cambridge technology

3
Registered & Corporate Office: Cambridge Technology Enterprises Limited Unit No 04 - 03, Level 4, Block 1 Cyber Pearl, Hitec City, Madhapur Hyderabad - 500 081, Telangana, India. Tel:+91-40-4023-4400 Fax:+91-40-4023-4600 Email id: [email protected] Bengaluru 91 Springboard Business Hub Pvt Ltd, 4th Floor, #175 & #176, Dollars Colony, Phase 4, JP Nagar, Bannerghatta Main Road, Bengaluru - 560 076, Karnataka, India. Tel: +91-80-4633-4400 Fax:+91-80-4299-5779 Mumbai Level 4, A Wing, Dynasty Business Park Andheri Kurla Road, Andheri (E) Mumbai - 400 059, Maharashtra, India. Tel:+91-22-6786-9410 Fax:+91-22-6786-9199 Chennai AMARA SRI, situated at old No: 313, New No: 455, Block No: 75, 7th floor, Anna Salai Teynampet, Chennai 600018, Tamilnadu, India Tel: 040-40234400 CIN: L72200TG1999PLC030997 www.ctepl.com November 14, 2021 To, To, Corporate Relationship Department, The Listing Department, BSE Limited National Stock Exchange of India Ltd Phiroze Jeejeebhoy Towers, Exchange Plaza, Plot No/C/1, G Block Dalal Street, Bandra Kurla Complex, Bandra (East), Mumbai – 400 001 Mumbai – 400 051 Dear Sir, Sub: Newspaper Publication of Un-audited Financial Results for the period ended September 30, 2021 Please find enclosed herewith copies of each of Financial Express and Andhra Prabha newspapers both dated November 13, 2021 in which Un-audited Financial Results of the company for the period ended September 30, 2021 have been published. This is submitted for your information and records. Thanking you, Yours faithfully, For Cambridge Technology Enterprises Limited Ashish Bhattad (Company Secretary & Compliance Officer) Membership No. A34781 Encl: As above CAMBRIDGE TECHNOLOGY

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Page 1: CAMBRIDGE TECHNOLOGY

Registered & Corporate Office: Cambridge Technology Enterprises Limited Unit No 04 - 03, Level 4, Block 1 Cyber Pearl, Hitec City, Madhapur Hyderabad - 500 081, Telangana, India. Tel:+91-40-4023-4400 Fax:+91-40-4023-4600 Email id: [email protected]

Bengaluru 91 Springboard Business Hub Pvt Ltd, 4th Floor, #175 & #176, Dollars Colony, Phase 4, JP Nagar, Bannerghatta Main Road, Bengaluru - 560 076, Karnataka, India. Tel: +91-80-4633-4400 Fax:+91-80-4299-5779

Mumbai Level 4, A Wing, Dynasty Business Park Andheri Kurla Road, Andheri (E) Mumbai - 400 059, Maharashtra, India. Tel:+91-22-6786-9410 Fax:+91-22-6786-9199

Chennai AMARA SRI, situated at old No: 313, New No: 455, Block No: 75, 7th floor, Anna Salai Teynampet, Chennai 600018, Tamilnadu, India Tel: 040-40234400

CIN: L72200TG1999PLC030997 www.ctepl.com

November 14, 2021 To, To, Corporate Relationship Department, The Listing Department, BSE Limited National Stock Exchange of India Ltd Phiroze Jeejeebhoy Towers, Exchange Plaza, Plot No/C/1, G Block Dalal Street, Bandra Kurla Complex, Bandra (East), Mumbai – 400 001 Mumbai – 400 051 Dear Sir, Sub: Newspaper Publication of Un-audited Financial Results for the period ended September 30, 2021 Please find enclosed herewith copies of each of Financial Express and Andhra Prabha newspapers both dated November 13, 2021 in which Un-audited Financial Results of the company for the period ended September 30, 2021 have been published. This is submitted for your information and records. Thanking you, Yours faithfully, For Cambridge Technology Enterprises Limited Ashish Bhattad (Company Secretary & Compliance Officer) Membership No. A34781 Encl: As above

CAMBRIDGETECHNOLOGY

Page 2: CAMBRIDGE TECHNOLOGY

HYDERABAD

WWW.FINANCIALEXPRESS.COMSATURDAY, NOVEMBER 13, 2021

FINANCIAL EXPRESS ROYAL INDIA CORPORATION LIMITEDCIN: L45400MH1984PLC032274

Regd. Off: 62, 6th Floor, C-Wing, Mittal Tower, Nariman Point. Mumbai - 400 021.Website: www.rlcl.in, Email: [email protected]

EXTRACT OF STANDALONE UNAUDITED FINANCIAL RESULTSFOR THE QUARTER AND HALF-YEAR ENDED 30TH SEPTEMBER, 2021Aster DM Healthcare Limited (Rs. in lakhs, except earning per share data)

CIN : L85110KA2008PLC147259Registered office : No.1785, Sarjapor Road, Sector -1.HSR Layout, Ward No.174, Agara Extension, Bangalore-560102,Karnataka, India.

Tel: +91 484 6699999 [email protected] Website: www asterdmhealthcare.com

No. Year Ended

Tin ted «i tL On tfi tir- 'd

uperationsNet Profit; Loss before tax and exceptional itemsNet Profit; Loss before tax after exceptional itemsNet Profit/Loss after Tax

income 86783(632.62)

106756(551.18)2. (316.85) (315.77) (266.78) (1128.74)STATEMENT OF UNAUDITED FINANCIAL RESULTS FOR THE QUARTER AND HALF YEAR ENDED SEPTEMBER 30, 2021

(Amount In INR crores except per share data)3.

(316.85) (315.77) (266.78) (632.62) (551.18) (1128.74)4.5. Total comprehensive income for the period

[comprising profit for the period (after Tax) andother comprehensive income (after tax) ]StandaloneConsolidated (316.85) (315.77) (266.78) (1128.74)(632.62) (551.18)

6. Paid-upace va

.eserves ishown in t .previous yearEarnings per share of Face Value of Rs.10/-each(a) Basic(b) Diluted

uity share capital. j of Rs. 10/- each)(exckJdingthe Audits

-inlueQuarter ended Half year ended l 2308.00 2308.00 2308.00 2308.00 2308.00 2308.00Quarter ended Half year ended Yearended Year ended 7. Revaluation Reserve) asd Balance Sheet of the30-Sep-21 30-Sep-20 30-Sep-213Q-Sep-21 30-Jun-21 30-Sep-20 30-Sep-21 3O-Sep-20 31-Mar-21 30-Jun-21 3O-Sep-20 31-Mar-21Particulars (2498.33) (1093.21)

(1.16)C.16)

(3130.95)

12.74)(2.74)

(1093.21) (2498.33)(3130.95)8.(Unaudited) (Unaudited) ( Unaudited) (Unaudited) (Unaudited) (Audited) (Unaudited) (Unaudited) (Unaudited) (Unaudited) (Unaudited) ( Audited) (1.37)

(1.37)(1.37)(1.37)

(2.39) (3.35)(3.35)(2.39)Total income 2.513.45 2,250.71 291.92 170.23 305.632,379.63 8,658.40 259.52 551.44 768.174,893.08 4,004.40

Net proW (loss) before lax (68.04)135.20 52.57 205.69 (32,15) 15.39 (19.51) (47.02)70.49 205.05 <742) 7.97 1) The above is an extract of the detailed format of unaudited Financial Results for the quarter and half-year ended 30th September. 2021 filedwith the Stock Exchanges under Regulation 33 of the SEBI (Listing and Other Disclosure Requirements) RegiJations, 2015 approved by theAudit Committee and Board of Directors at their meeting held on 12th November, 2021 and the same was subjected to "Limited Review1 bythe Statutory Auditors of the Company.

2) The lull format ot the Unaudited Financial Results is available on the websites of the Stock Exchange www.bseindia.com and the Companyon www.ricl.in.

(46.34)Net profiV (loss) after tax 59.60 177.83 (68.78)127.62 42.25 187.22 15.39 ( 19.50) (47.02)(7.42) 7.97(35.84) 128.12 (7.42) 7.97Total comprehensive income/ (loss) 79.04 (68.77)126.35 40.95 205.39 15.39 (19,47) (47,02)496.80 497.04 497.11 4%.80 497.16 496.80 497.04Equity share capital By order of the Board

For Royal India Corporation LimitedSd/-Mr. Nltln Gujral

Directoi '

0818460

497.16 496.80 497.16 497.16497.IIOther equity 2.367.072.875.42

Place: MumbaiDate: 12.11.2021

(ManagingDIN: 15Earnings per share (Face value of INR 10 each) Not AnnuaiS*! No!AnnualsecNot Annualised Sot AmualsW N:t Annualised NotAnrualised Amualsed NolAmuaised NccAnnuaised Not Amualsed NoiArnualsed Annualised

(0.40)0.46 (0.15)2.15 0.66 3.05 (1.01) 2.97 (0.95)Basic 0.89 0.31 ( 1.38)AMINES S PLASTICIZERS LIMITED

Reg.Office Add: Poal Enclave, C/o. Pranatl Builders Pvt Ltd., Principal J.B.Road, Chenlkuthl, Guwahatl - 781 003Corp.Office Add: 'D' Building, 6th Floor, Shivsagar Estate, Dr. Annie Besant Road, Word, Mumbai - 400 018

CIN : L24229AS1973PLC001446 ||email: [email protected]|| website: https://www.amines.comH Tel. 022 62211000|| Fax : 022 24938162Extract of the Standalone and Consolidated Unaudited Financial Results for the Quarter and

Half Year ended 30th September, 2021

(0.40)Diluted 0.66 3.04 ( I.01) 0.46 <0.IS)2.15 0.89 2.97 (0.95) ( 1.38)OilThe unaudited consolidated and standalone financial results of the Company for the quarter and half year ended September 30.2021 have been reviewed by the Audit Committee on November 11, 2021 and approved bythe Board of Directors at its meeting held on November 11.2021.The above is an extract of the detailed format of quarterly financial results filed with the Stock Exchanges under Regulation 33 of the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015. The fullformal of Ihe Quarterly Financial Statements is made available on the Company's website at www.asterdmhealthcare.convinvestors and Slock Exchange website at BSE https:,'iWwrt.bseindia.com,1 and NSEhttpsi/iViww nseindia.com/

The Statement has been subjected to limited review by Deloitte Haskins & Sells, the statutory auditor of the Company.The review report of the auditor is unmodified.

[Rs. in lakhs except EPS)

ConsolidatedStandalonePARTICULARS TatrQuarter

ended30-Sep-20

Unaudited

Quarterended

30-Sep-21Unaudited

Quarterended

30-Sep-20Unaudited

Quarterended

30-Sep-21Unaudited

Yearended

31-Mar-21Audited

ended31-Mar-21Audited

ended30-Sep-21

Unauditec

ended30-Sep-21UnauditedFor Aster DM Healthcare Limited

Sd/-Dt. Azad Moopen,

Chairman and Managing DirectorDIN:00159403

44,676.12 13,472.69Total Income fromoperationsNet Profit forthe period (before Tax,Exceptional and for Extraordinary items)Net Profit for the period before tax (afterExceptional and /or Extraordinary items)Net Profit for the period after tax (afterExceptional and/or Extraordinary items)TotalComprehensive Income for theperiod [Comprising Profit for the period(after tax) and Other ComprehensiveIncome(after tax)]Equity Share Capital(Paid-up)Reserves (excluding RevaluationReserve) as shown in the AuditedBalance Sheet of the previous yearEarnings Per Share (Rs,2/ each) (forcontinuing anddiscontinuedoperations)-ajBasicb)Diluted

13,472.65 11,310.38 27,049,89 11,310.38 27,060,93 44,676.12Place :DubaiDate .November 11,2021 929,04 1,153,75 1,963,61 4,405,65 926,43 1,151.04 1,968,55 4,394,44

929.04 1,153,75 1,963.61 4,405.65 926.43 1,151.04 1,968.55 4,394.44HBL POWER SYSTEMS LIMITED692,39 866.04 1,464,11 3,270,59 689,78 863,33 1,469.05 3,259,38CIN: L40109TG1986PLC006745

Regd. Off: 8-2-601, Road # 10, Barbara Hills, Hyderabad- 500 034.Extract of Unaudited Financial Results (Standalone and Consolidated) for the Half Year Ended 30th September 2021

(Rs m Lakhs) 689,861,100,40

855,951,100,40

1,458.911,100,40

3,280,161,100,40

690.581,100,40

852,351,100,40

1,466,511,100.40

3,267.671,100,40CONSOLIDATEDSTANDALONE

Quarter ending Half year ended Quarter ending Half year endedYear ended Year endedParticularsS. 30-Sep-211 30-Jun-211 30-Sep-20 I 30-Sep-21 I 30-Sep-20 I 31-Mar-21 30-Sep-211 30-Jun-21 130-Sep-20 I 30-Sep-21 I 30-Sep-20I 31-Mar-21Nc 13,027.16 12,975.34

37,903.53(177 74)

1 Total Income from operationsNet Profit / (Loss) for the period(before Tax and Exceptional items)Net ProfiU(Loss) for the period before tax(after Exceptional items)Net ProfiU(Loss) for the period after tax(after Extraordinary items)Total Comprehensive Income for the period[Comprising ProfiV(Loss) for the period(after tax) and Other ComprehensiveIncome (after tax)]Equity share capital (Face Value Re 1/- each)Reserves (excluding Revaluation Reserves asshown in the Balance sheet for previous year)[I] Earnings Per Share (before extraordinary

items) (of Re 1/- each) (not annualised):[a] Basic[b] Diluted

[ii] Earnings Per Share (after extraordinaryitems) (of Re 1/- each) (not annualised):[a] Basic[bj Diluted

27.869.621.748 74

22.218.99432 24

25,490.461.287.11

50,088.612.180.98

37,446.73(166.86)

90.894.592.484 10

28.301.961.864.91

23,051.15723.81

25,842.331,273.41

51.353.112.588 72

91,203.862.347.712 1,26 1.57 2,66 5.94 1.25 1.57 2.6' 5,92

1,26 1.57 2,66 5.94 1.25 1.57 2.6' 5.923 1.538 90 1,94270 1,121.81 3.48160 (332.16) 1.945 15 1.655.07 2,234.27 1,108.11 3 ,889 34 (343 04) 1.808.00 Notes:

1 The above is the extract ot the detailed format ot the Unaudited Financial Results for the Quarter & Halt Year ended 30th September, 2021filed with the Stock Exchange under Regulation 33 of SEBI (Listing Obligation and Disclosure Requirements) Regulations, 2015 which havebeen reviewed and recommended by the Audit Committee and approved by the Board of Directors at their meeting held on 11th November,2021.

1.379.28 1,714.78 897.73 3.094 06 (525.55) 1.457.96 1.488.07 2.060.27 857.30 3.548.34 (569.77) 1.238.474

5 1.340.86 1,676.35 838.01 3.017.21 (627.80) 1.311.98 1.472.56 2,000.59 845.58 3.473.15 (569 39) 1.231.00 2 The full format of above extract of the Unaudited Financial Results, together with the Limited Review ot the Statutory Auditors are beingfiled separately with Stock Exchange. These documents are being made available on Company ’s v/ebsite : www.amines.com and alsoon Stock exchange website : www.bseindia.com.

For Amines & Plasticizers LimitedSd/-6. 2.771.95 2.771.95 2,771.95 2,771.95 2,771.95 2.771.95

75.508.452.771.95 2,771.95 2,771.95 2.771.95 2.771.95 2,771.95

74.515.09Place : MumbaiDate : November 11, 2021. Hemant Kumar Ruia

Chairman & Managing DirectorDIN: 00029410

7.

8CAMBRIDGE TECHNOLOGY ENTERPRISES LIMITED0.48 0.60 0.30 1.09 (0.23) 0.47 0.53 0.72 0.31 1.25 (0-21) 0.44 CAMBRIDGE

TECHNOLOGY Regd.Office:Unit No 04-03,Level 4, Block 1,‘Cyber Pearl' Hdec City MadhapurHyderabad •500081, TS, India Phone: +91-04040234400 Fax: +91-040-40234600E-mail:mvestorsgetepi com Website: www ctepl.com CIN: L72200TG1999PLC030997

0 48 060 0.30 109 (0.23) 0 47 0.53 0.72 0.31 125 (0 21) 0.44

UNAUDITED CONSOLIDATED FINANCIAL RESULTS FOR THE QUARTER & HALF YEAR EN0ED SEPTEMBER 30,20210 60 0.30 047 0.53 0.72 1.25 (021)0 48 109 (0.23) 0.31 0.440.48 0.60 0.30 1.09 (0.23) 0.47 0.53 0.72 0.31 1.25 (0.21) 0.44 (Rs.*n Ltkhsl

QuarterEnded

QuarterEnded

Half - YearEndedSI.Note: ParticularsNo.1. The above Standalone and Consolidated financial results were reviewed by the Audit Committee in its meeting held on November 12, 2021 and approved by the Board of Directors at the meeting held on

November 12, 2021,Above meetings were held throughaudtor - videoconference2.EPSiscalculated basedon total comprehensive income whichis attributable toequity shareholders3. The Consolidated financial statementsof HBLinclude the financialsof Torquedrive Technologies Private Limited (TTL) which is a 100% owned subsidiary and TTL Electric FuelPrivate Limited (EFl) which is a

60%controlled stepdown suDsidiary in addition to thewhottyownedsubsidiariesof HBLAmericaandHBLGermany4.Figures of thepreviousquarters/ penods have been regrouped, wherever necessary.5. Theresults shallalsobeavailableonwebsiteofIheCompany:http://hbl.in/investors:BSE:www.bsemdia.comandNSE:wwvr.nseindia.com

30-S«p-2021 30-Sop-2021 30-S»p-20201 Total income from operations Ineti 2.784 93 5,268.75 2.207.202 Net Profit / (Loss) for the period (before Tax. Exceptional and/or

Extraordinary items!346 52 593.78 580.31

Net Profit / (Loss) for Ihe period before tax (after Exceptional and/orExtraordinary items]

346 523 593.78 580.31

4 Net Profit / (Loss) for Ihe penod after tax (after Exceptional and/orExtraordinary Items)

328 71 55355 63333By order of the Board

For HBL Power Systems Ltd. Total Comprehensive Income lor Ihe period [Composing Profit / (Loss)tor Ihe penod [after tax ) and Other Comprehensive Income (after taxi]

5 331 56 652.19 490 83Sd!/

6 Equity Share Capital 196310 1963.10 1963.10Place :HyderabadDale November 12.2021

Dr A J PrasadChairman and Managing Director. DIN 00057275 7 Reserves (excluding Revaluation Reserve) as shown In the Audited

Balance Sheet of Ihe previous year5244 03

8 Earnings Per Share (of Rs 1Q/- each) (for continumq operations)Basic |m Rupees! 167 282 323Piuteo jin Rupeesl 167 282 323DEEPAK FERTILISERS

AND PETROCHEMICALSCORPORATION LIMITED

Notes:a) The above is an extract of the detailed format of Quarterly Financial Results for the period ended September 30, 2021

filed with the Stock Exchanges under Regulation 33 of the SEBI (UHng and Other Disclosure Requirements) Regulations.2015. The lull format ol the said Quarterly Financial Results are available on Ihe websites ot the Stock Exchange(s) atwrivrt.bsemdia com and www nseindia.com and the Company's website at www.ctepl com.

b) Extract from the Standalone unaudited financial results:CIN: L24121MH1979PLC021360Regd.& Corporate Office:Sai Hira,Survey No. 93,Mundhwa, Pune - 411036. Website:www.dfpcl.com

Investor Relations Contact: [email protected], Tel:+91-20-6645 8000

(Rs. in LakhslParticulars Quarter Ended Halt-Year Ended Quarter Ended

30-Sep-2021 30-Scp-2021 30-Sep-2020Income Irom operations (net) 107541 220264 737 19Ptofit'(Loss) before lax 103 85 248 82 (15.87)PwjjjljUag) after ta« 69 98 21991 (1040)

(Amounts in ? Lakhs unless otherwise stated) Total comprefiensve income for the period 92 29 21828 1139

for Cambridge Technology Enterprises LimitedDharani Raghurama Swaroop

Whole-Time Director(DIN: 00453250)

EXTRACT OF UNAUDITED FINANCIAL RESULTS FOR THE QUARTER AND HALF YEAR ENDED 30 SEPTEMBER 2021Place HyderabadDate November 11.2021Consolidated

Sr. Quarter Ended30/09/2021

Six Months Ended30/09/2021

Quarter Ended30/09/2020 efrpe EDWARD FOOD RESEARCH & ANALYSIS CENTRE LIMITED

Registered Office: Synthesis Business Park.CBD/1,Unit 2C/B. 2ndFloor. Action Area II.Rajarhat.New Town.Kolkata 700157.West Bengal

Phone:(0331-66333939.email:csefraortefrac.org, website: www.efrac.org.CIN:U2410OWB1921PIC004311

ParticularsNo.(Unaudited) (Unaudited) (Unaudited)

ffiTkoiaandiTotal income from operations (net) 179,301 369,511 140,4191Extract of Unaudited Financial Results for the Quarter and Half Year ended September 30, 2021

Net Profit / (Loss) for the period (before tax Exceptional and/orExtraordinary items)

WriNTMMMSrytraterTttl •WflwnM fwnM

11Mjrdl 202113,489 32,530 11,2052 9 Particulars M! Nil MiiewinNN M TON»*Net Profit / (Loss) for the period before tax (after Exceptional and/orExtraordinary items)

Total Income from Opwadom 78429.7513,489 32,530 11,205 1 61429JO 42.70935 120,948.96 1,78,374.523IktProfit / (lou) for theperiod2 (11291.06) (19.994J8) (23450.19) (42.907J6) (79441.65)

Net Profit / (Loss) for the period after tax (after Exceptional and/orExtraordinary items) 9,333 22.396 8,0554 Met Profit / (lou)hr thepenod beforeU>

(after bnpbonil and/ar Extraontnary items)3 (11,572.68) (20460.60) (2333141) (42.97338) (79.548.13)

Total Comprehensive Income for the period [Comprising ProfitZ(Loss)for the period (after tax) and Other Comprehensive Income (after tax)]

Net Profit / (loss) far the penod afterUi(after [gfptxxul and'pr Extraordinary firms)

(11J72.68) (42.97338)4 (20460.60) (2333141) (79,548.13)10,250 23.375 7,8055

foul(omprehenvw income / (lou) fa theperiod (comprising Profit/ (LOB) for thepenod (dietUx)aid other comprehensiveKoine (iflerUx))

5 (28142) (66.02) (281.62) (6402) 93.5210,815 10,815 8,9286 Equity Share Capital (Face value of ?10/- per share)

Reserves (excluding Revaluation Reserve) as shown in the AuditedBalance Sheet of the previous year 259,9917

Pad up Equity Share (aortal 327,903.10 327.903.10 3,27.903 10 327.903.10 327,903.106Earnings Per Share (of ?10/- each) (?) (for continuing and discontinuedoperations) -Basic :Diluted :

7 Reserves (adudinqRevali (4,67,78446) (44747830) (4,67,78446) (44747430) (4,44,453.05)20.7620.10

8.658 Securities PretriMn Account8 6939047 6939047 69,390.07 69,39007 69,390478.30 (1,16349.95)9 Ket worth (139481-76) (79,97520) (139,881.76) (79,97520)

PadtipDebt(aortal/OuKareSncDebt10 0.68 141 0.68 0.68 0.68OutsU lb11

12 Debt Equrty Ratio•Debt equrty raooisnot calculated asthelocalequty valuesI)negative

THE ADDITIONAL INFORMATION ON STANDALONE FINANCIALS RESULTS IS AS BELOW:Quarter Ended

30/09/2021Six Months Ended

30/09/2021Quarter Ended

30/09/2020Earnings per share (ofIs.100/ each)(aftertax.13Sr. Particulars and/orNo. andnet(Unaudited) (Unaudited) (Unaudited)1. Bilk (Rs.)2. Muted (Rs.)CapiUl RedemptionReserveDebenture Redemption ReserveDett Service Coverage RatioInterest Service Cowrage Raw

13.4«) (410) (743) (1349) (2429)1 Total Income from Operations (Net) 52,917 120,407 45,570 (743)(3.44) (410) (1349) (2429)

14Net Profit / (loss) before Taxes2 3,736 9,919 4,816 153 Net Profit / (loss) after Taxes 2,788 7,418 3,700 0J216 049 Oil 049 0.45

17 0J1 0.110.11 0.49 0.04Notes:1. The above is an extract of the detailed format of the quarter and half year ended 30"' September. 2021 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 financial results are available on thestock exchange websites (www.bseindia com and www.nseindia.com) and on the Company's website (www.dfpcl.com).

2. Previous period's figures have been reclassified / regrouped wherever necessary (refer the full financial results).3. The above Financial Results were reviewed by the Audit Committee and approved by the Board of Directors at their respective Meetings held on

ir November. 2021 and 12m November, 2021.

Notes:1. The above results for the quarter and half year ended September 30. 2021 have been reviewed

by the Audit Committee andapproved by the BoardofDirectors of theCompany at their respectivemeetings,heldon November 12,2021.

2. The above is an extract of the detailed format of half year financial results filed with the StockExchange under Regulation 52 of the SEBI (Listing Obligations and Disclosure Requirements)Regulations. 2015. The full format of the aforesaid Financial Results are available on the StockExchange website (www.bseindia.com) and onthe Company’s website (www.efrac.org).

3. For other line items referred in the Regulation 52(4) of the SEBI (Listing Obligations and DisclosureRequirements) Regulations. 2015, the pertinent disclosures have been made to the BSE Limitedand can be accessed on www.bseindia.com.

For and on behalf of the Board of Directors of Deepak Fertilisers AndPetrochemicals Corporation Limited

S C MEHTAChairman and Managing Director

DIN: 00128204

Founded in 1979,Deepak Fertilisers and Petrochemicals Corporation Limited (DFPCL) is India's leading producer of Fertilisers and Industrial Chemicals

T inane epafiy»:in

On behalf of the Board of DirectorsEdward Food Research & Analysis Centre Limited

CIN:U24100WB1921PLC004311Place: PuneDate: 12-11-2021 SdA

Dr.Balwinder Singh BajwaCEO&Whole-time Director

DIN:07210830Place:KolkataDate :12th November.2021

Page 3: CAMBRIDGE TECHNOLOGY

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for and on behalf of the Board of DirectorsMytrah Ujjval Power Private Limited

Sd/-Somasundaram Ramasubramaniam

Whole Time Director & CFODIN: 06454771

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CAMBRIDGE TECHNOLOGY ENTERPRISES LIMITEDRegd Office:Unit No 04-03. Level 4. Block 1 -Cyber Pearl'.Hitec City, Martoapur,Hyderabad 500081, TS. India Phone: 91640-40234400 Fax: *91-040-40234600E -mail: nveilomftctapl com VfebtHa: wwwdeplcom CM:L72200TG1999PLC030997

PHOTON CAPITAL ADVISORS LIMITEDCAMBRIDGETECHNOLOGY L65910T61983PLC004368

Plot. NO.90-A, Road No 9, Jubilee Hills, Hyderabad - 500 033 Ph: +91 9951339995,Email: lnto<g>pcalindia.com / orouppcal@gmail com. Website www pcalindia com

Extract ol Unaudited Financial Results lor the Quarter and Half year ended 30 th September. 202130 fo$c*xl>.20215* gaWUS & (Dg rCx«5el,0 8»oa»ft o&<53d4)» ftAJ^OdOfl o§S WM»» 0

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Unaudited Audited AuditedUnaudited Uneudiled Unaudited Uneudiled Uneudiled Unaudited3 348 52 593 78 580 31MOxxOo / otto)

UuXUXcuioCOA*I I) 022 0671 Total Income from Operations 062 026 017 087 680 20 56 016 27 36 022 39 39oaeOK«,'i»goi or^acuxMS ZXHOul 32871 553 55 633 3342 NelProfit / (Loss) for the penod (before Tax

and Excepllonal items)(965) (1083) (1046) (20 48) (2170) (40.27) 13.4«) 919 (793) 570 (3651) (219)

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(atw Exceplional items)(965) (1083) (10 48) (20 48) (21 70) (40 27) (348) 919 (7 93) 5 70 (3651) (219)6 196310 1963 10 196310

7 5244 03Net Profit / (Loss) for the penod after tax(after Exceptional items)

(965) (10.83) (1046) (20 48) (2170) (52.11) (3 48) 919 (7 93) 570 (36 51) (14.16)4n»HootLpoudfi Jimoto8 oyocu (Ox. 10/ fcMa^KBnitonmife.uKiiasxfiKiBom

due - MX.'** 1.67 282 3.23 Total Comprehensive Income for Die period(Comprising Profit / (Loss) tor the period(atlei tax) and Other Comprehensive in-come (after tax))

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6 Paid-up Equity Share Capital 151.37 151.37 151.37 151.37 151.37 151.37 151.37 151.37 151.37 151.37 15137 151.377 Other equity excluding Revaluation Reserve8 Earrings Per Share (Rs 10/- each)> mo ia».cpo#i

1. Basic (0.64) (0.72) (0.69) (135) 1.43 (3 44) (0.23) 0.64 (0.52) 0.38 (2-41) (0.94)attteaayaoMaao30-lb£oo0>-2021 30-4i&o«iai-20203Q-«ifcocQ>-2021 2. Diluted (023)(0 64) (0.72) (0.69) (135) 1.43 (3.44) 0.64 (052) 0.38 (2-41) (0.94)

«iod 107541 2202 6* 737 19(OOOolNotes: (1) The above IsDie extract olDie detafted format of Statement of Unaudfted Financial Results fled wflti Die Stock exchanges under Regulation 33 of Die SEBI (Listing Obligations andDisclosureRequirements) RegUabons.2015 The tu* lormat of the financial results lor the quarter and Nine months ended 31st December, 2020 are available on the Stock Exchange website www bsemdia com and on Company's website wwwpcalinefw com(2) The above results have been reviewed by Die Audit Commfttee and approved by the Board of Directors at their respective meetings held on 11-02-2021.

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for Photon Capital Advisors Landedfor Cambridge Technology Enterprise* LimitedDharani Raghurama Swaroop

Whole-Time Drredo/(DIN 00453250)

SlV-SOBHARANI NAN0URY

DirectorDIN 00587M2

Place HyderabadDele November 11. 2021

Place: HyderabadDale 11-11-2021

epaper.prabhanews.com