‘UNAUDITED FINANCIAL RESULTS FOR THE QUARTERIHA\
PART
INTEGRATED HITECH LTD.
i - 60008
5/112, Cisos Compe, Floor, Mott Road, Egmore, Chena 600
‘ Phone oud = 2851 4406/07 Fax : 044 - 28586599
E-mail
Quarter Ended
imegrateé@eth net
YEAR ENDED 30TH SEPTEMBER 2015
Half Year Ended
Year Ended
Parca
[Overier
endcd Sep
ois
ns in ins
(Unaadie)
Jousner
ended une
fous
xs. in as
(Ussudite
airvear [oat Year
lensed Sep. lendes Sep
(Quarer ended Sep2014 2015. faoie
as. in aes ees tas fs. in aes)
Unaudited) (audies) | (audited
ear ended
Mer20is
es in cs
(audited)
Income am Operations
otter came
Foss tcame(+2)
Esperdires®
ln. Employee Cost
lb. Depreciation
lc, Expenditure whichis more
than 10%
| omer Expendie
Tua Expendiue(arbteed)
overs
Execpional hems
Pricey Los eer tn 3)44e)
fra expenses
[Ne Pros (oy Los) ater wx (7-8)
Exroorioy items
Net Prot sso-10)
Paid up Bauiy Capital
ace Value
JResers excluding Revaluation Rs,
las pr Provisions of Balance Sheet
amings Per Shce(EPS)
a. Before Extraordinary Heme
lb. ater Exercise hems
38
ox
330
0.98
070
082
229
281
0.09
230
ost
084
082
237
053
0.53
03
1000.48
10.00
79.18
3a 538 [Sar
os 021 039
aa 620 | so
La 199 | 205
2st 163 | 139
ost ira]
284 S67
129 on
10046
10.0 |
1803
om
0
so.
ao]
27
(PART
iz
Pubic Shrehalzing
Nurmbe of Shares
Percentage of Sarcolding
Promoes and promoter group
Shareholding?
Ka) Piedgearencumtered
PNarber o Shares,
Petenige of shares (asa Yo the
yl
[PARTICULARS OF SHAREHOLDING
8998900
e890
8398800 8393900
3890 3890[otal sheeholing of promoter and
promoter sroup)
Percentage a shares (a et the
ol share capil ofthe company) | NIL
erWoncrcumbered
Number or Shares tsv00 | 1108700,
Percentage orstares asa oribe | 100% } 100%
oa stare holing of promoter nd
|romere roup)
Percentage ofstaes (at 8 tthe
lol sare captofthe company) | 11.05% | 0s
osr00
vo0%
[VESTOR COMPLAINTS
Pending the beginning ofthe quer
Receives dorng the quarter
[Disposed of curing ke queer
[Remaining unresolvod athe end ofthe quater
108700
1i0s700
sao9no1s}3 oss
Panicare
300972015
aa
31032015,
[EQUITY AND Lingn
[stareHoLoeRs FUND
=) Shae Capi 1000.46
fy Reserves and Sup ras
Sub-total Shareholders Funds oar
INON-CURRENT LIABILITIES
L008 Term borowsings
}rDetered tx tides Ne)
comer Long erm Liaiies
a).ong tem Provisions
sub-cal Non.Corent Listes
ICURRENT LIABILITIES
a}Shoter borings
byrage Payable ose
my
BASSETS
}Non-cunsenr
lassers.
a.nd ees
.Capiat Workin
Progress
J>Non-Cerent
Invests
esDefred a assets
ever
eiLonsserm Loans anc
lotr nor-cmens
lassie
sub-o11 Nm- Curent
[Asics
JCURRENT asseTs.
nicarenttvesnens
laventoies
foreadeecivbles
asra0en
jscash and Cask
foter Current isis [quivalens aM
[)Stor-cen fons and
lashortierm Provisions so | 552 {acvances sasr
Sub-otal Current Lables 550 | $8 |p0ther Curent aes
TOTAL EQUITY AND LIABILITH, 1086.15 | 108498" |Subotl Curent Ase meas
JroTAL asseTs| 1084.95
oes
1 The above Financial Results have bee akenon record at the Board Meeting held on 14/1172015,
2 The Company’ Risers & Share Transfer Agents are M's Cameo Coporae Services Ld
Club House Road, Chenex-600002
3 The Conpty drives income rom a single segment Software Development ad services
By order ofthe Board
For inept Hitech Li,
Aer
ans
Cam ignoee
oe anos