BSECompany Update9 Aug 2026 · 9 Aug 2026, 04:38 pm
Newspaper Publication
Mangalam Cement Ltd · 502157
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Mangalam Cement Ltd has published its unaudited financial results for the quarter ended 30th June 2026, showing a net profit of Rs. 1807.11 lakhs and earnings per share of Rs. 6.57.
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Earnings Impact6/10
Growth Catalyst2/10
Governance Concern1/10
Regulatory Risk1/10
Balance Sheet Risk1/10
Liquidity Impact8/10
Market Sentiment5/10
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Mangalam Cement Ltd - 502157 - Announcement under Regulation 30 (LODR)-Newspaper Publication
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MANGALAM CEMENT Regd. Office: P.O. Aditya Nagar•326520, Morak, Distt. Kola (Raj.I,
CIN : L26943RJ1976PLC001705,
Website: www.mangalamcement.com,
E-mail ; colll!lunication@maogalamcement.cotn
MCL/SEC/2026-27
8th August, 2026
The Corporate Relations Department The Corporate Relations Department
The National Stock Exchange of India Ltd. Department of Corporate Services
Exchange Plaza, 5th Floor, BSE Limited
Plot No. C/1, G-Block 25th Floor
Bandra-Kurla Complex Phiroze Jeejeebhoy Towers
Bandra (E), Mumbai 400 051 Dalal Street, Mumbai – 400 001
Security Code : MANGLMCEM Scrip Code: 502157
Sub: Newspaper Advertisement pursuant to Regulation 47 of SEBI (Listing Obligations
and Disclosure Requirements) Regulations, 2015 (“SEBI Listing Regulations”)
Dear Sir/Madam,
In terms of Regulation 47 of the SEBI Listing Regulations, the Company has published the Un-
audited Financial Results for the quarter ended 30th June, 2026 in ‘Financial Express’ (English)
all edition and in ‘Rajasthan Patrika’ (Hindi) Kota edition on 9th August, 2026.
Further, in pursuance of Regulation 30 read with Schedule III (A)(12) please find enclosed the
copy of Newspaper articles as published in above mentioned newspapers.
This is for your information and record.
Yours faithfully,
For Mangalam Cement Limited
Pawan Kumar Thakur
Company Secretary & Compliance Officer
Mangalarn Ceme1t Limited
UIR'Hti Corporate Office; Bir1e Building.. 10tr-: floor, 9/1 R. N. Mulll1e1jco RtJad,
Kolk~1;i • 7QQ 001, Tel.; 033 2243 3707, 9073672432/33/34,
Email; kolkata@margalamcem'!nt.e<>m
Pradeep Metals Limited
MANGALAM CEMENT LTD.
CIN: L99999MH1982PlC026191
UQBlrla!
Registered. Office: R-205, T.T.C. Ind. Area, MIDC, Rabale, Navl Mumbai 4-00101
Milt
Regd.Office: P.O.Aditya Nagar-326S20, Morak, Dist. Kota (Rajasthan) Email id: illxul21§.@Pwln•m~!~li,c2m, Website: l!CltlX,11.Cld<$RDJelijli&2m, Contac1 no: +91·022•27691026, Fax :+91•022•2769·1123
CIN-L26943RJ1976PLC00170S Extract of Standalone and Consolidated Financial Result, for the quarter ended 30th June 2026
I iRI, ln Lakh$►
Website : www.mangalamcement.com email : communication@mangalamcement.com
Standalone Consolidated
EXTRACT OF UNAUDITED FINANCIAL RESULTS FOR THE QUARTER ENDED 30TH JUNE-2026
(Rs. in lokhs) Quarter ended Year endtd Ounrtor e116ed Year ended
s, PARTICULARS 30.Jun-2026 l t-Mar-2026 30,Jun-~25 31-Mar-2026 30.Jun-2026 31,Mar-2026 30-Jun-2025 31-M.Jr,2026
Quarter ended Year ended No.
Unaudited Audited Unaudited Audited Unaudited Audited Unaudited Aucfrted
30.06.2026 31.03.2026 30.06.2025 31.03.2026
Particulars
I Total Income from Operation5 9,002.08 $,958.83 7,340.90 32,764.81 9,310.66 9,096.33 1,152.83 33,302.67
UNAUDITED AUDITED UNAUDITED AUDITED
2 Net Profit for the period/ year
Total Income 46582.48 50667.23 46236.61 180237.96 before tax 844.86 1,051.34 618.52 3,435.53 1,069.16 1,301.44 115.02 3,958.67
3 Net Profit for the period/ year
Profit before interest, depreciation and tax PBIDT) 6398.28 7024.82 8580.44 26084.05
afte:rtax 618.29 179.:19 463.41 2,532.14 83S.34 1,031.92 556.54 3,033.12
Net Profit before exce tional item and tax 2364.19 3377.20 4914.31 11594.70 4 Total Comprehensive Income fof
Net Profit before tax and after exceptional item 2364.19 1304.38 4914.31 9418.95 the period/ year (Comprising P,ont I
(Loss) fo, thep eriod I year (after I»)
Net Profit after tax 1807.11 6523.46 3225.93 12895.03
and Other Comprehensive Income
Total comprehensive Income for the period 1811.26 6560.15 3256.85 12953.37 (afl,,rtaJ<)I 583.64 808.17 445.42 2,525.14 829.38 1,112.50 543.16 3,133.91
{comprising net profit _for the period after tax and s Paid-up equity share capital 1,727.00 1,127.00 1,727.00 1,727.00 1,727.00 1.127.00 1,721.00 1,727.00
o.ther com rehensive income after tax 6 Other Equity {Reserve excluding
Revaluation Reserve) as shown in
Equity Share Capital (face Value Rs.10/· Per Share) 2749.73 2749.73 2749.73 2749.73 the Audhod Balance Sheet 14,509.09 14,696.41
94979.50 7 Earnings Per Share
(Face valuo of Rs. 10/· each)
Earning per share (of Rs. 10/· each) Basic & Diluted 6.57 23.72 11.73 46.90
(no! annualized)
1. The above is an e)(tract of the detailed format of Unaudited Financial Results for the Quarter ended, filed with the Stock Exchanges: under (a)Basic 3.58 4.51 2.68 14.67 4.84 S.98 3.22 11.57
Regulation 33 of the SEBI {listing Obligations and Disclosure Requirements) Regulations, 2015, as amended. The full format of the (b)Dlluted 3.58 4.51 2.68 14,61 4.84 S.98 3.22 11.S7
Unaudited Financial Results for the Quarter ended are available on the Stock exchanges websites. www.ns.elndla.com, www.bseindla.com
Notes:
and Company's web site www.mangalamcement.com.
1. The abovo fs an extract of the detailed format of Standalone and Consotldated unaudited Flnanclal Results filed with th&
2. The above results have been fevlewe<l by the Audit Committee and approved by the Soard of Directors of the Company at their respective Stock Exchanges unde.rRegulation 33 of the SEBI (Listing Obligations and Olsclosure Requirements) Regulations, 2015.
meetings held on 8th August, 2026 and have been reviewed by the Starutory Auditors.o f the Company. The full formit of Standalone & Consolidated Financial Results are avail-able on the websites of the Stock Exchange(s)
(www.bselndi-a.comfc.orporatos} and the Company websl1o (http://www.pradcopmotals.comfmports.html). The same
can be aecessed by Scanning the QR Cod:e given.
2. The above results have been reviewed by the Audit Committee and approved by the Board of Directors of the Company
By Order of the Board
at its meGtlng hold on 7th August 2026, the statutory auditors of the Company have catrled out the audit of the standalone
Anshuman Vikram Jalan
& consolldate-d Rnanclal results for the quarter ended 30th June 2026.
Place : Kolkata Chairman For Pradeep Met.al$ Limited
Date : 8th August, 2026 DIN : 01455782 Sd,•. .
Pradeep Goyal
Pl.ace: Navi Mumbai Chairman and Managing Director
Date : 7th Augu•t 2026 DIN:00008310
IHBJ:I HBL ENGINEERING LIMITED
(formerly HBL Power Systems Limited) ~
CIN:L40109TG1986PLC006745
Regd. Off: 8-2-601, Road No.10, Banjara Hills, Hyderabad -500 034
Extract of unaudited financial results (Standalone and Consolidated) for the quarter ended June 30 2026
Crores)
HINDUJA GLOBAL SOLUTIONS LIMITED
Standalone Re-suits ConsoUdated Results
CtN: l92199MH1995PlC064610
Quarter ending Year ended Quarter ending Year ended Registered Office: Towe, C( 1• noor). Plot c,21. G Block, Sandra Kuna Complex. Sandra (East). Mumbai• 400 051. Ph. No.: 022·6136D407
Particulars 30.Jun-26 31-Mar-26 30-Jun-2S 31-Mar-26 30-Ju1>-26 31-Mar-26 30-Jun-2S 31-Mar-26 E•mail id: invesior.,e-!ations@hgs.C(lm I Website: W\\W,hgs.eom
N,o.
Unaudited) (Unaudited Unaudited (Audited) (Unaudited (Unaudited) (Unaudited) {Audited)
EXTRACT OF UNAUDITED CONSOLIDATED FINANCIAL RESULTS
Total Income rcomopecalions 619.54 597.31 587.68 3251.80 638.03 604.12 601.77 3,302.83
FOR THE QUARTER ENDED JUNE 30, 2026
2. Net Profit I (Loss) for 11\e period (before Tax and 142.32 71.42 191.23 1098.81 149.46 70.77 193.62 1,106.66
Exceptional items)
{Rs. in Crores)
3. Net Profitl(Loss) for the period before tax 142.46 68.35 188.13 106t99 149.45 67.45 190.51 1,075.41
{after Exceptional ltems) Sr. Particulars 3 months 3 months COCT8$f)Ol1dlng3 Previous year
4. Net Profill(loss) foe 11\e period after lax 105.47 57.17 139.73 796.79 110.91 55.18 141.84 802.43 No. ended ended months ended ended
{after Extraordinaiy items) 30.06.2026 31.03.2026 30.06.2025 31.03.2026
5. Total Cam,,rehensive lnoome for the period 105.59 58.12 139.56 797.19 109.39 64.23 143.20 814.19 Unaudited Audited Unaudited Audited
(Comprising ProfiV(Loss) f0< the period (after laX) and
(Refer note 2)
Other Comprehensive Income (after tax)]
(Refer Notes Below) ii iii iv
6. Equity share·caj)llal (Face Value Re 1/· each) 27.72 27.72 27.72 27.72 27.72 27.72 27.72 27.72
1 Total income from operations (both continuing and 1,201, 16 1,254.63 1,254.89 5,005.04
7. Reserves {excluding R
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