Thrive Future Ha

  • Market Cap: Micro Cap
  • Industry: FMCG
  • ISIN: INE628D01014
  • NSEID:
  • BSEID: 523120
INR
102.00
-4.9 (-4.58%)
BSENSE

Mar 20

BSE+NSE Vol: 1.5 k

  • Price Points
  • Score
  • Mojo Parameters
  • Total Return
  • News and Corporate Actions
  • Key factors
  • Shareholding
  • Financials
  • CompanyCV
stock-summaryPrice Point
High/Low

1Day

52 Week

Valuation
Technical
Day's Volume

CASH

1.5 k (-14.32%) Volume

Shareholding (Dec 2025)

FII

0.00%

Held by 0 FIIs

DII

0.00%

Held by 0 DIIs

Promoter

72.50%

how big is Ador Multi Prod.?

06-Jun-2025

As of October 2023, Ador Multi Products Ltd has a market capitalization of 45.00 Cr, classified as a Micro Cap, with recent net sales of 2.18 Cr and a net profit of -3.31 Cr over the last four quarters. Shareholder's funds are reported at 11.04 Cr, while total assets stand at 8.11 Cr.

Market Cap: Ador Multi Products Ltd has a market capitalization of 45.00 Cr and is classified as a Micro Cap.<BR><BR>Recent Quarterly Performance: The sum of Net Sales for the latest 4 quarters, which includes Mar'25, Dec'24, Sep'24, and Jun'24, is 2.18 Cr. The sum of Net Profit for the same quarters is -3.31 Cr. This data is presented on a Consolidated basis.<BR><BR>Balance Sheet Snapshot: This is also on a Consolidated basis for the latest annual period ending in Mar'24. The Shareholder's Funds are reported at 11.04 Cr, while Total Assets stand at 8.11 Cr.

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What does Ador Multi Prod. do?

06-Jun-2025

Ador Multi Products Ltd is a cosmetics and toiletries company in the FMCG sector, incorporated in 1948, with a market cap of Rs 45 Cr. As of March 2025, it reported net sales of 1 Cr and a net loss of 3 Cr.

Overview: <BR>Ador Multi Products Ltd is a Toiletries preparation and Cosmetics organization operating in the FMCG industry within the Micro Cap market-cap bracket.<BR><BR>History: <BR>The company was incorporated in July 1948 and was converted into a Public Limited Company effective 30 June 1975. The latest quarterly results reported net sales and net profit for the period ending March 2025.<BR><BR>Financial Snapshot: <BR>Most recent Net Sales: 1 Cr (Quarterly Results - Mar 2025) <BR>Most recent Net Profit: -3 Cr (Quarterly Results - Mar 2025) <BR>Market-cap value: Rs 45 Cr (Micro Cap)<BR><BR>Key Metrics: <BR>P/E: N/A <BR>Industry P/E: 54 <BR>Dividend Yield: 0.00% <BR>Debt Equity: 0.00 <BR>Return on Equity: -5.96% <BR>Price to Book: 4.76<BR><BR>Contact Details: <BR>Address: Ador House 5th Floor, 6 K Dubash Marg Fort Mumbai Maharashtra : 400001 <BR>Email: cs.adormultiproducts@gmail.com <BR>Website: http://www.adormultiproducts.com

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Has Ador Multi Prod. declared dividend?

06-Jun-2025

Ador Multi Products Ltd has declared a 10% dividend, amounting to ₹1 per share, with an ex-date of July 16, 2010. Despite the dividend declaration, the dividend yield is 0%, as it does not contribute to total returns, which have been significantly driven by price increases over various periods.

Ador Multi Products Ltd has declared a 10% dividend.<BR><BR>Dividend Details:<BR>- Percentage announced: 10%<BR>- Amount per share: 1<BR>- Ex-date: 16 Jul 10<BR><BR>Dividend Yield: 0%<BR><BR>Total Returns by Period:<BR>In the 6-month period, the price return was 193.4%, the dividend return was 0%, resulting in a total return of 193.4%.<BR><BR>In the 1-year period, the price return was 183.87%, the dividend return was 0%, leading to a total return of 183.87%.<BR><BR>Over the 2-year period, the price return was 78.26%, with a dividend return of 0%, culminating in a total return of 78.26%.<BR><BR>For the 3-year period, the price return stood at 80.35%, the dividend return was 0%, resulting in a total return of 80.35%.<BR><BR>In the 4-year period, the price return was 12.46%, the dividend return was 0%, leading to a total return of 12.46%.<BR><BR>Finally, in the 5-year period, the price return was 225.3%, with a dividend return of 0%, resulting in a total return of 225.3%.<BR><BR>Overall, while Ador Multi Products Ltd has declared a dividend, the dividend yield remains at 0%, indicating that the dividend does not contribute to the total returns. The company has shown significant price returns across various periods, reflecting strong performance in its stock price.

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Who are the peers of the Ador Multi Prod.?

03-Jun-2025

Ador Multi Prod.'s peers include Hind. Unilever, ITC, Nestle India, Britannia Inds., Godrej Consumer, Sonalis Consumer, Chordia Food, Hipolin, and Novateor Resear. Ador Multi Prod. has the highest 1-year return at 146.21%, while Hipolin has the lowest at -32.35%.

Peers: The peers of Ador Multi Prod. are Hind. Unilever, ITC, Nestle India, Britannia Inds., Godrej Consumer, Sonalis Consumer, Chordia Food, Hipolin, and Novateor Resear.<BR><BR>Quality Snapshot: Excellent management risk is observed at ITC, Nestle India, and Britannia Inds., while Good management risk is found at Hind. Unilever and Godrej Consumer. Below Average management risk is present at Ador Multi Prod., Sonalis Consumer, Chordia Food, Hipolin, and Novateor Resear. Growth is Excellent at Sonalis Consumer, Average at Nestle India, and Below Average at Hind. Unilever, ITC, Britannia Inds., Godrej Consumer, Ador Multi Prod., Chordia Food, Hipolin, and Novateor Resear. Capital Structure is Excellent at Hind. Unilever, ITC, Nestle India, Britannia Inds., Godrej Consumer, while Average is seen at Sonalis Consumer, Good at Chordia Food, and Below Average at Ador Multi Prod., Hipolin, and Novateor Resear.<BR><BR>Return Snapshot: The peer with the highest 1-year return is Ador Multi Prod. at 146.21%, while the lowest is Hipolin at -32.35%. Ador Multi Prod.'s return significantly exceeds that of all its peers. Additionally, the six-month return is negative for Hipolin, Chordia Food, and Godrej Consumer.

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Is Ador Multi Prod. overvalued or undervalued?

09-Jun-2025

As of April 25, 2023, Ador Multi Products has been rated as risky due to its negative PE ratio of -45.31 and poor financial metrics, indicating overvaluation and challenges compared to peers like Hindustan Unilever and Nestle India, despite a strong year-to-date stock performance of 224.14%.

As of 25 April 2023, the valuation grade for Ador Multi Products has moved from does not qualify to risky, indicating a significant shift in its financial standing. The company appears to be overvalued based on its negative PE ratio of -45.31, an EV to EBIT of -40.82, and a ROE of -5.96%. These ratios suggest that the company is struggling to generate profits relative to its equity and earnings before interest and taxes.<BR><BR>In comparison to its peers, Ador Multi Products stands out with its negative valuation metrics, especially when juxtaposed with Hindustan Unilever, which has a PE ratio of 53.88, and Nestle India with a PE of 75.2. This stark contrast highlights the challenges faced by Ador Multi Products in the FMCG sector. Additionally, the company's impressive stock performance, with a year-to-date return of 224.14% compared to the Sensex's 5.63%, may not be sustainable given its underlying financial difficulties.

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What is the technical trend for Ador Multi Prod.?

09-Jun-2025

As of May 28, 2025, Ador Multi Prod shows a bullish trend supported by positive MACD and Bollinger Bands, though bearish RSI readings suggest caution regarding momentum strength.

As of 28 May 2025, the technical trend for Ador Multi Prod has changed from mildly bullish to bullish. The weekly and monthly MACD indicators are both bullish, supporting the positive trend. Bollinger Bands also indicate a bullish stance on both time frames. However, the RSI readings are bearish on both the weekly and monthly charts, suggesting some weakness in momentum. Daily moving averages are bullish, reinforcing the overall positive outlook. The KST is bullish on both weekly and monthly time frames. Dow Theory indicates a mildly bullish stance on both weekly and monthly charts. Overall, the current technical stance is bullish, but the bearish RSI indicates potential caution regarding momentum strength.

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Who are in the management team of Ador Multi Prod.?

16-Jul-2025

As of March 2023, the management team of Ador Multi Prod. includes Deep A Lalvani (Chairman & Wholetime Director), Pinki Sharma (Company Secretary & Compliance Officer), Sandeep Ahuja (Independent Director), Tanya Advani (Director), and Suneil Chawla (Independent Director).

As of March 2023, the management team of Ador Multi Prod. includes the following individuals:<BR><BR>1. Deep A Lalvani - Chairman & Wholetime Director<BR>2. Pinki Sharma - Company Secretary & Compliance Officer<BR>3. Sandeep Ahuja - Independent Director<BR>4. Tanya Advani - Director<BR>5. Suneil Chawla - Independent Director<BR><BR>These individuals play key roles in the governance and operational oversight of the company.

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Who are the top shareholders of the Ador Multi Prod.?

17-Jul-2025

The top shareholders of Ador Multi Prod. are J B Advani & Co Private Limited with 11.87% and public shareholder Arvinder Singh Pasricha with 27.58%. Individual investors collectively hold 71.22% of the shares, with no pledged promoter holdings or foreign institutional investors.

The top shareholders of Ador Multi Prod. include J B Advani & Co Private Limited, which holds 11.87% of the shares, making it the promoter with the highest holding. The highest public shareholder is Arvinder Singh Pasricha, who owns 27.58% of the shares. Additionally, individual investors collectively hold a significant portion, accounting for 71.22% of the total shares. There are no pledged promoter holdings or foreign institutional investors involved.

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How has been the historical performance of Ador Multi Prod.?

15-Nov-2025

Ador Multi Prod. has experienced a significant decline in net sales and profitability, reporting net sales of 2.18 Cr in Mar'25, down from 6.73 Cr in Mar'24, and persistent losses with a profit after tax of -3.17 Cr in Mar'25. The company's financial position is tightening, with total assets and liabilities both decreasing to 3.71 Cr in Mar'25.

Answer:<BR>The historical performance of Ador Multi Prod. shows a declining trend in net sales and profitability over the years, culminating in significant losses in recent periods.<BR><BR>Breakdown:<BR>Ador Multi Prod. reported net sales of 2.18 Cr in Mar'25, a sharp decline from 6.73 Cr in Mar'24 and 12.17 Cr in Mar'23, indicating a downward trajectory in revenue. The total operating income followed a similar pattern, dropping from 6.73 Cr in Mar'24 to 2.18 Cr in Mar'25. The company's total expenditure also decreased to 2.69 Cr in Mar'25 from 10.46 Cr in Mar'24, but the operating profit remained negative at -0.51 Cr in Mar'25, slightly improved from -3.73 Cr in Mar'24. The profit before tax was -3.19 Cr in Mar'25, showing a marginal improvement from -3.31 Cr in Mar'24, while the profit after tax was -3.17 Cr in Mar'25 compared to -4.02 Cr in Mar'24. The earnings per share (EPS) reflected this trend, with a loss of -6.79 in Mar'25, an improvement from -8.61 in Mar'24. On the balance sheet, total assets decreased to 3.71 Cr in Mar'25 from 8.11 Cr in Mar'24, while total liabilities also fell to 3.71 Cr in Mar'25 from 8.11 Cr in Mar'24, indicating a tightening financial position. Cash flow from operating activities remained stagnant at 0.00 Cr in Mar'25, consistent with the previous year, while net cash inflow/outflow was also 0.00 Cr in Mar'25, reflecting ongoing liquidity challenges. Overall, the financial metrics indicate a struggling company with declining sales and persistent losses.

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When is the next results date for Thrive Future Habitats Limited?

04-Feb-2026

The next results date for Thrive Future Habitats Limited is February 6, 2026.

The next results date for Thrive Future Habitats Limited is scheduled for February 6, 2026.

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Are Thrive Future Habitats Limited latest results good or bad?

06-Feb-2026

Thrive Future Habitats Limited's latest results are concerning, showing an 87.30% decline in revenue and negative operating margins, despite a misleading net profit increase due to other income. Overall, the company is in distress and needs to demonstrate a viable path to profitability.

Thrive Future Habitats Limited's latest results indicate a troubling situation for the company. While the stock has seen extraordinary returns of 335.90% over the past year, this performance is largely disconnected from the underlying fundamentals. The company is facing significant operational challenges, highlighted by a staggering 87.30% year-on-year decline in revenue, which dropped to just ₹0.08 crores in Q3 FY26. <BR><BR>Although the net profit for the quarter was reported at ₹0.34 crores—an increase of 180.95% from the previous quarter—this figure is heavily influenced by ₹0.75 crores in other income, making it misleading as a sign of operational improvement. Without this extraordinary income, the company would have continued to report substantial losses, as indicated by an operating margin of negative 250%.<BR><BR>Overall, the financial performance suggests that Thrive Future Habitats is in severe distress, with persistent negative operating margins and a significant erosion of shareholder equity. The outlook remains cautious, and the company faces a critical need to demonstrate a viable path to profitability. Therefore, the latest results can be characterized as bad, reflecting ongoing struggles rather than any meaningful recovery or growth.

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Should I buy, sell or hold Thrive Future Habitats Limited?

07-Feb-2026

Why is Thrive Future Habitats Limited falling/rising?

16-Mar-2026

As of 16-Mar, Thrive Future Habitats Limited's stock price is at 107.65, reflecting a 1.08% increase. Despite mixed signals from moving averages and decreased investor participation, the stock has shown resilience and outperformed its sector recently.

As of 16-Mar, Thrive Future Habitats Limited's stock price is rising, currently at 107.65, reflecting an increase of 1.15 (1.08%). This upward movement is supported by the stock's performance over the past three days, during which it has gained 2.28%. Additionally, it has outperformed the sector by 0.54% today.<BR><BR>Despite a recent intraday low of Rs 101.2, which represented a decline of 4.98%, the stock has shown resilience by maintaining a price above its 5-day and 200-day moving averages. However, it is worth noting that the stock is currently below its 20-day, 50-day, and 100-day moving averages, indicating mixed signals in terms of short-term momentum.<BR><BR>Investor participation has decreased, with delivery volume falling by 29.47% compared to the 5-day average, which may suggest a reduction in buying interest. Nonetheless, the stock remains liquid enough for trading, indicating that there is still some level of market activity. Overall, the recent gains and the stock's ability to outperform the sector contribute to the current rise in its price.

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iScoreScore
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Strong Sell
Sell
Hold
Buy
Strong Buy

Dashboard

1

With a Operating Losses, the company has a Weak Long Term Fundamental Strength

  • Poor long term growth as Net Sales has grown by an annual rate of -41.97% and Operating profit at -8.25% over the last 5 years
  • Company's ability to service its debt is weak with a poor EBIT to Interest (avg) ratio of -5.38
2

Flat results in Dec 25

 
3

Risky - Negative EBITDA

stock-summaryMojo Parameters

Mojo Parameters

Loading Valuation Snapshot...

Stock DNA

stock-summary
Industry

FMCG

stock-summary
Market cap

INR 103 Cr (Micro Cap)

stock-summary
P/E

NA (Loss Making)

stock-summary
Industry P/E

45

stock-summary
Dividend Yield

0.00%

stock-summary
Debt Equity

-0.02

stock-summary
Return on Equity

-3.41%

stock-summary
Price to Book

3.29

Revenue and Profits:
Net Sales:
0 Cr
(Quarterly Results - Dec 2025)
Net Profit:
0 Cr
stock-summaryTotal Returns
Total Returns (Price + Dividend) stock-summary
Dividend Yield (0%)
TimePeriod
Price Return
Dividend Return
Total Return
3 Months
-18.37%
0%
-18.37%
6 Months
13.71%
0%
13.71%
1 Year
167.16%
0%
167.16%
2 Years
218.65%
0%
218.65%
3 Years
103.96%
0%
103.96%
4 Years
36.55%
0%
36.55%
5 Years
6.42%
0%
6.42%

Latest dividend: 1 per share ex-dividend date: Jul-16-2010

Risk Adjusted Returns v/s stock-summary
Returns Beta
Icon
Beta has not been calculated since enough price history is not available
stock-summaryNews & Corporate Actions

Announcements stock-summary

Disclosures under Reg. 10(5) in respect of acquisition under Reg. 10(1)(a) of SEBI (SAST) Regulations 2011

10-Mar-2026 | Source : BSE

The Exchange has received the disclosure under Regulation 10(5) in respect of acquisition under Regulation 10(1)(a) of SEBI (Substantial Acquisition of Shares & Takeovers) Regulations 2011 for Arvinder Singh Pasricha

Compliance Under Regulation 32 Of SEBI LODR

13-Feb-2026 | Source : BSE

Statement of Deviation & Variation for the quarter ended 31st December 2025

Announcement under Regulation 30 (LODR)-Newspaper Publication

09-Feb-2026 | Source : BSE

Newspaper publication of un-audited financial results for the quarter ended 31st December 2025

Corporate Actions stock-summary

stock-summary
BOARD MEETING

No Upcoming Board Meetings

stock-summary
DIVIDEND

Thrive Future Habitats Limited has declared 10% dividend, ex-date: 16 Jul 10

stock-summary
SPLITS

No Splits history available

stock-summary
BONUS

No Bonus history available

stock-summary
RIGHTS

No Rights history available

stock-summaryKey Factors

Quality key factors stock-summary

Factor
Value
Sales Growth (5y)
-41.97%
EBIT Growth (5y)
-8.25%
EBIT to Interest (avg)
-5.38
Debt to EBITDA (avg)
Negative Net Debt
Net Debt to Equity (avg)
-0.02
Sales to Capital Employed (avg)
0.91
Tax Ratio
4.75%
Dividend Payout Ratio
0
Pledged Shares
0
Institutional Holding
0.00%
ROCE (avg)
-52.06%
ROE (avg)
0

Valuation key factors

Factor
Value
P/E Ratio
NA (Loss Making)
Industry P/E
45
Price to Book Value
3.14
EV to EBIT
-78.68
EV to EBITDA
-96.77
EV to Capital Employed
3.19
EV to Sales
68.63
PEG Ratio
NA
Dividend Yield
NA
ROCE (Latest)
-3.83%
ROE (Latest)
-3.41%

Technicals key factors

Indicator
Weekly
Monthly
MACD
Mildly Bearish
Bullish
RSI
No Signal
Bearish
Bollinger Bands
Bearish
Mildly Bullish
Moving Averages
Mildly Bullish (Daily)
KST
Mildly Bearish
Bullish
Dow Theory
No Trend
Mildly Bearish
stock-summary Technical Indicator Scale: Bearish, Mildly Bearish, Sideways, Mildly Bullish, Bullish  Turned 
stock-summaryShareholding
Shareholding Snapshot : Dec 2025stock-summary
Shareholding Compare (%holding) stock-summary
Majority shareholders

Promoters

Pledged Promoter Holdings

None

Mutual Funds

Held by 0 Schemes

FIIs

Held by 0 FIIs

Promoter with highest holding

Arvinder Singh Pasricha (27.58%)

Highest Public shareholder

Uday R Shah (1.22%)

Individual Investors Holdings

21.27%

stock-summaryFinancial
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          "val2": "-55.42%",
          "chgp": "32.84%",
          "chgp_class": "positive"
        }
      ]
    }
  }
]

Quarterly Results Snapshot (Consolidated) - Dec'25 - QoQstock-summary

Dec'25
Sep'25
Change(%)
Net Sales
0.08
0.37
-78.38%
Operating Profit (PBDIT) excl Other Income
-0.20
-0.37
45.95%
Interest
0.01
0.01
Exceptional Items
0.00
0.00
Consolidate Net Profit
0.34
-0.42
180.95%
Operating Profit Margin (Excl OI)
-250.00%
-100.00%
-150.00%
Values in Rs Cr.
Direction Arrows
Net Sales

QoQ Growth in quarter ended Dec 2025 is -78.38% vs 23.33% in Sep 2025

Direction Arrows
Consolidated Net Profit

QoQ Growth in quarter ended Dec 2025 is 180.95% vs -50.00% in Sep 2025

Half Yearly Results Snapshot (Consolidated) - Sep'25stock-summary

Sep'25
Sep'24
Change(%)
Net Sales
0.67
0.89
-24.72%
Operating Profit (PBDIT) excl Other Income
-0.62
-0.32
-93.75%
Interest
0.02
0.06
-66.67%
Exceptional Items
0.00
0.00
Consolidate Net Profit
-0.68
-0.18
-277.78%
Operating Profit Margin (Excl OI)
-93.94%
-35.96%
-57.98%
Values in Rs Cr.
Direction Arrows
Net Sales

Growth in half year ended Sep 2025 is -24.72% vs -81.22% in Sep 2024

Direction Arrows
Consolidated Net Profit

Growth in half year ended Sep 2025 is -277.78% vs 98.36% in Sep 2024

Nine Monthly Results Snapshot (Consolidated) - Dec'25stock-summary

Dec'25
Dec'24
Change(%)
Net Sales
0.75
1.52
-50.66%
Operating Profit (PBDIT) excl Other Income
-0.82
-0.36
-127.78%
Interest
0.03
0.08
-62.50%
Exceptional Items
0.00
0.00
Consolidate Net Profit
-0.34
-0.36
5.56%
Operating Profit Margin (Excl OI)
-109.33%
-23.68%
-85.65%
Values in Rs Cr.
Direction Arrows
Net Sales

YoY Growth in nine months ended Dec 2025 is -50.66% vs -74.24% in Dec 2024

Direction Arrows
Consolidated Net Profit

YoY Growth in nine months ended Dec 2025 is 5.56% vs 96.88% in Dec 2024

Annual Results Snapshot (Consolidated) - Mar'25stock-summary

Mar'25
Mar'24
Change(%)
Net Sales
2.18
6.73
-67.61%
Operating Profit (PBDIT) excl Other Income
-0.49
-3.73
86.86%
Interest
0.10
0.28
-64.29%
Exceptional Items
-2.67
-0.38
-602.63%
Consolidate Net Profit
-3.18
-4.02
20.90%
Operating Profit Margin (Excl OI)
-22.58%
-55.42%
32.84%
Values in Rs Cr.
Direction Arrows
Net Sales

YoY Growth in year ended Mar 2025 is -67.61% vs -44.70% in Mar 2024

Direction Arrows
Consolidated Net Profit

YoY Growth in year ended Mar 2025 is 20.90% vs 55.87% in Mar 2024

stock-summaryCompany CV
About Thrive Future Habitats Limited stock-summary
stock-summary
Thrive Future Habitats Limited
Micro Cap
FMCG
Ador Multi Products Limited (Formerly known JB Advani & Co (Mysore) Ltd) was incorporated in July, 1948. The Company was converted into a Public Limited Company effective 30 June, 1975. The Company is a Toiletries preparation & Cosmetics organisation that operates on the Manufacturing of cosmetics with its clients in recommending. The Company is dedicated to the supply of products, services of Lotions, Hand sanitizers, shampoo needs of its end-users under the broad of `Life enhancement.
Company Coordinates stock-summary
Company Details
Ador House 5th Floor, 6 K Dubash Marg Fort Mumbai Maharashtra : 400001
stock-summary
Tel:
stock-summary
cs.adormultiproducts@gmail.com
Registrar Details
Canbank Computer Services Ltd , R & T Center , J. P. Royale, 1st Floor, No.218,2nd Main Sampige Road, Malleshwaram, Bangalore