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To,

The Dept. of Corporate Services


The Bombay Stock Exchange Ltd.
1st Floor, New Trading Ring
Rotunda Building,
P. J. Tower, Dalal Street, Fort,
Mumbai 400 023

06 August, 2016

Dear Sir,
Sub. : QUARTERLY SUBMISSION
Ref.: Scrip Code No. 530401
With reference to subject matter herewith submit the following documents as per requirement of
listing agreement. In this respect please find attached herewith the following documents as required by
your good office:

FINANCIAL RESULT AS PER REGULATION 33

LIMITED REVIEW REPORT

In view of our above stated submission kindly do the needful.


Thanking you
Yours truly,
For, Vinyoflex Limited.

Compliance Officer / Authorized Signatory


Enclosures: As Above

ffi6@

VINYCFLEX
Statement qf Standalone Unaudited Financiat Result For the 1st Quarter ended 30th June, 2016
Rs. ln Lakhs

Pa

rticu la rs

3 months ended

{ Refer Notes Below }


1. !ncorne from OPerations
(a) Net Sales/income frorn operations (Net of
Excise

Preceding 3

months ended

30.05.20L6

31.03.2016

(Unaudited)

(Aud ited

85 L.36

Corresponding
3 months ended
in the previous
year
30.06.24L5
(U na r.ldited

vL9.52

955.30

Previous year
ended

31.03.20L6
(Aud ited

2890.34

uty)

(b) Other Operating Income

Total lncome from operations (Net)


2. Expenses
(a) Cost of Material Consumed
(b) Pu rchase of stock-in-trade
(c) change in inventories of finished goods,

0.00

0.00

0.47

0.00

851.36

855.3

7L9.99

2890.34

680.37

610.83

584.00

22!7.01

(2.8e)

49.06

(6.44)

22.45

15.96

15.69
2.79

1,4.41,

62.65

7.50

25.29

work-in-progress a nd stock-in-trade
(d) Employee benefits expqnse
(e) Depreciation and amortizion expense
(f) Other Expenses

6.50
82.58

94.48

66"38

Total Expenses
3, Profit / (Loss) from operations before other
incotne, finance costs and exceptional items (L2l
4, Other lncome

792.52

772.85

655.85

3L4.77
2642.L7

68.84

82.45

54.L4

248.L7

0.35

17.06

0.00

15.60

/ (Loss) from ordinary activities before

69. L9

94.5r

54.14

263.77

6, Finance Costs

11.53

8.21

12.85

28.05

7, Profit / (Loss) from ordinary activities after


finance costs but before exceptional items (5-

57.66

86.30

4L.29

235.72

57.66

86.30

41,.29

235.72

19.00

30.69

L23A

79.99

5, Profit

finance costs and exceptional items (3+4)

6)

8, Exceptional ltems
9, Profit / (Loss) from ordinary Activities
before tax (7+8)
10, Tax Expense
,l3

ffiffi

=W

lso 9001

IsFEII'F
QM01

VINYOFLEX TIMITED
BEG. OFFICE

wonrs

307, SILVER CHAMBER, TAGORE R9AD, RAJKOf

plST.: RA.JKOT. PH. : 02827 - 252766, 252788


suRVEy No. 24.t, N.H.8-B, NEAR G.E.B. SUB STATtOry, SHIPAR-360 @2. TAL. KOTDA SANGANI

E-MAIL:info@vinyoflex.comlinquiry@vinyoflex.comrWEBS|TE:http://www.vinyoflex.com

CIN

LZSI2OOGJl 993PLC01

9830

d{@

VTNYOFLEX
FOR FLEXIBLE VINYL FILM

tL, Net Profit /

(Loss) from ordinary activities

after tax {9-10}


12, Extrasndinary ltenn (net of tax expense Rs.)
L3n ttet Profit / (Loss) for the peniod (1L-L2)
14" Share of Frofit

38.66

55.61

28.99

L55.73

38.66

55.6X

28.99

155.73

38.66

55.61

28.99

155.73

4319000

4319000

43 19000

4319000

(Loss) of associates

L5. M inority lnterest

15. Net Profit / (Loss) after taxes, minority


interest and share of profit / (Loss) of
associates (L3-L4-15)

. Paid up Equity share Capital (Face Value of


the Share shall be indicated)
17

l-8. Reserve excluding revalution reserves as per


balance sheet of previous accounting year
19.i Earnings per Share (before extraordinary

items) (of

Rs.

723.7s

L0l- each)

(a) Basic

0.90

r.28

0.67

3.60

(b) Diluted

0.90

1,.28

0.67

3.60

0.90

L.28

0.67

3.60

0.90

r,28

0.67

3.60

L9.ii Earnings per Share (after extraordinary


items) (of Rs. L0/ - each)
) Basic
(b) Diluted
(a

*Applicable in the case of consolidated result


Note:
1. The above Financial Results have been reviwed by the Audit Committee and approved by

on 27 / 07 I 20L6.
2. The company is activity falls within a single business i;e.

the Board of

Directors in the meeting held

therefore, segment reporting


in terms of Accounting Standard 1"7 on Segment Reporting is not applicable .
3. Previoits year /period figures have been regrouped / reclassified wherever necessary.A34
PVC Film and

'

Place : RAJKOT

Date:27'07'20L6

For'
VINYoFLEX LtMtTnED

ovLo'-*-,n"*l& 0

J*^

Mansukhlal P.Patel (C.& M.D.)


DIN :01353327
I

ffiffi

I'

lso 9001

QM01

VINYOFLEX TIMITED
REG. OFFICE

307, SILVER CHAMBER, TAGORE ROAD, RAJKOT-360 002.

lNDlA.

PFIONE

: 0281 - 2468345

I 2468328 FAX : 91-281-2468839


: 02827 - 252766,252788
CIN : L252OOGJ1993PLCO1 9830

24ffi776

WORKS : SURVEY No. 24'l , N.H.8-B, NEAR G.E.B. SUB STATION, SHAPAR-360 002. TAL. KOTDA SANGANI DIST.: RAIKOT. PH.
E-MAIL : info@vinyoflex.com / inquiry@vinyoflex.com

r WEBSITE

http/hvww.vinyoflex.com

ffi{@

VINYEFLEX
FOR FLEXIBLE VINYL FILM

Statement of Assets and Liabilities as at 30th June, |OLG


Pa

rticu

la rs

As at (Current

As at (Previous

year end)
31.03.20L6

year end)
31.03.2015

A EQUITY AND LIABILITIES


1, Shareholders Funds
43L 90

431- 90

723.76

568.03

1155.56

999.93

92.85

96.60

33.25

34.82

L26.LO

L31.42

(a) Short-term Borrowing

372.1,4

432.7L

(b) Trade Payables

116.55

395.30

8. L9

3.01

90.58

79.27

) sha re ca pita I
(b) Reserve and surplus

(a

(c) Money received against share wa rrants

Sub-Total Shareholders fund


2. Share application money pending allotment
3. Minority interest*

4. Non-current liabilities
(a) Long-term Borrowings
(b) Deferred Tax Liability (net)
(c) Other Long-term liabilities
(d) Long-term provisions
Sub-Total Non current liabilities
5. Current Liabilities

(c) Other current liabilities


(d) Short term provisions
Sub-Total Current Liabilities
TOTAL - EQUITY AND LIABILITIES

587.46

910.29

L869.22

2A4L.64

2L2.84

2L5.89

0.L7

0,,17

20.08

20.08

233.09

236.L4

B ASSETS

1, Non Current Assets


(a) Fixed Assets
(b) Goodwill on consolidation
(c) Non-Current lnvestments

(d) Deferred tax assets (net)


(e) Long-term Loans and Advances
(f) Other non-current assets
Sub-Total - Non current assets

ffiffi
lso 9001

QM01

VINYOFTEX TITUIITED
,

BEG" OFFICE

307, SILVER CHAMBER, TAGORE ROAD, RAJKOT-360 002.

lNDlA.

PFONE : 0281

2468345

WORKS:SURVEYNo.241,N.H.8-B,NEARG.E.B.SUBSTATION,SHAPAB-360002.TAL.KOTDASANGAN|
E-MAIL:info@vinyoflex.com/inquiry@vinyoflex.comrWEBS|TE:http://www.vinyoflex.com

2468776

I 2468328 F$( : 91-281-2468839

DIST.:RAIKOT.PH.: 02827 -252766,252788

CIN

)252OOGJ1 993PLCO1 9830

d{@

VTI\IYOFLEX
FOR FLEXIBLE VINYL FILM

2, Current Assets
(a) Current investments
4L3.22

385.75

r071.78
55.36

L282.67
54.84

95.77

82 24

1636.13

1805.50

L869.22
Total - Assets
*Applicable in the case of cinsolidated statement of assets and Liabilities

204L.64

(b) Inventories
(c) Trade Receivables

(d) Cash ancj Cash Equivalents


(e) Short-term Loan and Advances
(f) Other current assets
Sub-Total - Currant Assets

Place : RAJKOT

Fo r,

Date :27 .07.2016

INYOFLEX LIMITED

I I -/-(

f,,t*no.*-LrLur

Mansukhlal P.Patel (C.& M.D.)


DIN : 01353327

ffiffi
lso 9001

QM01

VINYOFLEX IIIUIITED
nEG. OFFICE

307, SILVER CHAMBER, TAGORE ROAD, RAJKOT-360 002.

WORKS; qURVEY No. 241,

N.H.

lNDlA.

PI-ONE

0281

- 2ffi345 I

2468776

I 24ffi328

SHAPAR-360 002. TAL. KOTDA SANGANI DIST.: RA.JKOT.

E-MAIL:info@vinyoflex.com/inquiry@vinyoflex.com+WEBSITE:http://www.vinyoflex.@m

CIN

FA( : 9i-281-246883s

PH.: 02827 - 2s2166,

LZ5iZOOGJ1 993PLCOI

ZS27Ba

g8go

GADHIA I(ARACHIWALA & CO


CHARTERED ACCOUNTANTS

316, Jasal Complex, 3'd Floor


15O Feet Ring Road,
Nanavati Chowk,
Opp" Sterling Hospital,

c"v" GADH; B.coM" F,c.A"

Rajkot

- 360 OO5

Phone: (ol 2582806 (Rl 245LO75


Annexure V to Clause 4L
Limited Review RePort
To
The Board of Directors
IWs Vinyoflex Limited

Rajkot.

We have reviewed the accompanying statement of unaudited financial results of IM/s Vinyoflex
Limited for the period ended 30th June, 2016. This statement is the responsibility of the Company's
Management and has been approved by the Board of Directors/ Committee of Board of Directors.
Our responsibility is to issue a report on these financial statements based on our review.
We conducted our review in accordance with the Standard on Review Engagement (SRE) 2400,
engagements to Review Financial Statements issued by the Institute of Chartered Accountants of
tnJia. This standard requires that we plan and perform the review to obtain moderate assurance as
to whether the financial statements are free of material misstatement.

A review is limited primarily to inquiries of company personnel and analytical procedure applied to
financial data and thus provides less assurance than an audit. We have not performed an audit and
accordingly, we do not express an audit opinion.
Based on ogr review conducted as above, nothing has come to our attention that causes us to
believe that the accompanying statement of unaudited financial results prepared in accordance with
applicable accounting-standards and other recognised accounting practices and policies has not
(Listing
disclosed the informa=tion required to be disclosed in terms of Regulation 33 of the SEBI
obligations and Disclosure Requirements) Regulations, 2015 including the manner in which it is to
be disclosed, or that it contains any matenal misstatement.

Place

Rajkot

For Gadhia Karachiwala & Co.


Chartered Accountants
(Regrstration No . LO2B87W)

Date

f JUL 2016
(C. V. Gadhia
Proprietor
M. No. 11504