020- Maintenance of filter beds (Slow Sand filters
and RG filters) at GL Sump including cleaning of OH tanks at C Type quarters of GM
Dividend will be paid to all the unit holders/beneficial owners whose names appear (i) Net gain on equity instrument designated at
FVOCI. (Shares in Capital Small Finance Bank)
0.00
Office Colony, GM Office Buildings and Mines Area for the two years period i.e., 2020-21
and 2021-22, Manuguru Area, Bhadradri Kothagudem District, Telangana State-Rs.
in the register of unit holders/Statement of beneficial owners maintained by the (ii) "(ii) Income tax relating to items that will not 0.00 0.00 0.00 0.00 16.80
37,54,138/-27.11.2020-5:00 PM
- GM (MNG)
CRP/CVL/SRP/TN-52/2020-21, Dt.09.11.2020- Construction of 4 Bays Dumper
Depositories, as applicable under the dividend option of the Scheme, at the close of
business hours on the record date.
bereclassified to profit or loss*
Other Comprehensive Income
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
(3.36)
13.44
Maintenance shed including CC padding infront of shed at IK-OCP in Srirampur area,
Mancherial dist, Telangana State-Rs. 2,76,21,599/-24.11.2020-4:30 PM. - GM (CIVIL)
It should be noted that pursuant to payment of dividend, the NAV (XII) Total Comprehensive Income for the period (x+xi)
(XIII) Paid-up equity share capital (face value Rs.10/-
0.00 0.00 0.00 0.00 0.00 13.44
CW/SRP/E-46/T-56/2020-21- Construction of Box culvert at C-2 Conveyor for crossing
of tippers of new OBR offloading at SRP-OCP in Srirampur area, Mancherial (Dist), T.S.-
of the dividend option of the Scheme would fall to the extent of per share
(XIV) Other equity
298.78
244.21
298.78
222.72
298.78
252.52
Rs. 35, 13, 522/-27. 11.2020-4:30 PM.
- Dy.GM (Civil), SRP
PR/2020-21/MP/CVL/60
RO No: 1136-PP/CL-AGENCY/ADVT/1/2020-21
dividend payout and statutory levy (if applicable). For ICICI Prudential Asset Management Company Limited (nominal value of share Rs.10/-) (XV) Earnings per equity share {refer note no. 31(15)}
Place: Mumbai Sd/- Basic (Rs.)
Diluted (Rs.)
(0.28)
(0.28)
$(0.32)$
$(0.32)$
(0.27)
(0.27)
ORIENT BEVERAGES LIMITED Date: November 13, 2020 Authorised Signatory The above results of PHF Leasing Ltd. ("the company") have been reviewed by the Audit Committee and approved by the Board o
ON LYSUMPHARLOOM
Regl Ofter Velocity! Jel Revl, 135, A.L.C. Box Road Kokab-TV VW, P.B., Pr. (33) 229-TV II
No. 006/11/2020
To know more, call 1800 222 999/1800 200 6666 or visit www.iciciprumf.com
Directors at their respective meeting held on Nov 13,2020.
Wede www.off.org/individuality.com
EXTILICE OF UNAUGHTED STANDALONE AND CONSOLIDATED FINANCIAL RESULTS FOR THE QUARTER AND HALF YEAR ENDED SUPTERIER 30, 233
As part of the Go Green Initiative, investors are encouraged to register/update their e-mail id The above is an extract of the detailed format of the standalone financial results for the quarter and half year ended on 30th
September, 2020 file with the Stock Exchange pursuant to Regulation 33 of the SEBI (Listing Obligations and Disclouse
and mobile number to support paper-less communications. Requirements) Regulations, 2015. The figures for the previous/year have been regrouped/rearranged whenever necessary to confirm the the current period/yea
Screenbuster Yurister
Six norths and ad
Qurbs wood
To increase awareness about Mutual Funds, we regularly conduct Investor Awareness
Programs across the country. To know more about it, please visit https://www.iciciprumf.com
presentation The Statutory Auditor have carried out a Limited Review of the financial results for the quarter ended 30.09.2020.
Particulars
NAME XAME 1803 BRAN (ART) 3/422 XAME 2/4/22 XAME 2/4/27 2010 10:30 10:30
Hasting: Strausbud Linustral Grausbud/Juvening (Juvening) (Austral
or visit AMFI's website https://www.amfiindia.com The Financial Results are available on Company's website http://www.phfleasing.com and website of MSEI http://www.msei.in By order of the Board
1984 19 122 123 124 142 153 164 17 153 164 165 166
Tabl home from Openberg
Mutual Fund investments are subject to market risks, Place: Jalandhar Dated: November 13,2020 For PHF Leasing Ltd.
W: Frofi@casi by the pelot factors Tax.
图 清
13 图 22
一面
24.1
$-91 -$
2021 2M
finded aviv bracker iera
$\frac{1}{2}$
read all scheme related documents carefully. Managing Director DIN 00993747 Shiv Dyal Chugh
Set profit(use) for the period before tax
200 214 125 047 26 28 29 20 217
第一面 置
Whe Excellent and/or Extractivery (em)
I for FederLand for the point about the ORIENT BEVERAGES LIMITED CIN - L15520WB1960PLC024710
蘭 世
200 216 76 048 145 141 290 038
Vite Excellent vider Extractions Vent.
Table Competer does not by the parish
Website: www.obl.org.in, Email: [email protected] Regd. Office: "Aelpe Court", 3rd Floor, 225C, A.J.C. Bose Road Kolkata-700 020, W.B., Ph: (033) 2281-7001
Concrising Profit Least for the period later tast
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EXTRACT OF UNAUDITED STANDALONE AND CONSOLIDATED FINANCIAL RESULTS FOR THE QUARTER AND HALF YEAR ENDED SEPTEMBER 30, 2020
Doub Show Cight
263 268 269 269 269 269 269 269 269 269 269 269
The Early (bolding resination reason)
Standalone Consolidated (₹ in Lakh)
184
I ha per Author Balanca Shauti
Earning per than (Ros villa of 1 10- each)
Particulars
ls
30.09.2020 30.06.2020 Quarter Ended
30.09.2019
30.09.2020 Six months ended
30.09.2019
Year ended
31.03.2020
30.09.2020 Quarter ended
30.06.2020 30.09.2019
Six months ended
30.09.2020
30.09.2019 31.03.2020 Year Ended
Not Amadeud No (Unaudited) (Unaudited) (Unaudited) (Unaudited) (Unaudited) (Audited) (Unaudited) (Unaudited) (Unaudited) (Unaudited) [Unaudited) (Audited)
Basic and Olded IT
道理
$\begin{array}{c} 1 & 1 \ 1 & 1 \end{array}$
建器图
机制 相關
M

难怪 田園
Total Income from Operations
Net Profit/(Loss) for the period (before Tax,
1,054 731 2,272 1,785 4,422 8,189 1,061 787 2,523 1,848 4,890 8,805
The standalene unautised francial results of Wis Driver Benevapor Ltd. Ohe Yielding Company) for the Quarter and half your extend (\$20 September, 2020 and consolidated analytind of executive of the I
Holding Company and its subsidiaries (Min Sheard Durich Pet Lit), and Min Pat Lit (Art For Lite guardier and Indian per anded 30th September, 2020 have been reviewed by the Audi Committed
Exceptional and/or Extraordinary items)
Net profit/(Loss) for the period before tax
(233) (214) 105 (447) 204 221 (284) (217) 106 (501) 212 95
and approved by the Board of Diversion at their meeting restice 13th November, 2020
2. Den te nationelisk oddern for 13th Kest, 2013 of 2013 and Softe sortraing partial less coven in the State of Wed Bergal, the Holdey Company's as well as Emach Sales. Prefixable and curt
(after Exceptional and/or Extraordinary items)
Net Profit/(Loss) for the period after tax
(233) (214) 105 (447) 204 221 (284) (217) 106 (501) 212 95
all proformance has a flowed may both. The Holding Company School has been able and set that the stand and may be added to the and a state of the state and set on the first of the first of the state of the first of the fir
Inversió esterent. The Holdey Congrey Geographicals to study monter the reptily charging sharlor. The inpact of COVID-19 or the Broads freestof mouto may other from that estimated as at the
(after Exceptional and/or Extraordinary items) (233) (215) 75 (448) 145 141 (284) (218) 76 (502) 151 41
date of approval of these financial results.
The piper is an octobe the detailed forms of the Francial Results for the Quanto and Half your enter \$4,300 floor and the Ston Enchanges under Register 33 of the 528 Easting and Ohnel
Total Comprehensive Income for the period
[Comprising Profit/(Loss) for the period (after tax)
Dictioner Regulations (Registres, 2015. The full family of the Cycloter Bandows and Constituted Results are available of the Scott Beharge of your boards are and
www.con-india.com and also on the Company's website at www.scl.org.in
and Other Comprehensive Income (after tax)]
Equity Share Capital
(238)
216.15
(219)
216.15
72
216.15
(457)
216.15
140
216.15
122
216.15
(289)
216.15
(222)
216.15
73
216.15
(511)
216.15
146
216.15
22
216.15
B Dánd Wood Other Equity (Excluding revaluation reserve,
As per Audited Balance Sheet)
$-1$ $\sim 100$ $\sim$ 2,054 $\sim$ $\sim$ $\sim$ $\alpha$ . 1,978
NORBATREABANES LA
1 (http
Page : Volum
Earnings per share (Face value of ₹ 10/- each )
(Not Annualised)
Chéme
Med 131139
08-00801
Basic and Diluted $(7)$ $-10.78$ $-9.95$ 3.46 $-20.73$ 6.69 6.54 $-13.14$ $-10.09$ 3.51 $-23.22$ 6.99 1.91
$p_{\rm 02}$ ; $\lambda \rm 000$ . ONBITION
Direct 13/1300 Ď

URUDESHWAR CERAMICS LTD.
Regd.Office: Murudeshwar Bhavan Gokul Road, HUBBALLI-580 030 $\overline{3}$ 0836-2331615/8 Fax:0836-4252583 CIN:L26914KA1983PLC005401 email:[email protected] Website:www.naveentile.com STANDALONE UNAUDITED FINANCIAL RESULTS FOR THE QUARTER/HALF YEAR ENDED ON 30.09.2020 (Rs. in lakhs)

SL
No.
Particulars usarısı
ending/
Current year
ending
30.09.2020
year to date
Figures/
Previous
Year Ending
30.09.2020
www.comunis
3 Months
ended in
the previous
year
30.09.2019
1 Total income from Operations 1,506.93 2,395.12 3.049.22
$\overline{2}$ Net Profit / (Loss) for the
period (before Tax Exceptional
and/or Extra Ordinary Items)
(811.50) (1924.23) 789.58
$\overline{3}$ Net profit/(Loss) for the period
before tax (after Exceptional
and/or Extra-ordinary items)
(811.50) (1924.23) 789.58
$\overline{4}$ Net profit/(Loss) for the period
after tax (after Exceptional
and/or Extra-ordinary items)
(811.50) (1924.23) 624.29
$\overline{\mathbf{5}}$ Total Comprehensive Income
for the period [(Comprising
Profit/(Loss) for the period
(aftertax)& Other Comprehensive
Income (after tax)]
811.50) (1,924.23) 624.29
6 Paid up Equity Share Capital 4.758.17 4.758.17 4,758.17
$\overline{7}$ Reserves (excluding
Revaluation Reserve)as shown
in the Audited Balance Sheet
of the previous year)
28,671.41 28,671.41 28,548.88
8 Earning Per Share (of Rs.10/-
each) (for continuing and
discontinued operations)
1.Basic
2.Diluted:
(1.70)
(1.70)
(4.04)
(4.04)
1.32
1.32

Notes:

The standalone unaudited financial results of M/s Orient Beverages Ltd. (the 'Holding Company') for the Quarter and half year ended 30th September, 2020 and consolidated unaudited financial results of the Holding Company a and approved by the Board of Directors at their meeting held on 13th November, 2020.

Due to nationwide lockdown from 25th March, 2020 to 31st May, 2020 and further continuing partial lock down in the State of West Bengal, the Holding Company 's as well as Group's Sales, Profitability and over all performance has been affected very badly. The Holding Company/ Group has assessed its assets and liabilities as on the date of meeting and has concluded that no material adjustments are required in the financial statements. The Holding Company/ Group continues to closely monitor the rapidly changing situation. The impact of COVID-19 on the Group's financial results may differ from that estimated as at the date of approval of these financial results.

The above is an extract of the detailed format of the Financial Results for the Quarter and Half year ended September 30, 2020 filed with the Stock Exchanges under Regulation 33 of the SEBI (Listing and Other Disclosure Requirements ) Regulations, 2015. The full format of the Quarterly Standalone and Consolidated Financial Results are available on the websites of the Stock Exchange at www.bseindia.com and www.cse-india.com and also on the Company's website at www.obl.org.in

By Order of the Board
For ORIENT BEVERAGES LTD.
Place : Kolkata N. K. Poddar
Dated :13.11.2020 Chairman
DIN-00304291

Regional office : Shop No. 201-202, Second Floor, Stellar Enclave, D.P. Road, Near Parihar Chowk, Aundh, Pune- 411 007

Sale Notice for Sale of Immovable Properties

E-Auction Sale Notice Mega E-Auction

E-Auction Sale Notice for Sale of Immovable Assets under the Securitisation and Reconstruction of Financial Assets and Enforcement of Security Interest Act, 2002 read with proviso to Rule 8 (6) of the Security Interest (Enforcement) Rule, 2002

Notice is hereby given to the public in general and in particular to the Borrower(s) and Guarantor (s) that the below described immovable properties mortgaged / charged to the Secured Creditor, the constructive/ physical (whichever is applicable) possession of which has been taken by the Authorized Officer of Union Bank of India (secured creditor), will be sold on "As is where is", "As is what is" and "Whatever there is" as per below mentioned details given in tabular form-

Sr. Name of Property details Reserve Price Outstanding Amount Due EMD Deposit Account No. Date/Time of
No. Account Holder & EMD as on 31/10/2020 & Details E-auction
Pvt. Ltd. Amparo Safetech All piece and parcel of property being Plot of land bearing No.10, Admeasuring about
00H02R i.e. 2152.Sq. Fts. from and out of Gat No.184 Totally Admeasuring about
01 H 46R & industrial building constructed thereon Admeasuring about 2590 sq. fts.
RP:
Rs. 32,61,600/-
EMD:
Rs 66,27,228.53
(Rs. Sixty Six Lakhs Twenty)
Seven Thousands Two
A/C No.: 446408090001000
IFSC: UBIN0544647
Shelpimpalgaon Branch
15/12/2020
11.00 am to
$2.00$ pm

Note :1. The above results for the quarter/half year ended 30th September, 2020 have been reviewed by the Audit Committee and approved by the Board of Directors in their meetings held on 13.11.2020 and Statutory Auditors of the Company have carried out a Limited Review. 2. The above is an extract of the detailed format of Quarterly Financial Results filed with the Stock Exchange under Regulation 33 of the SEBI (Listing and Other Disclosure Requirements) Regulations, 2015. The full format of the Quarterly/half year Financial Results are available on the Stock Exchange websites namely (www.bseindia.com, (BSE). www.nseindia.com (NSE) & Company's website:www.naveentile.com 3. The Previous periods figures have been re-grouped/re-classified wherever necessary. By order of the Board of Directors For Murudeshwar Ceramics Ltd., Satish R. Shetty Vice.Chairman & Managing Director Place:Bengaluru

DIN.00037526

Dt: 13, 11, 2020

financialexp.epapr.in

lying and situated at S.G.Jakate Industrial Estate, Village Sanaswadi situated within
the registration district of Pune, subregistrar Taluka Shirur 412208. Bounded as
East-Road, West-Delux Bearing Company, South-Plot No.11 in Gat No.184, North-Plot
No. 09 in Gat No. 184
EML.
Rs. 3,26,160/-
Hundred Twenty
Eight and Paisa Fifty Three
Only)
(Sidhartha Madhe -
Mob: 8980518779)
$\overline{2}$ Salunkhe
Daughters
Bharat Gas
Service
Land 17R along with Godown constructed thereon, Gat No. 81/3A+3B/1/1, Mauje
Mhasave, Bangalore Pune Road, Tal. & Dist. Satara - 415001
RP:
Rs. 72,00,000/-
EMD:
Rs. 7,20,000/-
Rs 80,66,791.56 (Rs. Eighty)
Lakh Sixty Six Thousand Seven
Hundred Ninety One and Paise
Fifty Six Only)
A/C No.:331921980050000
IFSC:CORP0003319
(Satara MIDC (E-CB),
Mr. Bir Parkash.
(Mob: 9041251434)
15/12/2020
11.00 am to
$2.00$ pm
3 Salunkhe
Daughters
Bharat Gas
Service
Property No. 1: Shop No. SH-8, Ground Floor, C.T.S. No. 465 B/5A/1/1, Govind Park.
Cooper Colony, Sadar Bazar, Tal. & Dist. Satara 415002
Property No 2: Flat No. G-3, Ground Floor, C.T.S. No. 465 B/5A/1/1, Govind Park,
Cooper Colony, Sadar Bazar, Tal. & Dist. Satara 415002.
Property 1:
RP: Rs. 13,50,000/-
EMD: Rs. 1,35,000/-
Property 2:
RP: Rs. 14,40,000/-
EMD: Rs. 1,44,000/-
Rs 80,66,791.56 (Rs. Eighty)
Lakh Sixty Six Thousand Seven
Hundred Ninety One and Paise
Fifty Six Only)
A/C No.:331921980050000
IFSC:CORP0003319
(Satara MIDC (E-CB),
Mr. Bir Parkash
(Mob: 9041251434)
15/12/2020
11.00 am to
2.00 pm
4 Mr. Priyesh
Shivaji Dhage
Flat No.5, First Floor, Building No. B (As per Agreement) Building A-Wing B (As per Plan)
Royal Impress, S.No. 127/4+5/2/2, Near Balewadi Phata, Baner Mhalunge Road
Haridwar Park, Village Baner, Taluka Haveli, Pune 411045
RP:
Rs. 45,20,000/-
EMD:
Rs. 4,52,000/-
Rs. 7,39,824.50 (Rs. Seven
Lakh Thirty Nine Thousand
Eight Hundred Twenty Four and
Fifty Paisa Only)
A/C No.: 0774013881200101
IFSC:CORP0000774
(Baner (E-CB),
Mrs. Bhagyashri Mandal
(Mob-9767699549)
15/12/2020
11.00 am to
2.00 pm
5 M/s Anand
Trading
Corporation
Property No. 1: Flat No. 503 & 504, Building No. C, Mantri Eternity Palms S No. 410,411,
Hissa No. 1,2 CTS No. 2304, near Bharat Petrolium, Bhosari, Pune Maharashtra 411012.
Property No 2: Flat No.604, Building No. C, Mantri Eternity Palms S.No. 410,411. Hissa No.
1,2 CTS No. 2304, near Bharat Petrolium, Bhosari, Pune, Maharashtra 411012.
Property No 3: Shop No. 1&3, S.No. 392(Part), 393/3, Opp. Atlas Copco Company, Kunal
Puram, Mumbai-Pune Road, Dapodi, Pune, Maharashtra 411012.
Rs.5,71,98,339.92 (Rupees
RP: Rs. 3,35,15,000/-
Five Crores Seventy One Lakh
EMD: Rs. 33,51,500/-
Ninety Eight thousand Three
Hundred Thirty Nine and Ninety
Two Paisa Only)
RP: Rs. 1,49,95,000/-
A/C No.322001980050000
(IFSC:UBIN0532207)
Kasarwadi Branch,
Pramod Parathe
(Mob-7028078752)
15/12/2020
11.00 am to
$2.00$ pm
Property No. 4: Shop No. 3 and 4, Ground Floor, Panna Chambers, S.No.
31/1B+2+3+4/1+2& 32A/3, CTS No. 1238, Near over Bridge, Old Mumbai-Pune Road,
Dapodi, Pune, Maharashtra 411012.
EMD: Rs. 14,99,500/-
Property No. 3:
RP: Rs. 2,82,10,000/-
EMD: Rs. 28,21,000/-
Property No. 5: Flat No.1103, on Partly Eleventh Floor and Partly on 12th floor, B wing along
with 2 Car Parking space on Ground level in Building B and the proportionate share in
Common Areas etc. of the Society, Blossom Boulevard CHS Ltd. having its PMC property
Property No. 4:
RP: Rs. 58,00,000/-
EMD: Rs. 5,80,000/-
No. 0/1/04/2595061 at Plot No. 421 at Village Ghorpadi, Town Planning Scheme, Pune,
Sangamwadi, Taluka Haveli, Dist. Pune, Maharashtra 411001.
Property No. 5:
RP: Rs. 3,75,00,000/-
EMD: Rs. 37,50,000/-