BSEResult1d ago · 11 Aug 2026, 02:03 pm
Financial result for quarter ended 30 June 2026
Sparkle Gold Rock Ltd · 530037
✦ AI SummaryResults
Sparkle Gold Rock Ltd has submitted its unaudited financial results for the quarter ended June 30, 2026, as per Regulation 33 of the SEBI Listing Obligations and Disclosure Requirements Regulation, 2015. The results show a total of ₹4,836.70 lakhs in assets and ₹4,836.70 lakhs in equity and liabilities.
Analysis Scores
Earnings Impact5/10
Growth Catalyst2/10
Governance Concern1/10
Regulatory Risk1/10
Balance Sheet Risk6/10
Liquidity Impact8/10
Market Sentiment5/10
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Sparkle Gold Rock Ltd - 530037 - Results- Financial Result For Quarter Ended 30 June 2026
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Sparkle Gold Rock Limited
(Formerly known as Sree Jayalakshmi Autospin Limited)
CIN: L32111RJ1991PLC106196
Registered Office: Office No 507 508 5th Floor, Vaibhav
Cine Mutiplex, Vaishali Nagar, Jaipur, Rajasthan, India, 302021
Email: sparklegoldrock@gmail.com
GSTIN: 29AADCS6415K1Z1
Office: 0141 4012129
Mobile No: +91 9829196115
Ref no: 145
Date: 11-08-2026
Compliance Department
BSE Limited
Floor No-25, P. J Tower Dalal Street
Mumbai-400001
Dear Sir/Madam,
Sub: Financial of Sparkle Gold Rock Limited (Formerly Known As Sree Jayalakshmi
Autospin Limited) (‘the Company’) for the Quarter Ended June 30, 2026
Pursuant to Regulation 30 read with Part A of Schedule III & Regulation 33 of the SEBI
(Listing Obligations & Disclosures Requirements) Regulation, 2015, we are submitting
herewith the Quarter ended Financials of the Company, in the specified format for the
Quarter Ended June 30, 2026
This is for information of the Exchanges and the Members.
Thanking you
Yours faithfully,
For SPARKLE GOLD ROCK LIMITED
(FORMERLY KNOWN AS SREE JAYALAKSHMI AUTOSPIN LIMITED)
Mansha Ghiya
Compliance Officer/Company Secretary
Corporate Office: Office No 507 508 5th Floor, Vaibhav Cine Mutiplex, Vaishali Nagar, Jaipur,
Rajasthan, 302021 GSTIN: 08AADCS6415K1Z5
(rA"l
G.R. Gupta and Company
!v1'('j
CharteredAccountants
.\"', _ .>/! Tel:'1-91-141-c365194. 2374464,4005652
Email:glguptilca@)t.'1UaiJ,c,olll
Oelhiome.: Jajpul'Office: Bengaluru OffICe:
('toRlyilGeJlI!I8i StOI'e f'lot'N'",A04, Vi::llulUApal1meui, FJAtNl) 1J6:'.}.2.tWFloor,
PradhanMarket.NeMShivMcndir. A~$,SnrdarPatelM:.u'S! JItilCross.Mafleslrwaraus.
NifothiExtension, Naugloi. Choreu Hous-eCircle. C-$Io':Mm¢ AboveUnionBank. '
Delhi llOO4I Jajpul',Rllj,asth:.;u302001 Bengalum 560003
LIMITED REVIEW REPORTON FINANCIAL STATEMENTSFORQUARTER ENDEDON 30th JUNE2026
TheBoardof Directors
SparkleGoldRockLimited'
(forermy known asSreeJayalakshmiAutospin Limited)
1. We havereviewed the accompanyingstatement of unaudited financial resultsof SparkleGold Rock
Limited (formerly known asSreeJayalakshmiAutospin Limited) ('liThe Company") for the Quarter
ended on 30th June 2026. ThisStatement hasbeenprepared bythe company pursuant to Regulation
33 of SEBI(ListingObligation and Disclosure Requirement) Regulation2015 asmodified by Circular
No-CIR/CFD/FAC/62/2016dated July 5, 2016 (The "Listing Regulations 2015"). The accompanying
statement of unaudited financial resultsaresingedbyusfor identification purposeonly.
ThisStatement isthe responsibility of the company's Management and hasbeenapproved by the
Boardof Directors.Ourresponsibility isto expressanopinion onthe Statement basedonour review.
2. We conducted our review of the Statement inaccordancewith the Standardon ReviewEngagement
(SRE)2410 "Review of Interim FinancialInformation Performed bythe Independent Auditor of the
Entity", issued by the Institute of Chartered Accountants of India. This Standard requires that we
comply with ethical requirements andplanandperform the review to obtain moderate assuranceas
to whether the Financial Statements are free from material misstatements. A review is limited
primarily to inquiries of CompanyPersonneland analytical procedures applied to financial data and
thus provide lessassurancethan anaudit, We havenot performed anaudit and accordingly,we do
not expressanaudit opinion.
3. Basedon our review conducted asstated above, nothing hascometo our attention that causeusto
believethat the accompanyingstatement of unaudited financial results, preparedinaccordancewith
the aforesaidIndianAccountingStandardsandother accountingprinciplesgenerallyacceptedinIndia,
hasnot disclosedthe information requiredto bedisclosedinterms of Regulation33ofthe SEBI(Listing
Obligation and Disclosure Requirement) Regulation 2015 as modified by circular No
CIR/CFD/FAC/62/2016dated July 5, 2016 (The "Listing Regulations2015") including the manner in
which it isto bedisclosedorthat it containsanymaterial misstatement.
For G. R. Gupta and Company
CharteredAccountants
Firm Regn.No.006201C
CA.Govind
Partner
Membership No.072665
Place:JAIPUR
f olOl
Date: " U)2.-(,
Mis.SPARKLEGOLDROCKLIMITED
(formerly knownasMis.Sree)ayalakxmiAutospin Umited)
RegisteredOffice: OfficeNo.507-508,5thFloor,VaibhavMultiplex, vaish1aliNagar,Jaipur-302021Rajasthan
Telephone(041) 4012129Mobile:9829196115CIN:L32111RJ1991PLC106196
Statement of Unaudited Assetsand Uabilities asat 30th June2026
(infLakhs)
ASON
PARTICULARS 30.06.2026 31.03.2026
(Unaudited) (Audited)
ASSETS
NONCURRENTASSETS
(A)Property,Plant&Equipment 1.47 1.56
(B)CapitalWorkinProgress - -
(C)InvestmentProperty - -
(D)Goodwill - -
(E)OtherIntangibleAsset - -
(F) IntangibleAssetunderDevelopment - -
(G)BiologicalAssetsotherthanBearerpaint - -
(H)FinancialAsset - -
(i)Investment - -
(ii)TradeReceivables - -
(iii)Loans - -
(iv)Others -
(I)DeferredtaxAsset 0.30 0.30
(J)OtherNon-CurrentAssets 1.54 1.54
CURRENTASSETS
(A)Inventories 1.73 1.73
(B)FinancialAsset - -
(i)Investment - -
(ii)TradeReceivables 4,723.15 5,459.92
(iii)Cash&CashEquivalents 102.48 107.11
(iv)BankBalancesotherthan(iii)above - -
(v)Loans 0.60 0.60
(C)CurrentTaxAssets(Net) 2.90 0.52
(D)OtherCurrentAsset 2.55 46.22
TotalAssets 4,836.70 5,619.49
EQUITY&LIABILITIES
EQUITY
(A)EquityshareCapital 447.82 447.82
(B)OtherEquity 103.91 78.99
LIABILITIES
NONCURRENTLIABILITIES
(A)FinancialLiability
(i)Borrowings - -
(ii)Tradepayables - -
(iii)OtherfinancialLiabilities - -
(B)Provisions - -
(C)DeferredTaxLiabilities - -
(D)OtherNonCurrentLiabilities - -
CURRENTLIABILITIES
(A)FinancialLiability
(i)Borrowings 489.07 1,604.61
(ii)TradePayables 3,670.32 3,321.94
(iii)OtherFinancialLiabilities -
(B)Othercurrent liabilities 7.74 56.66
(C)Provisions - -
(D)CurrentTaxLiabilities(Net) 117.84 109.45
TotalEquityandLiabilities 4,836.70 5,619.49
ForSPARKLEGO~ RO~KLIMITED ~ ~
SaritaDeviSharma LakshitaSharma
ManaeineDirector CFO&ExecutiveDirector
DIN:02467927 DIN:09831479
::roe..c..~
Place;
Date: ,"
0's J'1-0.26
MIs. SPARKLEGOLDROCKLIMITED
(formerly known asM\s. SreeJayalaxmi Autospin Limited)
Registered Office: Office No.50'7-50'8, 5th Floor, Vaibhav Multiplex, Vaishali Nagar, Jaipur -30'20'21Rajasthan
Telephone (0'41) 40'12129 Mobile: 9829196115 CIN:l32111RJ1991PLC1D6196
PART11-STATEMENTOFPROFITANDLOSS
(in~LakhexceptEPS)
Quarter Ended Year Ended
30-06-2026 31-03-2026 30-06-2025 31-03-2026
SINO. PARTICULARS
(Un-Audited) (Audited) (Un-Audited) Audited
(refer note 3)
I Revenue from Operations 1,277.90 5,0'72.55 185.28 11,157.11
II Other Income 0'.01 0'.0'5 - 0.0'5
III Total Income from operations (1+11) 1,277.91 5,072.60 185.28 11,157.16
IV Expenditure
Purchase ofStock InTrade 1,234.81 4,404.21 180'.28 10',553.37
ChangesinInventories of Finished Goods - 250'.40' - (1.73)
Work-in-progress and stock intrade - - - -
Employees benefits expenses 4.11 12.24, 1.50' 18.89
Finance Cost - - - -
Depreciation and amortisation expenses 0'.0'9 0.09 0'.0'9 0'.35
Other Expenditure 5.60 14.49 9.49 35.86
V Total Expenses(V) 1,244.60 4,681.43 191.35 10;606.74
VI Profit/floss) before Exceptional Items and tax(III-V) 33.30' 391.17 -6.0'7 550'.42
VII Exceptional Items 0'.00 -11.50' -14.22 26.69
VIII Proflt/(Loss) before tax (VI-VII) 33.30' 40'2.67 8.15 523.73
TaxExpenses:
IX (1)Current tax including earlier period tax expense 8.39 10'9.45 10'9.45
(2)Deferred Tax 0.00 -0.30' -0.30
X Profit / (Loss)for the period from continuing operations (VIII-IX) 24.92 293.51 8.15 414.58
XI Profit I(Loss)from discontinued operations - - -
XII Taxexpense ofdiscontinued operations - - -
XIII Profit / (Loss)from discontinued operations (after tax) (X-XI) - - -
XIV Profit / (Loss)for the period (X+XIII) 24.92 293.51 8.1S 414.58
XV Other Comprehensive Income
A(i)Items that willnot bereclassified to profit or loss - - -
(ii) Income tax relating to items that willnot be reclassified to
profit or loss - - -
B(i) Items that willbe reclassified to profit or loss - - -
(ii) Income tax relating to items that willbe reclassified to profit
or loss - - -
XVI Tot
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