OTHER ANNOUNCEMENTS & REPORTS-
other filings

   
Regulation 7(3) - Compliance Certificate - March'2017
Regulation 40(9) - Certificate from Practising Company Secretary - March'2017
Reconciliation of Share Capital Audit Report - March'2017
Regulation 13(3) - Statement of Investor Complaints - March'2017
Reconciliation of Share Capital Audit Report - Dec' 2016
Regulation 13 (3) - Statement of Investor Complaints - Dec'2016
Intimation under SEBI (LODR), 2015- Company petition filed before Hon' ble NCLT by Harmony Holdings Limited dated 03.12.2016
Reply to BSE for letter dated 04.11.2016 No.ISCACSPL2016-17
Reconciliation of Share Capital Audit Report Sept 2016
Statement of Investor Grievance Sept 2016
Update on the application filed by Harmony Holdings Limited dated 26th September, 2016
Update on the application filed by Harmony Holdings Limited dated 09th September, 2016
Update on the application filed by Harmony Holdings Limited dated 03rd September, 2016
Update on the application filed by Harmony Holdings Limited dated 26th August, 2016
Reply to clarification sought by BSE regarding Complaint by Harmony dated 26th August, 2016
Reply to clarification sought by BSE regarding Complaint by Harmony dated 23rd August, 2016
Letter from BSE seeking clarification regarding Complaint by Harmony dated 11th August, 2016
Update on the application filed by Harmony Holdings Limited 10th August, 2016
Regulation 13 (3) - Statement of Investor Complaints - March 2016
Reconciliation of Share Capital Audit Report_June 2016
Application filed by Harmony Holdings
Regulation 30 (1) of SEBI (Substantial Acquisition of Shares and Takeovers) Regulations, 2011_March 2016
Reconciliation of Share Capital Audit Report_March 2016
Contact details of KMP - Regulation 30 (5) of SEBI (LODR), 2015
LISTING AGREEMENT
Reconciliation of Share Capital Audit Report _December 2015
Revised Contact details of KMP - Regulation 30 (5) of SEBI (LODR), 2015
Statement of Investor Grievance - December 2015
Certificate under Regulation 40 (9) - March 2016
Regulation 13 (3) - Statement of Investor Grievance
Reg 7 (3)(1) - Compliance Certificate (RTA & Compliance Officer)- March 2016