BSECompany Update2d ago · 5 Aug 2026, 11:30 am
Please find enclosed copies of the Newspaper Advertisement of the Unaudited Standalone Financial Results of the Company for the Quarter ended June 30, 2026, published in The Free Press ....
IITL Projects Ltd · 531968
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IITL Projects Ltd has announced its unaudited standalone financial results for the quarter ended June 30, 2026, with a net loss of ₹379.24 crores and a total income from operations of ₹44.40 crores.
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IITL Projects Ltd - 531968 - Announcement under Regulation 30 (LODR)-Newspaper Publication
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Date: August 05, 2026
BSE Limited
Corporate Relationship Department
Phiroze Jeejeebhoy Towers,
Dalal Street,
Mumbai – 400001.
BSE Scrip Code: 531968
Sub: Regulation 47(1) of SEBI (Listing Obligations & Disclosures Requirements)
Regulations, 2015
Dear Sir / Madam,
Pursuant to Regulation 47(1) of SEBI (Listing Obligations and Disclosure Requirements)
Regulations, 2015, please find enclosed copies of the newspaper advertisement of the
Unaudited Standalone Financial Results of the Company for the quarter ended June 30, 2026,
published in Free Press Journal (English) and Navshakti (Marathi) newspapers on August 05,
2026.
Kindly acknowledge the receipt of the same.
Thanking you,
Yours faithfully,
For IITL Projects Limited
Ms. Harshida J. Parikh
Manager & Company Secretary
Encl: as above
Regd. Office: Office No. 101A. The Capital, Plot No. C-70, G Block, Bandra Kurla Complex, Bandra (East), Mumbai – 400 051.
Phone: (+91) 22-43250100, E-mail: iitlprojects@iitlgroup.com, Web: www.iitlprojects.com
CIN: L01110MH1994PLC082421
www.freepressjournal.in THE FREE PRESS JOURNAL
Mumbai, Wednesday, August 5, 2026
J9CXUY-GDXY;VNINHXYPUV!ITXY:VDVTX4
IITL PROJECTS LIMITED
CIN: L01110MH1994PLC082421 QXCV3TXUX4YWffiHXYFY)SOKY?T:YNU-Y'YNGUWYNKLY<QTTVWYBX8PA(cid:2)FWY?PXVY/X YCXVRPSWY+XSFL(cid:3)X(cid:2)Y*TXRW
Regd. office : Office No. 101A, The Capital, G-Block, Plot No. C-70, 9QQOAEVOR;PWY1LDPRXEXRWYC@8XVXKY$Y.3UYUUN LGU+GUITXYWffiHXYFYGUU=#7WYGUKLY<QTTVWYHI(OS;WY,SP
Bandra Kurla Complex, Bandra East, Mumbai - 400051. Tel. No.: 022-4325 0100, J>HWYHINNWYCIYJQTF!WYJXSRVXY>@VQXYHTD(cid:4)QP"WYJXSRVXY%9&WB@DEXOI=UUU7G:BXLXVXALKVXW0SROXWY
Email: iitlprojects@iitlgroup.com, Web: www.iitlprojects.com
LSKFY68#MMM0,=B<'PJLBM?M8B*Y(cid:4)X"3VTXYFYAAA5T9CXU%GDX$NINHX5VN
STATEMENT OF UNAUDITED STANDALONE FINANCIAL PWOOROOSWKYKWJSLRY(;WQYS@@W E1:RYPQWPRQJSRO&
No. Particulars 30.06.2026 31.03.2026 30.06.2025 31.03.2026 4_ab\b[acHXaNcGEEGNc]_Yc^_cb1b\X^[bc`WcT`Ob\[cX`_Wb\\bYcV_Yb\c[bXa^`_cFBDFGCc\b]YcO^aZcIVUbcBc`WcaZbcKbXV\^aPc4_ab\b[acD9_W`\XbSb_aCcIVUb[cGEEGN
Unaudited Audited Unaudited Audited
and exceptional items) (370.46) 26.08 24.60 154.51 `WcaZbc[]^YcIVUb[c`_caZbcY]ab[cSb_a^`_bYc]R]^_[acb]XZc]XX`V_aM
3. Net Profit/(Loss) for the period before tax
4. Net Profit/(Loss) for the period after tax aZbc[bXV\bYc][[ba[M
(after exceptional items) (379.24) 19.47 18.15 125.23 ?XH G[YW\TM1\I[HM\ IYJZ\[3\UBZ\0[XX[+ZXM\1[\0[XX[+ZX\M =ZJYWR\I[UVQZ\RYUZ\ ?FJ/[@VQM\PBFSVQY@\
5. Total comprehensive income for the period I[H 7@R\G[YW\TM1\I[ )CYXYWU[X -\TJ[CWU P[SSZSSV[W\[W
[Comprising profit / (loss) for the period (after tax) K 5LELNGLLKL&5'L2 PDT?T=\\PDT8T?N\<7I=(G8TD\M KKO7QUOE6\-\DSH\K:EK2E:MO\ 2KO*C@OE:
?(D.8NT\PDT8T?N\<7I=(G8TD YS\[W\KLO7QUOE6 PBFSVQY@\,[SSZSSV[W
the Audited Balance Sheet - - - (523.76) P@YQZ9\4TNTDT?N<DT ?RMO\TCUB[XVSZR\733VQZX
8. Earnings per share (EPS) * =YUZ\9\L6HL5HELE: >[X\<FAZX\N[JZ\>VWYWQZ\PXV;YUZ\GVJVUZR
-Basic and diluted (`)
(Face value : ` 10/- per share) (7.60) 0.39 0.36 2.51
* Basic and Diluted EPS for all periods except year ended 31.03.2026 is not annualised.
Note:
1 The above is an extract of the detailed format of Financial Results for the quarter ended 30.06.2026 filed with
the Stock Exchange under Regulation 33 of the SEBI (Listing Obligations and Other Disclosure Requirements)
Regulations, 2015. The full format of the Financial Results are available on the Stock Exchange website
www.bseindia.com and on the Company's website www.iitlprojects.com.
2 The above results were reviewed by the Audit Committee, approved by the Board at its respective meeting held
on 4th August, 2026
For IITL PROJECTS LIMITED
Sd/-
DR. BIDHUBHUSAN SAMAL
Place : Mumbai Chairman
Date : August 4, 2026 DIN : 00007256
B-709, Express Zone, Western Express Highway, Opp Adani Electricity, Malad (East), Mumbai-400097
CIN : L65990MH1994PLC083603
Statement of Unaudited Financial Results for the Quarter Ended 30.06.2026
( ` In Lakhs)
Quarter ended Quarter ended Year ended
Sr. Particulars 30.06.2026 31.03.2026 31.03.2026
No. (Unaudited) (Audited) (Audited)
1 Total income From Operations 109.08 109.72 428.45
2 Net profit/(loss) for the period (before tax,
Exceptional And /or Extraordinary Item) 89.75 80.28 322.78
3 Net profit/(loss) for the period before Tax
(After Exceptional and/or Extraordinary Item) 89.75 80.28 322.78
4 Net profit/(loss) for the period After Tax
(After Exceptional and/or Extraordinary Items) 66.42 73.80 258.69
5 Total comprehensive income for the period
{Comprising Profit /(Loss) for the period
(After Tax)and Other Comprehensive
Income (After Tax)} 860.33 (755.74) (619.65)
6 Paid up Equity Share Capital 692.46 692.46 692.46
7 Reserves (Excluding Revaluation Reserve) 5,397.71 5,201.38 5,201.38
8 Other Comprehensive income Balance 2,134.47 1,470.46 1,470.46
9 Networth 8,224.64 7,364.30 7,364.30
10 Paid up Debt capital /Outstanding Debt - - -
11 Outstanding Redeemable Preference Shares NIL NIL NIL
12 Debt equity Ratio - - -
13 Earning Per Share (of Rs. 10/- Each)
(for continuing and Discontinued Operations)-
1. Basic (In Rs.) 0.96 1.07 3.74
2. Diluted (In Rs.) 0.96 1.07 3.74
14 Capital Redemption Reserve NA NA NA
15 Debenture Redemption Reserve NA NA NA
16 Debt Service Coverage Ratio - - -
17 Interest Service Coverage Ratio - - -
Note:
1) The above unaudited financial results were reviewed and approved at the Audit Committee meeting and
subsequently approved by the Board of Directors at their respective meeting held on 04th August 2026. The
statutory auditors of the company have carried out the audit of the financial results for the year ended 30th
June 2026.
2) The above is an extract of the detailed format of Financial Results filed with Stock Exchange under Regulation
33 of the SEBI (Listing Obligations and Disclosure Requirements) regulations, 2015. The full format of the
unaudited results is available on stock exchange website www.bseindia.com and on Company's website.
3) The financial results have been prepared with the Indian accounting Standards ("Ind-AS") as notified under
the Companies (Indian Accounting Standards) Rules, 2015, as specified in Section 133 of Companies Act, 2013. UGRO CAPITAL LIMITED
By Order of the Board
For Abhinav Capital Services Ltd. CIN : L67120MH1993PLC070739
Sd/-
Regd. Office: B-17, Fourth Floor, Art Guild House, Phoenix Market City, Kurla (West), Mumbai- 400070
Chetan Karia
Place : Mumbai Chairperson Telephone: +91 22 49194400 E-mail: info@ugrocapital.com Website: www.ugrocapital.com
Date : 04th August 2026 DIN No 00015113
Statement of Unaudited Financial Results for the Quarter Ended June 30, 2026
(` in lakh)
Sr. Par�culars Standalone Consolidated
Tata Realty and Infrastructure Limited
No. Quarter ended Year Ended Quarter ended Year Ended
CIN : U70102MH2007PLC168300
June 30, March 31, June 30, March 31, June 30, March 31, March 31,
Regd. Office : "E Block", Voltas Premises, T. B. Kadam Marg, Chinchpokli, Mumbai-400033
Tel. 91 22 6661 4444, Fax : 91 22 6661 4452, Website : www.tatarealty.in 2026 2026 2025 2026 2026 2026 2026
Extract of Statement of Standalone Unaudited Financial Results for the quarter ended Reviewed Audited Reviewed Audited Reviewed Audited Audited
30 June 2026 1 Total income from opera�ons (including Other Income) 45,398.48 50,904.94 42,182.95 1,84,039.62 53,463.01 63,172.14 2,02,111.13
[Regulation 52 (8), read with Regulation 52 (4), of the SEBI (LODR) Regulations, 2015]
2 Net Profit / (Loss) for the period (before tax, Excep�onal and/ 4,866.05 4,169.12 4,816.87 16,065.47 6,153.72 7,124.45 24,350.50
(INR in crores) or Extraordinary items #)
Particulars For the quarter For the quarter Year ended 3 Net Profit / (Loss) for the period before tax (a�er Excep�onal and/ 4,866.05 4,169.12 4,816.87 16,065.47 6,153.72 7,124.45 24,350.50
ended ended
or Extraordinary items #)
30 June 2026 30 June 2025 31 March 2026
4 Net Profit / (Loss) for the period a�er tax (a�er Excep�onal and/ 6,071.46 2,955.02 3,413.04 11,336.77 6,786.89 5,110.
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