Key Financial Results (Standalone)
Financial Year Ended March 31, 2026:
- Total Income: ₹836.64 lakh (compared to ₹595.78 lakh in FY25)
- Revenue from Operations: ₹826.33 lakh (compared to ₹595.78 lakh in FY25)
- Other Income: ₹10.32 lakh (compared to ₹0 in FY25)
- Total Expenses: ₹687.58 lakh (compared to ₹452.00 lakh in FY25)
- Profit Before Tax: ₹149.07 lakh (compared to ₹143.78 lakh in FY25)
- Tax Expense: ₹40.55 lakh (₹38.92 lakh current tax + ₹1.63 lakh deferred tax)
- Profit After Tax: ₹114.52 lakh (compared to ₹106.18 lakh in FY25), representing a 7.9% year-on-year increase
- Basic and Diluted EPS: ₹8.47 (compared to ₹7.85 in FY25)
Half Year Ended March 31, 2026:
- Total Income: ₹521.92 lakh
- Revenue from Operations: ₹516.26 lakh
- Profit After Tax: ₹60.97 lakh
- Basic and Diluted EPS: ₹4.51
Balance Sheet Position (as at March 31, 2026)
- Total Equity and Liabilities: ₹1,041.68 lakh (compared to ₹933.58 lakh in FY25)
- Share Capital: ₹135.20 lakh (unchanged from FY25)
- Reserves and Surplus: ₹647.15 lakh (compared to ₹542.63 lakh in FY25)
- Total Assets: ₹1,041.68 lakh (compared to ₹933.58 lakh in FY25)
- Property, Plant & Equipment: ₹263.31 lakh (compared to ₹214.98 lakh in FY25)
- Non-Current Investments: ₹164.41 lakh (compared to ₹0 in FY25)
- Inventories: ₹39.97 lakh (compared to ₹37.69 lakh in FY25)
- Trade Receivables: ₹380.49 lakh (compared to ₹367.18 lakh in FY25)
- Cash and Cash Equivalents: ₹152.77 lakh (compared to ₹270.08 lakh in FY25)
Cash Flow Statement
- Net Cash from Operating Activities: ₹168 lakh (compared to ₹-9.30 lakh used in FY25)
- Net Cash Used in Investing Activities: ₹-71.81 lakh (compared to ₹-156.45 lakh in FY25)
- Net Cash from Financing Activities: ₹0 (compared to ₹380.22 lakh in FY25)
- Net Increase in Cash: ₹96.02 lakh (compared to ₹214.47 lakh in FY25)