NSECopy of Newspaper Publication23 Jul 2026 · 23 Jul 2026, 03:42 pm

Copy of Newspaper Publication

Gulshan Polyols Limited · GULPOLY

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Gulshan Polyols Limited has informed the Exchange about the Intimation regarding the Newspaper Publication, regarding the transfer of Equity Shares of the Company and Unclaimed Final Dividend for FY 2018-19 to IEPF.

Analysis Scores

Earnings Impact5/10
Growth Catalyst2/10
Governance Concern1/10
Regulatory Risk1/10
Balance Sheet Risk1/10
Liquidity Impact8/10
Market Sentiment5/10

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Full Announcement

Gulshan Polyols Limited has informed the Exchange about the Intimation regarding the Newspaper Publication, regarding the transfer of Equity Shares of the Company and Unclaimed Final Dividend for FY 2018-29 to IEPF.

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GULPOLY_23072026154144_Intimation_Newpaper_Advertisement.pdf

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Gulshan Polyols Limited CIN: L2423 1UP2000PLC034918 ( ’ Corporate Office: G-§1, Preet Vihar, Delhi 110092, India Phone : 01 11 49999200 GULSHAN Fax - +91 1149999202 E-mail : cs@gulshanindia com POLYOLS LIMITED ‘Website: www.gulshanmdia.com GPL\SEC\28\2026-27 July 23, 2026 BSE Limited National Stock Exchange of India Limited Department of Corporate Service, Listing Department Floor 25, P.]. Towers, Exchange Plaza, Bandra Kurla Complex, Dalal Street, Mumbai Bandra (E), Mumbai Maharashtra- 400 001 Maharashtra-400 051 Scrip Code: 532457 Symbol: GULPOLY Dear Sir/ Madam, Subject: Newspaper Advertisement of Notice regarding transfer of equity shares of the Company and unclaimed final dividend declared for FY 2018-19 to Investor Education and Protection Fund (IEPF) Please find attached, copies of the newspaper advertisement regarding the Notice of transfer of equity shares of the Company to Investor Education and Protection Fund (IEPF) that are published on July 22, 2026 in the following newspapers: o Financial Express (English - All India Editions) o Jansatta (Hindi-New Delhi Edition) The above newspaper publication may also be accessed on the website of the Company at the link- www.gulshanindia.com. This is for your information and records. Thanking You, Yours faithfully For GULSHAN POLYOLS LIMITED Reetika Pant Company Secretary Encl: as below Regd. Off.: 9th K.M., Jansath Road, Muzaffaragar, (U.P.) 251001, Ph.: (0131)32958800, Fax: (0131) 2661378 THURSDAY, JULY 23, 2026 WWW.FINANCIALEXPRESS.COM FINANCIAL EXPRESS LORDS ISHWAR HOTELS LIMITED Reg. Off: Hotel Revival, Near Sayaji Garden, Kalaghoda Chowk,University Road, Baroda, Orevir G PoweR Commeny LMITED Gujarat 390002 Tel: 0265 2793545 CIN: L55100GJ1985PLC008264, ORIENT GREEN POWER COMPANY LIMITED E-mail: info@lordsishwar.com, Website: www.lordsishwar.com Extract of Statement of Standalone Un-audited Financial Results for the Quarter Ended 30" June, 2026 (Rs. in Lakhs) Corporale [dentification Number {CIN) - LADTD8TN2006PLCD61665 Quzrtgr Year Quarter Regd. Office: Bascon Futura 8V, 4th Floor, Mo 10/1, Venkatanarayana Road, T Nagar, Chennai — 800017 b Particulars 30062026 31:05:3026 | 30,08 3025 Visit us al: htips://www oriznigraenpower.com/ | E-mail: complianceofficer@orientgreanpower.com (Unaudited)) (Audited) | (Unaudited) STATEMENT OF UNAUDITED FINANCIAL RESULTS 1 | Total income from operations. 231.60 73649 167.26 FOR THE QUARTER ENDED JUNE 30, 2026 "2 [ Nal Profit /{Loss) Tor the pariad (oefore Tax, 14.04 6.37 (7.76) | Enceptional anlar Extracedinaty Rerns) The Board of Directors of the Company, at #s meeting held on Wednesday, July 22, 2026 3 | Ml Profit {Lass} or the periad bafare Tax 14.04 6.37 (7.76) approved the Unaudited Standalone and Consolidated Financial Results of the Company [afler Excepliona! andlar Exlracedinary ihens) for the quarter ended June 30, 2026, 4 | Wet Profit {Loss} for the pertod afler tax 12.80 (8.19) (7.67) The Unaudited Standalone and Consobidated Fnancial Results along with the [aifter Excesntional anclier Extracedrsary iboms) Limited Review Report has been posted on the Company's website al https:fwew, 5 | Tatal comprehensive Incoenfoer the period 12.80 (8.19) (7.67) orientgregnpower.com/investor.asp and can be accessed by scanning the GR code. [eamprising PrositiLasso) tha paricd {altar k) By order of the Board ani other Compranansiva Income {after t=x)] For Orient Green Power Company Limited 6 | Equity Share Capital 747.00 747.00 747.00 Sd/- 7 | Reserves (excluding Revaluation Reserve - (158.48) - T Shivaraman as shown in the Balance Sheet of previous year) Place: Chennai Managing Director & CEO 8 | Earnings perequity share (of Rs.10/- each) (for Date : July 22, 2026 continuing and discontinued operations) 1. Basic: 0.17 0.11) (0.10) Nots: The above intimation s fn accordance with Regulation 33 rezd with Reguwiation 47 (1) of the SEBI (Listing Obtigartan and Disclosure Requirements) Reguialions, 2075, 2. Diluted: 017 (0.11) (010 Note: The above is an Extract of the detailed format of Un-audited Financial Results for the quarter ended 30" June, 2026 filed with Stock Exchange under Regulation 33 of the SEBI (Listing Obligations and Disclosures Requirements) Regulations, 2015. The full Format of the said results is available on the stock Exchange website www.bseindia.com t@flc MUTUAL FUND & on the Company's Website viz. www.lordsishwar.com. =Z==l For LORDS ISHWAR HOTELS LIMITED LIC Mutual Fund Asset Management Limited PUSHPENDRA BANSAL Place : Mumbai (Investment Managers to LIC Mutual Fund) Date : 22" July, 2026 Managing Director (DIN: 00086343) CIN No: U67190MH1994PLC077858 Registered Office: Industrial Assurance Bldg. 4th Floor, Opp. Churchgate Station, Mumbai — 400 020 Tel.No.022-66016000 Toll Free No. 1800 258 5678 Fax No.022-66016191 fi Infrastructure Email: service_licmf@ kfintech.com ¢ Website: www.licmf.com NOTICE-CUM-ADDENDUM NO. 21 of 2026-2027 JSW INFRASTRUCTURE LIMITED DECLARATION OF INCOME DISTRIBUTION CUM CAPITAL WITHDRAWAL (IDCW) UNDER VARIOUS CIN: L45200MH2006PLC161268 SCHEME(S) OF LIC MUTUAL FUND Registered Office: JSW Centre, Bandra Kurla Complex, Bandra (East), Mumbai 400 051 Website: www jswinfrastructure.in Email: infra.secretarial@jsw.in Tel: 022 4286 1000 Fax: 022-42863000 NOTICE is hereby given that LIC Mutual Fund Trustee Private Limited, the Trustee to LIC Mutual Fund, has approved the declaration of distribution under IDCW Option of the following Schemes: - i NAV as on Name of the Schemes/Plans (F;oe'y:::‘e) (Ecv:,’ ::5 Record Date** 21%' July 2026 pel pe (% per unit) LIC MF Aggressive Hybrid Fund — Regular Plan-IDCW Option 10 012 15.0202 LIC MF Arbitrage Fund — Direct Plan — | Monthly IDGW Option 10 006 13.9772 i ] : i i 27th July 2026 | LIC MF Equity Savings Fund- Regular 10 0.10 201251 Plan — Monthly IDCW Option | ' ' LIC MF Equity Savings Fund - Direct Plan — Monthly IDCW Option 0| 010 216334 *The payout shall be reduced by the amount of applicable statutory levy. **Or the immediate next Business Day if that day is not a Business Day. Pursuant to payment of IDCW, the NAV of the IDCW Option of the aforesaid Schemes would fall to the extent of payout and statutory levy, if any. The above IDCW is subject to the availability of distributable surplus and may be lowetro the extent of distributable surplus available on the Record Date. In case the distributable surplus is less than the quantum of IDCW on the record date, the entire available distributable surplus in the Scheme / plan will be declared as IDCW. IDCW will be paid to those Unitholders / Beneficial Owners whose names appear in the Register of Unit holders maintained by the Mutual Fund / statement of beneficial ownership maintained by the Depositories, as applicable, under the IDCW Option of the aforesaid Scheme / plan as on the record date. In view of individual nature of tax consequences, each investor is advised to consult his / her own professional financial / tax advisor. For LIC MUTUAL FUND ASSET MANAGEMENT LIMITED Date : 22 July 2026 Sd/- Place: Mumbai Authorized Signatory As part of Go-Green initiative, investors are encouraged Lo register/update their email ID - and Mobile Number with us to support paper-less communication. Mutual Fund investments are subject to market risks, read all scheme related documents carefully. @BNEEI”?R‘!EAS . MUTUAL FUND Investment Manager: Baroda BNP Paribas Asset Management India Private Limited (AMC) Corporate Identity Number (CIN): U65991MH2003PTC142972 Registered Office: 201(A) 2nd Floor, A wing, Crescenzo, C-38 & 39, G Block, Bandra-Kurla Complex, Mumbai, Maharashtra, India - 400 051. Website: www.barodabnpparibasmf.in « Toll Free: 1800 267 0189 NOTICE NO. 62/2026 Declaration of Income Distribution cum Capital Withdrawal (IDCW) under the designated Schemes of Baroda BNP Paribas Mutual Fund (the Fund): Notice is hereby given to all the unitholders of the Schemes that following shall be the rate of distribution under Income Distribution cum Ca [Showing first 8,000 characters — download PDF for full document]