BSECompany Update6d ago · 13 Aug 2026, 10:03 pm

Newspaper Advertisement for publication of unaudited Financial Results for the quarter ended on June 30,2026.

Conart Engineers Ltd-$ · 522231

✦ AI SummaryResults

Conart Engineers Ltd has published unaudited financial results for the quarter ended June 30, 2026, showing a net loss of Rs. 2.42 lakhs. Shalimar Productions Limited has also published unaudited financial results for the quarter ended June 30, 2026, showing a net profit of Rs. 403.64 lakhs. Essel Lucknow Raebareli Toll Roads Limited has published unaudited financial results for the quarter ended June 30, 2026, showing a net profit of Rs. 346.51 lakhs.

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Earnings Impact2/10
Growth Catalyst1/10
Governance Concern1/10
Regulatory Risk1/10
Balance Sheet Risk1/10
Liquidity Impact5/10
Market Sentiment5/10

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Conart Engineers Ltd-$ - 522231 - Announcement under Regulation 30 (LODR)-Newspaper Publication

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Conart Engineers Limited TM Where Construction Engineering Becomes An Art CIN : L45200MH1973PLC017072 Regd. Office: 17, Ground Floor, Jay Bharat Society Nr. Solanki Palace, 3rd Road Old Khar, Khar West, Mumbai - 400052, Maharashtra. Tel: 022-26489621, E-mail: celcs@conartengineers.com Branch Office: 2nd Floor, Bombay Shopping Centre, R.C. Dutt Road, Vadodara 390 007, Gujarat, India Tel.: +91 (265) 2330946 / 7122, E-mail: celcs@conartengineers.com, Website: www.conartengineers.com Date: 13-08-2026 BSE Limited P.J.Towers, Mumbai -400 001 Scrip Code: 522231 Scrip Name: Conart Sub: Intimation of Publication of Newspaper Advertisement for Unaudited Financial Results Dear Sir/Ma’am, Pursuant to Regulations 30 and other applicable regulations of the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015, we hereby submit copies of the newspaper advertisements published by the Company in respect of the Unaudited Financial Results for the quarter ended 30th June, 2026, which were approved by the Board of Directors at its meeting held on 11th August, 2026. The said advertisements have been published on 13th August, 2026 in Active Times (English) and Mumbai Mitra (Marathi), in compliance with the applicable provisions of the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015. Kindly take the above information on record. Thanking you, Yours faithfully, For Conart Engineers Limited (Jitendra S. Sura) Managing Director DIN: 00480172 Bussiness ACTIVE TIMES Thursday 13 August 2026 5 Read Daily PUBLIC NOTICE Active Times N Mo Rt Sic Re Ais T h Ne Ar e Ab Sy H g Oiv Ke n M t Hh Aa Tt Rm Ey , c al rie en tht, e 1 O. M wR n. e A r S oH f tO hK e sN aA idN A Fl M atH NA oT - R 4E 09, & , o 2 n. the Fourth Floor, in the building known as “SHREE SAI APARTMENT”, Village - Virar, Virar East, Tal. Vasai, Dist. Palghar-401305. MR. ASHOK NANA MHATRE purchased the said Flat from M/S. SHREE SAI CONSTRUCTION, on 04 October 2010 by Notarized Agreement. MR. ASHOK NANA MHATRE has gifted his 50% share to his wife MRS. RATNA ASHOK MHATRE, Vide Registration No. 6287-2019, VSI-2, Date- 09/05/2019. MR. ASHOK NANA MHATRE & MRS. RATNA ASHOK MHATRE sold the said Flat to MRS. MHALAXMI UMESH SALIYAN & PUSHKARAJ UMESH SALIYAN, Vide Registration No. 4673-2021, VSI-2, Date-23/03/2021. MR. ASHOK NANA MHATRE & MRS. RATNA ASHOK MHATRE cancelled the said Sale Agreement with MRS. MHALAXMI UMESH SALIYAN & PUSHKARAJ UMESH SALIYAN, vide Deed of Cancellation registered under Registration No. 9412-2026, VSI-6, dated 25/07/2026. MR. ASHOK NANA MHATRE & MRS. RATNA ASHOK MHATRE sold the said Flat to MR. NANDKUMAR VASANT BANE & MRS. VANDANA VASANT BANE, Vide Registration No. 14003-2026, VSI-2, Date- 06/08/2026. So we hereby invite claim or objection that any person having any claim or objection against or into or upon in respect of said room howsoever are hereby required to make the same known in writing to our advocate office within 7 days from the date of publication. MR. D. S. TIWARI Date: 13/08/2026 (Advocate High Court) Add- Office No. 19, Akanksha Tower, Near Railway Station, Nallasopara East – 401209. SHALIMAR PRODUCTIONS LIMITED Regd. Office: - A-9, Shree Siddhivinayak Plaza, Plot No. B-31, Off Link Road, Andheri (West), Mumbai, 400053 Tel: 022-45170487, Website: www.shalimarpro.com, Email: contact@shalimarpro.com CIN: L01111MH1985PLC228508 EXTRACT OF THE UNAUDITED FINANCIAL RESULTS FOR THE QUARTER ENDED 30TH JUNE, 2026 (Rs. in Lakhs, except per share data) Quarter Quarter Quarter Year Sr. Ended Ended Ended Ended No. PARTICULARS 30.06.2026 31.03.2026 30.06.2025 31.03.2026 UN-AUDITED AUDITED UN-AUDITED AUDITED 1 Total Income from operations 75.01 0.03 0.02 16.45 2 Net Profit / (Loss) for the period (before tax, exceptional and/or extraordinary items) (2.42) (27.25) (52.03) (119.27) 3 Net Profit / (Loss) for the period before tax (after exceptional and/or extraordinary items) (2.42) (27.25) (52.03) (119.27) 4 Net Profit / (Loss) for the period after tax (after exceptional and/or extraordinary items) (2.42) (27.25) (52.03) (119.27) 5 Profit / (Loss) from discontinuing operations 0.00 0.00 0.00 0.00 6 Total Comprehensive Income for the period (Comprising Profit/(Loss) for the period (after tax) and Other Comprehensive Income (after tax)) (2.42) (27.25) (52.03) (119.27) 7 Equity Share Capital 9843.28 9843.28 9843.28 9843.28 8 Reserves (excluding revaluation reserve) as shown in the Audited Balance Sheet of the previous year - - - - 9 Earnings Per Share (Face value of Rs. 10/- each) (Not Annualized) - - - - A Basic EPS for the period from Continuing Operations (0.00) (0.00) (0.01) (0.01) B Diluted EPS for the period from Continuing Operations (0.00) (0.00) (0.01) (0.01) For Shalimar Productions Limited Sd/- Date: 12.08.2026 Tilokchand Kothari Place: Mumbai Director DIN: 00413627 Essel Lucknow Raebareli Toll Roads Limited Registered Office: Essel House B-10, Lawrence Roads, Industrial Area, Delhi-110035 CIN-U45200DL2011PLC229484 email-id: essel.roads@gmail.com, website: http://10.120.0.90/LucknowRaebareli/index.html Extract of Statement of Financial Results For The period Ended June 30, 2026 (All amounts in Rupees Lakhs) Sl. 3 months ended Year Ended No. Particulars 31-Mar-26 30-Jun-26 30-Jun-25 31-Mar-26 Audited Unaudited Unaudited Audited 1 Total Income from Operations 2,126.40 1,030.78 915.45 5,726.89 2 Net Profit / (Loss) for the period (before Tax, Exceptional and/or Extraordinary items) 369.01 415.63 168.30 890.00 3 Net Profit / (Loss) for the period before tax (after Exceptional and/or Extraordinary items) 368.55 415.59 167.56 888.05 4 Net Profit / (Loss) for the period after tax (after Extraordinary items) 346.51 403.64 150.28 849.21 5 Total Comprehensive Income 346.51 403.64 150.28 843.26 6 Paid up Equity Share Capital 13,190.00 13,190.00 13,190.00 13,190.00 EXPO ENGINEERING AND PROJECTS LIMITED 7 Reserves (excluding Revaluation Reserve) 3,110.67 3,514.30 2,417.69 3,110.67 (formerly known as EXPO GAS CONTAINERS LIMITED) 8 Securities Premium Accounts CIN NO: L40200MH1982PLC027837 9 Net worth 16,300.67 16,704.30 15,607.69 16,300.67 Regd. Office : 150, Sheriff Devji Street, Mumbai - 400 003. EXPLICIT FINANCE LIMITED Tel No. 022-61319600, Website: www.expogas.com 10 Paid up Debt Capital / Outstanding Debt 15,390.00 15,390.00 20,880.00 15,390.00 STATEMENT OF STANDALONE UNAUDITED FINANCIAL RESULTS 11 Outstanding Redeemable Preference Shares CIN :L6599OMH1994PLC076788 FOR THE QUARTER ENDED 30TH JUNE, 2026 Regd. Office : 305, SOHAN COMMERCIAL PLAZA, VASAI EAST, PALGHAR – 401 210 Rs in lacs 12 Debt Equity Ratio (Refer Note 4) 1.22 1.19 1.63 1.22 Website : www.explicitfinance.net Email : explicit_finance@rediffmail.com Quarter ended Year ended 13 Earnings Per Share (of Rs. 10/- each) STANDALONE UNAUDITED FINANCIAL RESULTS FOR THE QUAR T (RE sR N LD akE hD 3 e0 xcT eH tJ U peN E s, 2 a0 re2 6 data) Particulars YA ec ac ro eu nn dti en dg (for continuing and discontinued operations) - - - - - 30.06.2026 31.03.2026 30.06.2025 31.03.2026 1.Basic: 0.64 0.31 0.11 0.64 Sr. Particulars Q eu na dr ete dr Q eu na dr ete dr Unaudited Audited Unaudited Audited 2.Diluted: 0.64 0.31 0.11 0.64 No. 30-06-26 30-06-25 Total Income from Operations 1,375.21 1,745.81 1,784.70 6,840.48 14 Capital Redemption Reserve - - - - Net Profit / (Loss) from Ordinary Activities 60.76 0.43 104.45 240.75 (Unaudited) (Unaudited) 15 Debenture Redemption Reserve 9,946.10 10,349.74 9,253.12 9,946.10 before tax 1 Total Income from operation 45.61 89.27 Net Profit / (Loss) for the period before tax 60.76 0.43 104.45 240.75 16 Debt Service Coverage Ratio (Refer Note 4) 0.35 0.12 0.11 0.35 2 Net Profit (Loss) for the period (after Exceptional items) 17 Interest Service Coverage Ratio (Refer Note 4) 1.50 2.17 1.36 1.50 (before Tax, Exceptional and/or Extraordinary items) 6.38 9.93 Net Profit / (Loss) for the period after tax 60.76 (66.19) 104.45 174.13 Notes: 3 Net Profit (Loss) for the period before Tax Net Pr [Showing first 8,000 characters — download PDF for full document]