NSECopy of Newspaper Publication6 Aug 2026 · 6 Aug 2026, 03:48 pm
Copy of Newspaper Publication
Nahar Poly Films Limited · NAHARPOLY
✦ AI SummaryResults
Nahar Poly Films Limited has informed the Exchange about Copy of Newspaper Publication regarding un-audited Financial Results for the quarter ended 30th June, 2026 published in 'Business Standard' and 'Punjabi Jagran'. The results show a net profit of ₹8,557.20 and ₹29,381.31 for the quarter and year respectively. The company's equity share capital is ₹9,764.83 lakhs and reserves are ₹1,22,798.71 lakhs.
Analysis Scores
Earnings Impact8/10
Growth Catalyst2/10
Governance Concern1/10
Regulatory Risk1/10
Balance Sheet Risk1/10
Liquidity Impact9/10
Market Sentiment5/10
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Nahar Poly Films Limited has informed the Exchange about Copy of Newspaper Publication
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NIPFL|siD|2fn:6-2]/ o6th August, 2026
Corporate Relations Department Corporate Listing Department
The BSE Limited The National Stock Exchange of India Limited
25th Floor, P.J. Towers, Exchange plaza, 5th Floor,
Dalal Street, Plot No. C/1, G-BIock
Mumbai -400001 Bandra-Kurla Complex, Bandra (i)
Mumbai -400051
SCRIP CODE: 523391 SYMBOL: NAHARPOIV
SUB: NEWSPAPER PuBLICATION
Dear sir/ Madam,
Pursuant to Regulation 47 and other applicable provisions of SEBl (Listing Obligations and
Disclosure Requirements) Regulations, 2015, we are sending herewith copies of Newspaper
publication of un-audited Financial Results for the quarter ended 30th June, 2026 published
in `'Business Standard" and "Punjabi Jagran" dated 06thAugust, 2026.
This is for the information of the general Public as well as members of the Exchange.
Thanking you.
Yours Faithfully,
FOR NAHAR POLY FILMS LIMITED
SAKSHI MAHESHWARI
(COMPANY SECRETARY)
M. NO. A79236
Encl. as above
Factory : VIll. Sarakia / ltayakalan.
Near Mandideep Hosangabad Road,
Distt. Raisen -464999 (M.P.) (India)
Phones : 91 -7480-234340/41/46
Email : npfl@owmnahar.com
Business Standard cuanoicarh | THURS6 ADUGAUSYT 2,02 6
TANEJA AEROSPACE AN D AVIATION LIMITED
@isy GARWARE GARWARE TECHNICAL FIBRES LIMITED Regd. Office: Belagondapalli Village, Thally Road, Denkanikottai Taluk, Krishnagiri Dist., Belagondapalli - 635114,
Tamil Nadu, India Phone : 91 4347 233 506, Fax : 91 4347 233 414 , E-mail : secretarial@taal.co.in,
Website : www.taal.co.in, CIN : L62200TZ1988PLC01 4460
EXTRACT OF THE STATEMENT OF CONSOLIDATED FINANCIAL RESULTS
EXTRACT OF UNAUDITED STANDALONE AND CONSOLIDATED FINANCIAL RESULTS FOR THE QUARTER ENDED JUNE 30, 2026
(INR in lakh, unless otherwise stated)
FOR THE QUARTER ENDED 30™ JUNE, 2026
& In Lakhs) sr Particulars June 30, 2026 March 31, 2026 June 30, 2025
Sr Particulars Standa lone Consolidated 1[ Revenue from S 1,031.30, 4,015.97. 852.38
No Quarter Quarter Quarter Year Quarter Quarter Quarter Year
Ended Ended Ended Ended Ended Ended Ended Ended
30.06.2026 | 31.03.2026 | 30.06.2025 | 31.03.2026 | 30.06.2026 | 31.03.2026 | 30.06.2025 | 31.03.2026
(Unaudited) | (Audited) | (Unaudited) | (Audited) | (Unaudited) | (Audited) | (Unaudited) | (Audited) up
Value Rs. 5
1 | Total income from operations (net) 40,978.02 37,872.61 36,039.46 | 1,46,422.25 49,129.79 43,422.41 38,006.62 | 1,57,647.51 reserves
2 | Net Profit for the period (before Tax, 8,557.20 8,824.90 7,174.63 29,381.31 8,636.18 9,183.97 7,039.46 28,329.04 s per 2
Exceptional and / or Extraordinary items) (not annualised):
3 | Net Profit for the period before tax 6,557.20 7,434.90 7,174.63 27,991.31 8,636.18 7,793.97 7,039.46 26,939.04
(@) Basic ea er an mi ngs / (loss) per share (INR) 2.25 6.59
(after Exceptional and / or Extraordinary items)
EXTRACT OF THE STATEMENT OF STANDALONE FINANCIAL
4 | Net Profit for the perlod after tax 4,898.93 5,481.73 5,515.73 21,126.53 6,460.30 5,725.54 5,314.40 19,867.39 RESULTS FOR THE QUARTER ENDED JUNE 30, 2026
{after Exceptional and / or Extraordinary items) R in lakh, unless otherwise
5 | Total Comprehensive Income for the period 9,023.26 5,952.40 5,822.63 20,134.17 10,688.82 7,125.90 5,651.29 | 20,715.90 Three Months Year Ended Three Months
[Comprising Proftt for the period (after tax) and Particulars June 30, 2026 March 31, 2026 June 30, 2025
other Comprehensive Income {after tax)]
Revenue from 1,031.30 4015.97 852.38,
6 | Equity Share Capital 9,764.83 9,926.58 9,926.58 9,926.58 9,764.83 9,926.58 9,926.58 9,926.58
(Face Value Is % 10/- per share)
7 | Reserves (excluding Revaluation Reserve) 1,22,798.71 1,25,515.82
8 | Eamings Per Share (of = 10/- each) N 1. otes T: h e un-aucited consolidated financial result and standalone financial results have been reviewed by the Audit Committee and
(for continuing and discontinued operations) approvedbythe BoardofDirectotriss meting heldon Oot August 2026
2. The aboveisan extract ofthe detailed format of financial results fied with stockexchange under Regulation 33 f the Securities
(a) Basic : 4.97 5.52 5.56 21.28 6.56 5.77 5.35 20.01 and Exchange Board of India (Listing Obligations and Disclosure Requirement) Regulation, 2015. The full forform thea qutart er
ended June 30, 2026 are available on the BSE Limited website (URL: www.bseindia.com) and on company's website
(b) Diluted : 4.97 5.52 5.56 21.28 6.56 5.77 5.35 20.01 (www taal.co in). Thesame can beaccessed by scanning the QR code provided below.
Notes: Place: Pune
Raye
For and on behaofl tfhe Board Raof
eD si hr ec Dt uo dr as
1. The above is an extract of the detailed format of Unaudited Standalone and Consolidated Financial Results of the Company for the quarter ended on 30" June, 2026, Date : August 5, 2026 Bey Managing Director
filed with the Stock Exchanges under Regulation 33 of the SEBI (Listing and Other Disclosure Requirements) Regulations, 2015. The full format of Unaudited Standalone and
Consolidated Financial Results of the Company for the quarter ended on 30th June, 2026 is available on the Company's website at www.garwarefibres.com and also on the
Stock Exchanges websites, on BSE Limited at www.bsaindia.com and on The National Stock Exchange of India Limited at www.nseindia.com. The same can ba accessed
by scanning the QR code provided below.
2. The Unaudited Standalone Financial Results of Garware Technical Fibres Limited ("the Company”) as well as Consolidated Financial Results of the Company and Its Subsidiaries
and Is associates for the quarter ended 30" June, 2026 ("the Financial Statements"), were reviewed by the Audit Committee and have been taken on record and approved by the
Board of Directors at its meeting held on Wednesday, 05" August, 2026. The Statutory Auditors of the Company have carried out a "Limited review” of the Financial Statements
for the quarter ended 30" June, 2026.
For Garware Technical Fibres Limited
Sdl-
V. R. GARWARE
Place: Pune Chairman & Managing Director fal Nahar SPINNING MILLS LIMITED
Date : 05° August, 2026 DIN: 00092201
Gore MO Ce MUL MU et
Regd. Off.: Plot No. 11, Block D-1, M. I.D.C., Chinchwad, Pune - 411 019.
CIN : L17115PB1980PLC004341, Ph. 0161-2600701, Fax: 0161-2222942
CIN: L25208MH1976PLC018939; Telephone No.: (+91-20) 27990000; E-mail: secrotarial@ganwarefibres.com; Website: www.garwarefibres.com
ME Olea Ur a RC CeaLE L a e111)
EXTRACT OF STANDALONE UN-AUDITED FINANCIAL RESULTS FOR THE
RAJSHREE POLY PACK LIMITED
( L Regd Office: Lodha Supremus Unit No 503-504 Sth fi, Road No. 22, QUARTER ENDED 30TH JUNE, 2026 (in Lakhs)
R Pp) Kishan Nagar, Nr. New Passport office, Wagle Estate, Thane, Maharashtra, India 400604
“it pI z Corporate Office: 502, Lodha Supremus, Building No.1, 5* Floor, Road No. 22, i Particulars Quarter Ended Year Ended
Near New Passport Office, Wagle Estate,Thane (W) — 400 604. Tel: +91 22 4957 8200 0. W.06.2026 | 31.03.2026 | 30.06.2025 | 31.03.2026
CIN: L25209MH2011PLC223089 Website: Un-audited ‘Audited Un-audited Audited
EXTOFR STAANCDALTON E & CONSOLIDATED UNAUDITED FINANCIAL RESULTS FOR THE QUARTER ENDED JUNE 30, 2026 1 | Total ncome from Operations 07552.15 97249.10 2096.48 | 323311.95
(&inLakhs) x n - . . E
SUNDAONE CONSUMED 2 _| Net Profiy(Loss) for the period (before Tex) 9337.72 2808.72 2105.23 2603.93
3 Particulars Quarter Ended Year Ended Quarter Ended Year Ended 3. | Net Profit/{Loss) for the period (after Tax) 69 87.72 2341.72 1596.23 2181.93
” Jun 30,2026 | Mar31, 2026 | Jun30,2025 | Mar3i,2026 | Jun 30,2026 | Mar31,2026 | Jun30,2025 | Mar 31, 2026 4 | Total Comprehens|i ve Income/(Loss) for the 9 197.61 839.62 8565.40 2322.62
Unaudited Audited Unaudited Audited Unaudited Audited Unaudited Audited perind [Comprising Proft/(-oss) forthe period
(Refer Note 3) (Refer Note 3) {after tax) and other Comprehensive Income/
1_| Total income from Operations 10,500.75 9,287.18 8 ,448.38 33,861.47 10,500.75 9,287.18 8,448.38 33,861.47 (Loss) (after tax)]
2__ | Nceate ptPiroofniatl/ (anLdleorfs orsb tt)hrea cgptenrieonds (beenfeor)e Tax, 939.2. 1
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