i) Industry structure and development: The Company is an investment and finance Companyand has invested funds in Shares, Securities, Mutual Fund Units, Loans and Advances.
ii) Opportunities & Threats: The Company is keeping a close watch on the trends inindustry for making investments in accordance with its size of operations. It is alsotaking into account the possible threats due to external factors.
iii) Segment-wise or product-wise performance: The Company operates only in the segmentof finance and investment and as such there are no reportable segments wise or productwise performance.
iv) Outlook: Baring the unforeseen circumstances and the risks and concerns, themanagement is hopeful to achieve reasonable performance in the current financial year:2011-2012.
v) Risks and concerns: The Company has exposure in Shares, Securities, Loans &Advances and any adverse development in stock market and industry will have an impact onthe Companys performance.
vi) Internal control systems and their adequacy: The Company has adequate internalcontrol systems commensurate for its limited operations.
vii) Financial & Operational performance
viii) Material developments in Human Resources: The relation of the Company with itssmall team of employees remained cordial throughout the year. The company is not engagedin any industrial activity.