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Simplex Projects Limited

AN ISO C001:2008 & ISO 14001:2004 COMPANY

sPwsE/356/2016-77
12,h

August, 2016

Limited,
Towels,
Dalal Street,
Mumbai - 400 001
BSE
PJ

Dcar Sir

Scrip Code - 532877

Madam,

Sub: Standalone Unaudited Financial Results of the Company fol the quader ended
30th

June, 2016

Enclosec{ please find herewith the Standalone Unaudited Financial Results of the
Companv ior the Quarter ended 30m June, 2016, pursuant to Regulation 33(3)(a) oI SEBI
(Lisiing bbligaiions and Disclosure Requirements) Regulations, 2015 dulv rcviewed
ar-rd approvecl by the Audit Committee and the Board oI Directors in their rcsPectivc
meetings held today, the 12m August, 2016.
This is for your inlormation and record
Plcase

kindly acknowledge the receiPt of thc same.

Thanting you,
Yours faith{ully
For Simplex Projects Limited

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sasri
tai
Wlrole-iime Direr;tor
Encl: as stated above
Corporare Ofice

ll/1C12. East Topsia Road, Kolkala - 700 0,16


Phone : +91 ll 2285 4125,6614 1200, Telefax : +91 33 2285 2105

Reghtred Ofiice :
l?/l Nellle Sengupta Sdali,41h Floor, Kolkata 70008?,lDdra
PLone ol r.2252 72rl 1212. E marl. rllo@"mplc\prol(cr" com
CIN : L45201V..B1990P1C050101

wv.simplexp.oje.is.com

SIMPLEX PROJECTS LIMITED


CIN : 145201WB1990PLC050101
Regd. Office:1211, NetlieSenupraSarani,4rh Floor, Kotkata -7OO
Phone No. -033,2252 7231, Fax No. 033_2252-9.t43.

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website : wwl,rsimprerprojcts.com; Enait - inro@simptexprojecis com

Statement of Standalone Unaudited Finar cial Results forthe Quarter ended 30th June,20t6

&

Lacs Excepr EPS

I.

la

lo

es/ n.ome ftom OFeral.ns lNet or E


01te.opereLnq rn.ome
oeeErions (ne0
Ner Sa

c ae

Dur\t
3459.28

l,or.llncome 'rcm

13562.46

42236.48

la

C.r].f m,rpr:<..m

lb

Pur.hase or

l.

ld
le
lr

slo.[ h

hcd

12726

kade

A1

13512 57

sub conrra.ha 5 oihercon!Ltuclron e^oenses


Empoyee Beneft. E,pense
tieprcrah.n 3 Amon soiioi E,oense
eom nisrar,e .oenses

123 13

43112.12
I

lProfit{L6s) t.oT opeEno-s oetore or".' ,ncome. t ndnLe


lcosts

ana e.ceptionar rems 1r -

Profir I rLo.c, f'om ordinary adiv'rres b"to4, ncn.p ( o\rs and


er(eplional items (3 +41

(339.63)

(765.s7)

(254 27t

(s92.37)

11

::t

275r4:i
7

Protiv (Loss) riom ordinary activiries afterrinance costs but


berore exceptionalitems (5

-6)

(r.r5s 93)]

,,-

Foreiqn Exchenqe ca n/(Loss)

Proiiv (Loss) iiom ordinary activities befor Tax (7+

B)

(3 351 J3l

ar,l

1r,53?.75)l

"r"l
.,-::ii

,;::,:,1

10
11

,,rr.rt,l

e4a.s2)

,,'.'I

,5 201

Nei Profi, {Loss)iiom ordinary activiriesanertax (9 - lO)

,r.aor."",l

(3,396.17)

,-rrol

,rar=ll

(3,396.17)

,,,aot.r,j

(3,s33.51)l

12

Enraord nary ileds (nel of tax expense)

13

NelProri! {Loss)rorlhe period (11-

17

Paid-up equty

13

I
12)

12,502.s51

shire .apitlt (tae vatu of Rs. tO each)


Resetoes (eic ud ng revaluaiion resetues as per Balanre streei of
the prevous a-ountinq vaa
Earninqs perShare (belorc exxaordinary lems) (6JRs.1Ot
(19 36)

(25 9s)

(10 64)

(26 Ss)

arninss perShare (aner extraordinary iteds) (or Rs.

jor
(1936)

126 9s)

\';\-<'oi7

(106.4)

(67 72i
(67 72)

seginent Report

(Rs. in Lakh)

STANDALONE

30.06.2016

30.06.2015

{Audlted)

(a)

Construd on Actlvity

31.03.2016

31.03.2016

{Aud:ted)

{Aud tedJ

6,010.81

6,668.10

9,842.09

28,422.2!

2,443.65

7,174.44

3,623.45

13,694.30

4,4s4.46

8,446,98

13,465,54

42,116,51

8,454.46

4,446.94

13,465.54

42,116.51

0l)

140.42

(641.53)

1622.s5)

50.76

18.74

44.55

(254.27)

159,20

(s92.88)

(440.82)

2,104.66

1,406.51

2,75!,42

7,91A.56

174.42

93.91

104.48

400.s0

Total Profit Before Tax

(2,s31.7s)

11,341,221

B,Ma.7Al

{8,7s1.88)

(a)construcuon Activity

a6,235,22

44,754.57

7,44,273.74

184,273.78

I0,115 45

8,823.33

9,020.37

9,020.37

79,056.50

68,442.83

1,73,509.86

9,257,67

7,600.3J

7,939.99

(b)TradinsActivity

Less:

lnterSgment Revenue

Net sale/lncome From operations

seg ent Results (Profit){+)/loss (') Before


Tar And lnterst From E6ch segne.t
2.

(a)

Constircuor Acuvlty

(105

il)Other Un alocated Expendit!re Net Otf

iil)Un

Alocatedlncome/lexpenses)

{a) Construction Aciivity

1,73,509.86

7,939.99

1.

The above resu ts were revewed by the A!d t Conmittee and were coisidered and approved by the Board of Directors at thelr
respective meeungs lre d or August 12th 2016.

2.

Forelsn Exchanse saln/oss was on account of Mark to Market Valuations of a I exposures lnc udiiB derlvauve contracts, whlch
materia Ded dur ng the qua.ter ended lune 30, 2016.nd those outstanding at the end ol the q!arter a.d n respect of vaislauns
financial statement of forelgn branches.

3.

The operations of the company's branch at L bya, was nopped due to preval ing pollticai sltuatlon. The Company has signed a
supplementary agreement with the Government for realDation of dues and resLrmptioi ol contract. in vlew of ihis the amount of
dues aid assets depoyed ln Libya are realkabie and no provlsions thereof are required atthis stage. The expenses lncutred durlng
the quarter in respect of its said branch and the depreciation relating to the riach neries depoyed there has beei considered as
Work l. progre$. However, in view of pro onged !ncertaintv of resLmption the Company has moved an applicaton wth the
Hon'ble H gh Courtat De hifor proceeding with Arbtratlon and has been grantd ai lnterrrn stayforfurtherexrensron / invocauon
of BankGuarantees for the projed.

ThefiEuresforthe qua.te.ended March 31,2016and lune 30,201s arethe balafcingflgures between auditedflsures in respect of
frllflnancialyearerded [4arch 31,2016andthe Lnaud]ted published figures up to Decenrber31,2015.
Prevlous periodflgures have been re-srouped/re-amnged, whereverconsidered rec*arV.

Date:12th August,2016

i,r;,r',,:ai,,

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