Bhanderi Infracon Limited's Board of Directors held a meeting on Saturday, 30th May 2026, which commenced at 06:30 PM and concluded at 08:30 PM. The Board approved and took on record the following items pursuant to SEBI Listing Regulations:
1. Audited Financial Results (Standalone & Consolidated) for the half-year and year ended 31st March 2026 under Regulation 33
2. Auditors Report on the Standalone & Consolidated Financial Results for the half-year and year ended 31st March 2026
3. Declaration confirming unmodified opinion of Auditors on the Audited Financial Results
Standalone Financial Performance (Rs. in Lakhs)
Income Statement:
- Total Income from Operation for FY26: ₹70.30 lakh (FY25: ₹215.10 lakh)
- Profit from operation before other income, finance cost and exceptional items for FY26: ₹39.05 lakh (FY25: ₹118.40 lakh)
- Finance Cost for FY26: ₹0.68 lakh
- Net Profit from ordinary activities After Tax for FY26: ₹33.91 lakh (FY25: ₹93.00 lakh)
- Extraordinary Items (Net of Tax): ₹24.73 lakh
- Net Profit for the year ended 31st March 2026: ₹9.18 lakh (FY25: ₹93.00 lakh)
Key Metrics:
- Paid-up Equity Share Capital: ₹259.66 lakh (unchanged)
- Basic EPS (before extraordinary items) for FY26: ₹0.35 (FY25: ₹3.58)
- Basic EPS (after extraordinary items) for FY26: ₹0.35 (FY25: ₹3.58)
Balance Sheet Position as at 31st March 2026:
- Total Equity and Liabilities: ₹3,304.02 lakh (Previous year: ₹3,070.72 lakh)
- Total Assets: ₹3,304.02 lakh (Previous year: ₹3,070.72 lakh)
- Current Assets: ₹2,600.86 lakh (including Inventories of ₹2,162.88 lakh)
- Non-current Assets: ₹703.16 lakh (including Non-current investments of ₹664.46 lakh)
- Current Liabilities: ₹732.08 lakh
Consolidated Financial Performance (Rs. in Lakhs)
Income Statement:
- Total Income from Operation for FY26: ₹391.91 lakh (FY25: ₹631.68 lakh)
- Net Profit after taxes, Minority Interest & Share of Profit/(Loss) of associates for FY26: ₹20.43 lakh (FY25: ₹129.45 lakh)
- Basic EPS for FY26: ₹0.79 (FY25: ₹4.99)
Segment Reporting:
- Real Estate Segment Revenue: ₹275.30 lakh (FY25: ₹524.49 lakh)
- Total Segment Profit before EBIT: ₹65.72 lakh (FY25: ₹214.91 lakh)
- Profit after Tax: ₹37.00 lakh (FY25: ₹166.36 lakh)
- Total Segment Assets: ₹9,367.19 lakh (FY25: ₹5,199.96 lakh)
- Total Segment Liabilities: ₹6,519.07 lakh (FY25: ₹3,801.87 lakh)
Cash Flow Statements
Standalone Cash Flows for FY26:
- Cash Flow from Operating Activities: (₹34.69) lakh
- Cash Flow from Investing Activities: (₹26.98) lakh
- Cash Flow from Financing Activities: ₹63.76 lakh
- Net increase in cash and cash equivalents: ₹2.09 lakh
Consolidated Cash Flows for FY26:
- Cash Flow from Operating Activities: ₹335.31 lakh
- Cash Flow from Investing Activities: (₹4,102.98) lakh
- Cash Flow from Financing Activities: ₹3,800.72 lakh
- Net increase in cash and cash equivalents: ₹33.05 lakh
Additional Notes
- The company operates primarily in one segment (real estate)
- The company has not adopted Indian Accounting Standards (IND AS) due to exemption available to companies listed on SME Exchange
- Figures for previous periods have been re-grouped, re-classified and restated where necessary
- The company has acquired more than 75% equity shares in five subsidiary companies