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MakeMyTrip Ltd. – ‘20-F’ for 3/31/23 – ‘EX-15.1’

On:  Tuesday, 7/25/23, at 11:38am ET   ·   For:  3/31/23   ·   Accession #:  950170-23-34278   ·   File #:  1-34837

Previous ‘20-F’:  ‘20-F’ on 7/12/22 for 3/31/22   ·   Latest ‘20-F’:  This Filing   ·   19 References:   

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  As Of               Filer                 Filing    For·On·As Docs:Size             Issuer                      Filing Agent

 7/25/23  MakeMyTrip Ltd.                   20-F        3/31/23  210:51M                                    Donnelley … Solutions/FA

Annual or Annual-Transition Report by a Foreign Non-Canadian Issuer   —   Form 20-F   —   SEA’34

Filing Table of Contents

Document/Exhibit                   Description                      Pages   Size 

 1: 20-F        Annual or Annual-Transition Report by a Foreign     HTML  13.26M 
                Non-Canadian Issuer                                              
 2: EX-4.31     Instrument Defining the Rights of Security Holders  HTML    306K 
 3: EX-4.32     Instrument Defining the Rights of Security Holders  HTML    585K 
 4: EX-4.33     Instrument Defining the Rights of Security Holders  HTML    194K 
 5: EX-4.34     Instrument Defining the Rights of Security Holders  HTML    543K 
 6: EX-4.35     Instrument Defining the Rights of Security Holders  HTML    177K 
 7: EX-8.1      Opinion of Counsel re: Tax Matters                  HTML     62K 
10: EX-13.1     Annual or Quarterly Report to Security Holders      HTML     59K 
11: EX-13.2     Annual or Quarterly Report to Security Holders      HTML     59K 
 8: EX-12.1     Statement re: the Computation of Ratios             HTML     63K 
 9: EX-12.2     Statement re: the Computation of Ratios             HTML     62K 
12: EX-15.1     Letter re: Unaudited Interim Financial Info         HTML     56K 
18: R1          Document and Entity Information                     HTML    132K 
19: R2          Consolidated Statement of Financial Position        HTML    145K 
20: R3          Consolidated Statement of Profit or Loss and Other  HTML    157K 
                Comprehensive Income                                             
21: R4          Consolidated Statement of Changes in Equity         HTML    136K 
22: R5          Consolidated Statement of Cash Flows                HTML    164K 
23: R6          Reporting Entity                                    HTML     60K 
24: R7          Basis of Accounting                                 HTML     99K 
25: R8          Significant Accounting Policies                     HTML    306K 
26: R9          Determination of Fair Values                        HTML     74K 
27: R10         Financial Risk Management                           HTML     71K 
28: R11         Operating Segments                                  HTML    495K 
29: R12         Business Combinations                               HTML    144K 
30: R13         Investment in Equity-Accounted Investees            HTML    101K 
31: R14         Other Investments                                   HTML    102K 
32: R15         Revenue                                             HTML    103K 
33: R16         Other Revenue                                       HTML     93K 
34: R17         Other Income                                        HTML    102K 
35: R18         Personnel Expenses                                  HTML     97K 
36: R19         Other Operating Expenses                            HTML    132K 
37: R20         Depreciation, Amortization and Impairment           HTML     87K 
38: R21         Finance Income and Costs                            HTML    155K 
39: R22         Income Tax Benefit (Expense)                        HTML    396K 
40: R23         Property, Plant and Equipment                       HTML    551K 
41: R24         Intangible Assets and Goodwill                      HTML    651K 
42: R25         Tax Assets and Liabilities                          HTML    374K 
43: R26         Trade and Other Receivables                         HTML     97K 
44: R27         Cash and Cash Equivalents                           HTML     86K 
45: R28         Term Deposits                                       HTML     86K 
46: R29         Other Current Assets                                HTML     89K 
47: R30         Other Non-Current Assets                            HTML     76K 
48: R31         Capital and Reserves                                HTML    144K 
49: R32         Loss Per Share                                      HTML    104K 
50: R33         Loans and Borrowings                                HTML    425K 
51: R34         Other Current Liabilities                           HTML     90K 
52: R35         Other Non-current Liabilities                       HTML     79K 
53: R36         Trade and Other Payables                            HTML     77K 
54: R37         Employee Benefits                                   HTML    428K 
55: R38         Share Based Payment                                 HTML    372K 
56: R39         Financial Instruments                               HTML   1.08M 
57: R40         Capital Commitments                                 HTML     59K 
58: R41         Leases                                              HTML    132K 
59: R42         Related Parties                                     HTML    295K 
60: R43         List of Material Subsidiaries                       HTML     82K 
61: R44         Code on Social Security 2020                        HTML     59K 
62: R45         Significant Accounting Policies (Policies)          HTML    346K 
63: R46         Significant Accounting Policies (Tables)            HTML     86K 
64: R47         Operating Segments (Tables)                         HTML    488K 
65: R48         Business Combinations (Tables)                      HTML    109K 
66: R49         Investment in Equity-Accounted Investees (Tables)   HTML     92K 
67: R50         Other Investments (Tables)                          HTML     95K 
68: R51         Revenue (Tables)                                    HTML     90K 
69: R52         Other Revenue (Tables)                              HTML     92K 
70: R53         Other Income (Tables)                               HTML    101K 
71: R54         Personnel Expenses (Tables)                         HTML     96K 
72: R55         Other Operating Expenses (Tables)                   HTML    131K 
73: R56         Depreciation, Amortization and Impairment (Tables)  HTML     86K 
74: R57         Finance Income and Costs (Tables)                   HTML    154K 
75: R58         Income Tax Benefit (Expense) (Tables)               HTML    399K 
76: R59         Property, Plant and Equipment (Tables)              HTML    550K 
77: R60         Intangible Assets and Goodwill (Tables)             HTML    637K 
78: R61         Tax Assets and Liabilities (Tables)                 HTML    373K 
79: R62         Trade and Other Receivables (Tables)                HTML     93K 
80: R63         Cash and Cash Equivalents (Tables)                  HTML     81K 
81: R64         Term Deposits (Tables)                              HTML     82K 
82: R65         Other Current Assets (Tables)                       HTML     88K 
83: R66         Other Non-Current Assets (Tables)                   HTML     75K 
84: R67         Capital and Reserves (Tables)                       HTML    134K 
85: R68         Loss Per Share (Tables)                             HTML     99K 
86: R69         Loans and Borrowings (Tables)                       HTML    402K 
87: R70         Other Current Liabilities (Tables)                  HTML     89K 
88: R71         Other Non-current Liabilities (Tables)              HTML     78K 
89: R72         Trade and Other Payables (Tables)                   HTML     74K 
90: R73         Employee Benefits (Tables)                          HTML    417K 
91: R74         Share Based Payment (Tables)                        HTML    307K 
92: R75         Financial Instruments (Tables)                      HTML   1.08M 
93: R76         Leases (Tables)                                     HTML    127K 
94: R77         Related Parties (Tables)                            HTML    271K 
95: R78         List of Material Subsidiaries (Tables)              HTML     80K 
96: R79         Basis of Accounting - Additional Information        HTML     57K 
                (Detail)                                                         
97: R80         Significant Accounting Policies - Additional        HTML     63K 
                information (Detail)                                             
98: R81         Significant Accounting Policies - Summary of        HTML     74K 
                Estimated Useful Lives of Assets on Depreciation                 
                Calculated (Detail)                                              
99: R82         Significant Accounting Policies - Summary of        HTML     78K 
                Estimated Useful Lives of Assets on Amortization                 
                of Assets Other than Goodwill Calculated (Detail)                
100: R83         Operating Segments - Additional Information         HTML     59K  
                (Detail)                                                         
101: R84         Operating Segments - Summary of Reportable          HTML    111K  
                Segments (Detail)                                                
102: R85         Operating Segments - Summary of Reportable          HTML     62K  
                Segments (Detail) (Parenthetical)                                
103: R86         Operating Segments - Summary of Geographical        HTML     76K  
                Segments (Detail)                                                
104: R87         Business Combinations - Additional Information      HTML    113K  
                (Detail)                                                         
105: R88         Business Combinations - Summary of Purchase Price   HTML     88K  
                allocation (Detail)                                              
106: R89         Business Combinations - Summary of Purchase Price   HTML     65K  
                allocation (Parenthetical) (Detail)                              
107: R90         Investment in Equity-Accounted Investees - Summary  HTML     66K  
                of Financial Information for Individually                        
                Immaterial Associates (Detail)                                   
108: R91         Investment in Equity-Accounted Investees -          HTML     78K  
                Additional Information (Detail)                                  
109: R92         Other Investments - Schedule of Investment          HTML     68K  
                (Detail)                                                         
110: R93         Other Investments - Additional Information          HTML     70K  
                (Detail)                                                         
111: R94         Revenue - Additional Information (Detail)           HTML     73K  
112: R95         Revenue - Schedule of Contract Balances (Detail)    HTML     65K  
113: R96         Other Revenue - Schedule of Other Revenue (Detail)  HTML     65K  
114: R97         Other Income - Summary of Other Income (Detail)     HTML     69K  
115: R98         Personnel Expenses - Summary of Personnel expense   HTML     69K  
                (Detail)                                                         
116: R99         Other Operating Expenses - Summary of Other         HTML     77K  
                Operating Expenses (Detail)                                      
117: R100        Other Operating Expenses - Summary of Other         HTML     62K  
                Operating Expenses (Parenthetical) (Detail)                      
118: R101        Depreciation, Amortization and Impairment -         HTML     65K  
                Schedule of Depreciation, Amortization and                       
                Impairment (Detail)                                              
119: R102        Finance Income and Costs - Schedule of Finance      HTML     88K  
                Income and Costs (Detail)                                        
120: R103        Income Tax Benefit (Expense) - Schedule of Income   HTML     80K  
                Tax Recognized in Profit or Loss (Detail)                        
121: R104        Income Tax Benefit (Expense) - Schedule of Income   HTML     90K  
                Tax Recognized in Other Comprehensive Income                     
                (Detail)                                                         
122: R105        Income Tax Benefit (Expense) - Schedule of Amounts  HTML     62K  
                Directly Recognised in Equity (Detail)                           
123: R106        Income Tax Benefit (Expense) - Schedule of          HTML     90K  
                Reconciliation of Effective Tax (Detail)                         
124: R107        Property Plant and Equipment - Summary of Property  HTML    136K  
                Plant and Equipment (Detail)                                     
125: R108        Intangible Assets and Goodwill - Summary of         HTML    147K  
                Intangible Assets and Goodwill (Detail)                          
126: R109        Intangible Assets and Goodwill - Summary of         HTML     60K  
                Intangible Assets and Goodwill (Parenthetical)                   
                (Detail)                                                         
127: R110        Intangible Assets and Goodwill - Additional         HTML     76K  
                Information (Detail)                                             
128: R111        Intangible Assets and Goodwill - Summary of         HTML     67K  
                Goodwill has been Allocated to Acquired                          
                Subsidiaries Level (Detail)                                      
129: R112        Intangible Assets and Goodwill - Summary of         HTML     84K  
                Assumption for Calculation of Cash flow                          
                Projections (Detail)                                             
130: R113        Intangible Assets and Goodwill - Summary of         HTML     64K  
                Assumption for Calculation of Cash flow                          
                Projections (Parenthetical) (Detail)                             
131: R114        Tax Assets and Liabilities - Summary of             HTML     62K  
                Unrecognized Deferred Tax Assets (Detail)                        
132: R115        Tax Assets and Liabilities - Additional             HTML     65K  
                Information (Detail)                                             
133: R116        Tax Assets and Liabilities - Summary of Recognized  HTML     90K  
                Deferred Tax Assets and Liabilities (Detail)                     
134: R117        Tax Assets and Liabilities - Summary of Movement    HTML     96K  
                in Deferred Tax Assets/(Liabilities) (Detail)                    
135: R118        Trade and Other Receivables - Summary of Trade and  HTML     70K  
                Other Receivables (Detail)                                       
136: R119        Cash and Cash Equivalents - Summary of Cash and     HTML     66K  
                Cash Equivalents (Detail)                                        
137: R120        Cash and Cash Equivalents - Additional Information  HTML     57K  
                (Detail)                                                         
138: R121        Term Deposits - Schedule of Term Deposits (Detail)  HTML     61K  
139: R122        Term Deposits - Additional Information (Detail)     HTML     59K  
140: R123        Other Current Assets - Summary of Other Current     HTML     65K  
                Assets (Detail)                                                  
141: R124        Other Current Assets - Summary of Other Current     HTML     61K  
                Assets (Detail) (Parenthetical)                                  
142: R125        Other Non-Current Assets - Summary of Other         HTML     62K  
                Non-Current Assets (Detail)                                      
143: R126        Capital and Reserves - Schedule of Share Capital    HTML     83K  
                and Share Premium (Details)                                      
144: R127        Capital and Reserves - Additional Information       HTML     61K  
                (Details)                                                        
145: R128        Loss Per Share - Computation of Basic and Diluted   HTML     67K  
                Loss Per Share (Detail)                                          
146: R129        Loss Per Share - Additional information (Detail)    HTML     60K  
147: R130        Loans and Borrowings - Summary of Interest Bearing  HTML     74K  
                Loans and Borrowings Measured At Amortized                       
                Cost/Fair Value (Detail)                                         
148: R131        Loans and Borrowings - Additional Information       HTML    103K  
                (Detail)                                                         
149: R132        Loans and Borrowings - Schedule of Terms and        HTML     83K  
                Conditions of Outstanding Loans, Lease Liabilities               
                and Convertible Notes (Detail)                                   
150: R133        Loans and Borrowings - Summary of Changes in Cash   HTML     96K  
                Flows from Financing Activities (Detail)                         
151: R134        Other Current Liabilities - Summary of Other        HTML     69K  
                Current Liabilities (Detail)                                     
152: R135        Other Non-current Liabilities - Schedule of Other   HTML     63K  
                Non-current Liabilities (Detail)                                 
153: R136        Trade and Other Payables - Summary of Trade and     HTML     62K  
                Other Payables (Detail)                                          
154: R137        Provisions - Summary of Movement of Provisions      HTML     62K  
                (Parenthetical) (Detail)                                         
155: R138        Employee Benefits - Summary of Employee Benefits    HTML     62K  
                (Detail)                                                         
156: R139        Employee Benefits - Summary of Employee Benefits    HTML     59K  
                (Present Value of Funded Obligation) (Detail)                    
157: R140        Employee Benefits - Disclosure of Reconciliation    HTML    109K  
                From Opening Balances to Closing Balances For Net                
                Defined Liability and Its Components (Detail)                    
158: R141        Employee Benefits - Summary of Net Defined Benefit  HTML     66K  
                Liability (Detail)                                               
159: R142        Employee Benefits - Summary of Actuarial            HTML     68K  
                Assumptions (Detail)                                             
160: R143        Employee Benefits - Summary of Sensitivity          HTML     67K  
                Analysis for Actuarial Assumptions (Detail)                      
161: R144        Employee Benefits - Summary of Sensitivity          HTML     62K  
                Analysis for Actuarial Assumptions (Parenthetical)               
                (Detail)                                                         
162: R145        Employee Benefits - Disclosure of Plan Assets       HTML     57K  
                (Detail)                                                         
163: R146        Employee Benefits - Summary of Expected Benefit     HTML     65K  
                Payments (Detail)                                                
164: R147        Employee Benefits - Additional Information          HTML     64K  
                (Detail)                                                         
165: R148        Share Based Payment - Additional Information        HTML    215K  
                (Detail)                                                         
166: R149        Share Based Payment - Summary of Number and         HTML    107K  
                Weighted Average Exercise Price of Share Options                 
                (Detail)                                                         
167: R150        Share Based Payment - Summary of Terms and          HTML     69K  
                Conditions Relating to Grants under Share                        
                Incentive Plan (Detail)                                          
168: R151        Share Based Payment - Summary of Number and         HTML     67K  
                Weighted Average Exercise Price of Employee Stock                
                Options under ESOP Plan 2015 (Detail)                            
169: R152        Financial Instruments - Summary of Maximum          HTML     77K  
                Exposure to Credit Risk (Detail)                                 
170: R153        Financial Instruments - Summary of Age of Trade     HTML     70K  
                and Other Receivables Term Deposits and Security                 
                Deposits (Detail)                                                
171: R154        Financial Instruments - Summary of Movement in      HTML     69K  
                Allowance for Impairment in Respect of Trade and                 
                Other Receivables (Detail)                                       
172: R155        Financial Instruments - Summary of Contractual      HTML    113K  
                Maturities of Financial Liabilities, Including                   
                Estimated Interest Payments and Excluding Impact                 
                of Netting Agreements (Detail)                                   
173: R156        Financial Instruments - Summary of Liquidity and    HTML     64K  
                Financial Indebtedness Excluding Lease Liabilities               
                (Detail)                                                         
174: R157        Financial Instruments - Summary of Currency Risk    HTML     73K  
                (Detail)                                                         
175: R158        Financial Instruments - Summary of Currency Risk    HTML     62K  
                (Parenthetical) (Detail)                                         
176: R159        Financial Instruments - Summary of Significant      HTML     60K  
                Exchange Rates Applied (Detail)                                  
177: R160        Financial Instruments - Currency Risk - Additional  HTML     61K  
                Information (Detail)                                             
178: R161        Financial Instruments - Sensitivity Analysis of     HTML     61K  
                Exchange Rate (Detail)                                           
179: R162        Financial Instruments - Sensitivity Analysis -      HTML     61K  
                Additional Information (Detail)                                  
180: R163        Financial Instruments - Summary of Fair Values of   HTML    117K  
                Financial Assets and Liabilities, Together with                  
                Carrying Amounts (Detail)                                        
181: R164        Financial Instruments - Summary of Financial        HTML     81K  
                Instruments Carried at Fair Value (Detail)                       
182: R165        Financial Instruments - Fair Value Hierarchy -      HTML     58K  
                Additional Information (Detail)                                  
183: R166        Financial Instruments - Summary of Reconciliation   HTML     96K  
                Fair Value Measurements in Level 3 of Fair Value                 
                Hierarchy (Detail)                                               
184: R167        Financial Instruments - Summary of Financial        HTML     72K  
                Instruments Measured at Fair Value (Detail)                      
185: R168        Financial Instruments - Summary of Financial        HTML     87K  
                Instruments Measured at Fair Value (Parenthetical)               
                (Detail)                                                         
186: R169        Financial Instruments - Summary of Financial        HTML     59K  
                Instruments Not Measured at Fair Value (Detail)                  
187: R170        Financial Instruments - Level 3 Fair Value          HTML     65K  
                Sensitivity Analysis - Additional Information                    
                (Detail)                                                         
188: R171        Financial Instruments - Summary of Sensitivity      HTML     61K  
                Analysis For Other Investments (Detail)                          
189: R172        Financial Instruments - Summary of Other            HTML     77K  
                Liabilities Related to Business Combination                      
                (Detail)                                                         
190: R173        Financial Instruments - Summary of Other            HTML     67K  
                Liabilities Related to Business Combination                      
                (Parenthetical) (Detail)                                         
191: R174        Capital Commitments - Additional Information        HTML     57K  
                (Detail)                                                         
192: R175        Leases - Additional Information (Detail)            HTML     65K  
193: R176        Leases - Schedule of Right-of-use Assets (Details)  HTML     68K  
194: R177        Leases - Summary of Amounts Recognised in           HTML     60K  
                Statement of Profit or Loss (Details)                            
195: R178        Leases - Summary of Amounts Recognised in           HTML     57K  
                Statement of Cash Flows (Details)                                
196: R179        Related Parties - Summary of Key Management         HTML     74K  
                Personnel Compensation (Detail)                                  
197: R180        Related Parties - Summary of Transaction with       HTML     59K  
                Entity Providing Key Management Personnel Services               
                (Detail)                                                         
198: R181        Related Parties - Additional Information (Detail)   HTML     58K  
199: R182        Related Parties - Summary of Transactions with      HTML     82K  
                Subsidiaries (Detail)                                            
200: R183        Related Parties - Transactions with Trip.com and    HTML     63K  
                its Subsidiaries (Detail)                                        
201: R184        Related Parties - Summary of Transactions with      HTML     64K  
                Equity-Accounted Investee (Detail)                               
202: R185        Related Parties - Summary of Transactions with      HTML     60K  
                Equity-Accounted Investee (Parenthetical) (Detail)               
203: R186        Related Parties - Summary of Transactions with      HTML     62K  
                Equity Accounted Investee (Details)                              
204: R187        List of Material Subsidiaries - Schedule of List    HTML     76K  
                of Material Subsidiaries (Detail)                                
205: R188        Quarterly Financial Data (Unaudited) - Summary of   HTML     95K  
                Quarterly Financial Data (Detail)                                
208: XML         IDEA XML File -- Filing Summary                      XML    412K  
206: XML         XBRL Instance -- mmyt-20230331_htm                   XML  14.98M  
207: EXCEL       IDEA Workbook of Financial Report Info              XLSX    393K  
13: EX-101.CAL  XBRL Calculations -- mmyt-20230331_cal               XML    461K 
14: EX-101.DEF  XBRL Definitions -- mmyt-20230331_def                XML   1.85M 
17: EX-101.LAB  XBRL Labels -- mmyt-20230331_lab                     XML   3.23M 
15: EX-101.PRE  XBRL Presentations -- mmyt-20230331_pre              XML   2.60M 
16: EX-101.SCH  XBRL Schema -- mmyt-20230331                         XSD    698K 
209: JSON        XBRL Instance as JSON Data -- MetaLinks              807±  1.36M  
210: ZIP         XBRL Zipped Folder -- 0000950170-23-034278-xbrl      Zip   1.80M  


‘EX-15.1’   —   Letter re: Unaudited Interim Financial Info


This Exhibit is an HTML Document rendered as filed.  [ Alternative Formats ]



  EX-15.1  

 

Exhibit 15.1

Consent of Independent Registered Public Accounting Firm

 

We consent to the incorporation by reference in the registration statement (No. 333-168880) on Form S-8, (No. 333-215814) on Form S-8, (No. 333-218329) on Form S-8, (No. 333-226081) on Form S-8, (No. 333-230912) on Form S-8, (No. 333-248402) on Form S-8, (No. 333-256774) on Form S-8 and (No. 333-264819) on Form S-8 of our reports dated July 25, 2023, with respect to the consolidated financial statements of MakeMyTrip Limited and subsidiaries and the effectiveness of internal control over financial reporting.

 

 

/s/ KPMG Assurance and Consulting Services LLP

 

Bengaluru, Karnataka, India
July 25, 2023

 

 

 

 

 

 



Dates Referenced Herein   and   Documents Incorporated by Reference

This ‘20-F’ Filing    Date    Other Filings
Filed on:7/25/23
For Period end:3/31/236-K
 List all Filings 


19 Previous Filings that this Filing References

  As Of               Filer                 Filing    For·On·As Docs:Size             Issuer                      Filing Agent

 7/12/22  MakeMyTrip Ltd.                   20-F        3/31/22  221:47M                                    ActiveDisclosure/FA
 4/22/22  MakeMyTrip Ltd.                   6-K         4/22/22    2:28K                                    ActiveDisclosure/FA
10/26/21  MakeMyTrip Ltd.                   6-K         9/30/21    4:2.1M                                   ActiveDisclosure/FA
 7/13/21  MakeMyTrip Ltd.                   20-F        3/31/21  230:86M                                    ActiveDisclosure/FA
 5/25/21  MakeMyTrip Ltd.                   6-K         3/31/21    3:2.3M                                   ActiveDisclosure/FA
 2/09/21  MakeMyTrip Ltd.                   6-K         2/09/21    2:707K                                   Donnelley … Solutions/FA
 9/30/20  MakeMyTrip Ltd.                   6-K         9/30/20    2:96K                                    ActiveDisclosure/FA
 8/17/20  MakeMyTrip Ltd.                   20-F        3/31/20  215:43M                                    ActiveDisclosure/FA
 4/26/19  MakeMyTrip Ltd.                   6-K         4/26/19    3:133K                                   Donnelley … Solutions/FA
 1/24/19  MakeMyTrip Ltd.                   6-K        12/31/18    3:1.8M                                   ActiveDisclosure/FA
 6/20/18  MakeMyTrip Ltd.                   20-F        3/31/18  211:40M                                    ActiveDisclosure/FA
 7/18/17  MakeMyTrip Ltd.                   20-F        3/31/17   16:18M                                    Donnelley … Solutions/FA
 5/19/17  MakeMyTrip Ltd.                   6-K         3/31/17    3:411K                                   Donnelley … Solutions/FA
 5/02/17  MakeMyTrip Ltd.                   6-K         5/02/17    4:254K                                   Donnelley … Solutions/FA
 1/30/17  MakeMyTrip Ltd.                   S-8         1/30/17    4:64K                                    Donnelley … Solutions/FA
11/22/16  MakeMyTrip Ltd.                   6-K        11/22/16    3:1.2M                                   Donnelley … Solutions/FA
10/19/16  MakeMyTrip Ltd.                   6-K        10/19/16    6:971K                                   Donnelley … Solutions/FA
 1/25/16  MakeMyTrip Ltd.                   6-K         1/25/16    4:973K                                   Donnelley … Solutions/FA
 7/26/10  MakeMyTrip Ltd.                   F-1                   24:5.6M                                   Donnelley … Solutions/FA
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Filing Submission 0000950170-23-034278   –   Alternative Formats (Word / Rich Text, HTML, Plain Text, et al.)

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