Summary of Key Information:

Reporting Period: Quarter and Year ended 31st March, 2026

Nature of Filing / Announcement: Outcome of Board Meeting - Financial Results and Dividend

Date of Board Meeting / Approval: 27th May, 2026 (13:00 PM to 15:15 PM)

Audit Opinion: Unmodified opinion (clean opinion)

Auditor's Comment: Emphasis of Matters regarding two contingent liabilities - Income Tax demand of ₹22.46 crore and FEMA seizure of ₹16.01 crore

Key Financial Highlights [All amounts in ₹ lakhs]

Standalone Results:

Revenue from Operations: FY26: ₹10,972.04 vs FY25: ₹9,096.27 (20.6% increase)

Q4 FY26: ₹4,683.56 vs Q4 FY25: ₹4,241.42 (10.4% increase)

Total Income: FY26: ₹11,471.94 vs FY25: ₹10,011.09 (14.6% increase)

Net Profit/(Loss): FY26: ₹(1,429.49) vs FY25: ₹(763.30) (87.3% deterioration)

Q4 FY26: ₹(361.95) vs Q4 FY25: ₹(450.94)

EPS: FY26: ₹(22.46) vs FY25: ₹(11.99)

Q4 FY26: ₹(5.69) vs Q4 FY25: ₹(7.08)

Other Equity: ₹21,793.91

Cash and Cash Equivalents: ₹3,041.96

Consolidated Results:

Revenue from Operations: FY26: ₹11,217.44 vs FY25: ₹12,567.51 (10.7% decrease)

Q4 FY26: ₹4,928.96 vs Q4 FY25: ₹7,055.78 (30.1% decrease)

Net Profit/(Loss) attributable to shareholders: FY26: ₹(1,389.39) vs FY25: ₹(611.18) (127.3% deterioration)

Q4 FY26: ₹(308.62) vs Q4 FY25: ₹(378.31)

EPS: FY26: ₹(21.83) vs FY25: ₹(9.60)

Q4 FY26: ₹(4.85) vs Q4 FY25: ₹(5.94)

Other Equity: ₹24,699.02

Cash and Cash Equivalents: ₹7,431.79

Segment-wise Performance:

The company has only one reportable segment: "Geophysical Data Acquisition, Processing and Interpretation Services" in accordance with Ind AS 108.

Corporate Actions:

Dividend: Recommended a dividend of ₹5 per equity share of ₹10 each for FY 2025-26, subject to approval of members at the ensuing 39th Annual General Meeting

Cash Flow Statements:

Standalone Cash Flows:

  • Net cash from operating activities: ₹346.88 lakhs
  • Net cash from investing activities: ₹458.53 lakhs
  • Net cash from financing activities: ₹(537.09) lakhs
  • Net increase in cash: ₹268.32 lakhs

Consolidated Cash Flows:

  • Net cash from operating activities: ₹1,779.49 lakhs
  • Net cash from investing activities: ₹(485.09) lakhs
  • Net cash from financing activities: ₹(541.87) lakhs
  • Net increase in cash: ₹752.53 lakhs

Other Significant Information:

  • The figures for quarters ended 31st March 2026 and 31st March 2025 are balancing figures between audited full year and reviewed year-to-date figures up to third quarter
  • Figures for corresponding previous period have been reclassified/regrouped wherever necessary
  • Audit conducted by Majeti & Co, Chartered Accountants (Firm Registration No: 015975S)