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}IISf,RMEIf,LINDOSTRIES
INDIA
ColonyHisar- 125005(Haryana)
REGD.Off.& Works: NearIndustrialDevelopment
Fax : 91-1662-220265
Ph, : 01662-220067,220367,220738,
E-mait'
: info@hisarmetal.com
DefhiOff.Plr.: 011- 45056727,27354176
Fax: 011- 43851119
Website
:www.hisarmetal.com
ctN-174899HR1
990PLC030937
November 12,2016
CorporateRelationshipDepartment,
Bombay StockExchange
PhirozeJeejeebhoyTowers,
Dalal Street,
Mumbai - 400 001
Sub: Unaudited financial resultsfor the Ouarter and Half Year ended on September30.
2016 and copy of limited review report on the same
Reft Permitted security / BSE indonext: Code: 590018
(PardeepNandal)
Company Secretary& Compliance Officer
LIMITED
INDOSfRIES
HISf,RMETf,L
IN D IA
REGD.Off. & Works : Near IndustriaI D e v e l o p m e C
n to l o n yH i s a r- 1 2 50 0 5( Har yana)
Ph. : 01662-22006'7,
220367,220738.
Fax : 91-1662-220265
E - m a i l: i n f o @ h i s a r m e t a l , c o m
D e f h iO f f . P h . : 0 1 1- 4 5 0 5 6 7 2 7 , 2 7 3 5 4 1F
7a
6 x : 0 1 1- 4 3 8 5 1 1 1 9
Website:www.hisarmetal.com
ctN-174899HR
91
90P1C030937
s.
Particulars
nn
uarter ended
3
4
5
8
9 Profit / (Loss)from ordinary activitiesbeforetax (7+/-g)
1 0 Tax expense
llDiluted
Year en
30.09.2016'30.06.201630.09.20r530.09.2016 30.09.201531.03.2016
'Unaudited
fUnaudited fUnaudited (Unaudited) (Unaudited) (Audited)
3994
64
405t
3743
3t02
3029
-42
-96
2 Exnenses
a. Cost of materialsconsumed
b. Purchasesof stock-in-ffade
c. Changesin inventoriesoffinished goods,
work-in-progressand stock-in-trade
d. Employeebenefitsexpense
e. Depreciationand amortizationexpense
f. Other expenses
Total expenses
Profit / (Loss)from operationsbefore other income,
finance costsand exceptionalitems (1-2)
Other income
Profit / (Loss) from ordinary activities before finance
cost! and exceptional items (3+/-4)
FinanceCosts
Profit / (Loss) from ordinary activities after finance costs
rut before exceptionalitems (5+/-6)
Exceptionalitems
3729
t4
83
60
44
645
43
504
3832
4504
4518
7723
78
7801
9132
t750i
l0(
17613
3590
6131
7421
r4514
t4
3540
66
43
616
4319
22t
203
226
- l3t
143
8i
9099
JJ
54
t2't
ll
254
17(
1862
7372
84
1066
8752
r6918
199
429
380
695
203
r99
429
380
69a
156
t32
r69
288
JJ2
624
7(
7l
30
141
48
7Q
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48
30
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50
43
10
93
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43
360
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54C
18
36C
39
360
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7l
951
0.93
0.93
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0.28
0.28
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TIMITED
HISf,RMETfitI]IDOSNRIES
INDIA
REGD.Off.& Works: NearIndustrialDevelopment
ColonyHisar- 125005(Haryana)
Ph. : 01662-220067,220367,220738,
Fax : 91-1662-220265
Derh
i orr.p
u, ot'i:;'sr'#;9:i;1'ff
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Website:www.h isarmetal.com
c tN-174899H
R1990P1C030937
As at
As at
30.09.20r6 31.03.2016
EQUITYAND LIABILITIES
1 Shareholder'sfunds
(a) ShareCapital
[b) Reservesand Surolus
Sub-total - Shareholders'funds
2 Non-current liabilities
(a) Long-term bonowings
(b) Deferred tax liabilities (net)
(c) Other long-termliabilities
(d) Lons-term orovisions
ta<',
81t
l5:
Q'
3 Currentliabilities
(a) Short-termborrowings
(b) Tradepayables
(c)Othercurrentliabilities
(d) Short-term
orovisions
Sub-totaI- Current liabilities
Iotal - EQUI'I'Y AND LIABILITIES
54C
911
360
q5l
t31 1
89t
l5:
'7C
I o{1
126
3499
2048
432
848J
4915
285
323
43
556(
8003
2094
I
2163
I
100
109
5975
ASSETS
I Non-current assets
(a) Fixed assets
(b) Non-cunent investments
(c) Defened tax assets(net)
(d) Long-term loans and advances
(e) Other non-cunent assets
Sub-total - Non-current assets
2t9l
t)'11
2570
2934
525
265
2r75
2876
362
317
Sub-total- CurrentAssets
6294
5730
Total - ASSETS
848J
8003
2 Current assets
(a) Cunent investrnents
(b) Inventories
(c) Tradereceivables
(d) Cashand cashequivalents
(e) Short-term loans and advances
(D Other current assets
Managing Director
Office: 1stFloor,Raveefu_cade,
g$,g7,GreenSquareMarket,Hisar_125001
Tete
Fax:01662-230651,
Mob.
: detzotosoo'
Place:HISAR
Date:12.11.2016
@artner).
MembershipNo. 089499
Website: uuww.namsanjay.com,
E-mail: casanjayverma@grnail.com