In continuation of the letter dated 4th November 2022, Kratos Energy Infrastructure has informed that in financials results uploaded for the quarter and half year ended 30th September 2022 there were certain numerical errors in the cash flow statement which are as follows. Opening cash & Cash flow equivalents at beginning of year for the 6 Months ended on 30-09-2022 is Rs 13.03 (Amount in Lakhs) instead of Rs. 0.00 (Amount in Lakhs). Take the Financials on the record with corrected amount in Cash flow.
The above information is a part of company’s filings submitted to BSE.