Key Quantitative Figures
Standalone Financials (FY2026):
- Revenue from operations: ₹10,446.83 lakh
- Total revenue: ₹10,476.52 lakh
- Net profit: ₹1,206.33 lakh
- Basic EPS: ₹5.88
- Diluted EPS: ₹5.88
- Paid-up equity capital: ₹2,049.96 lakh (face value ₹10 each)
- Current tax expense: ₹408.49 lakh
- Deferred tax: ₹10.82 lakh
Consolidated Financials (FY2026):
- Revenue from operations: ₹11,264.58 lakh
- Total revenue: ₹11,271.84 lakh
- Net profit: ₹824.78 lakh
- Basic EPS: ₹4.02
- Diluted EPS: ₹4.02
- Paid-up equity capital: ₹2,049.96 lakh (face value ₹10 each)
- Current tax expense: ₹408.49 lakh
- Deferred tax: ₹(32.61) lakh
Half-Yearly Performance (H1 FY2026 Standalone):
- Revenue from operations: ₹5,500.10 lakh
- Net profit: ₹562.86 lakh
- Basic EPS: ₹2.75 (annualized)
Subsidiary Performance (Emmforce Mobility Solutions Private Limited):
- Total assets: ₹3,690.00 lakh as of March 31, 2026
- Total revenues: ₹1,215.93 lakh for year ended March 31, 2026
- Net loss: ₹375.77 lakh for year ended March 31, 2026
Dates of Action
- Board meeting date: May 26, 2026
- Meeting duration: 1:00 PM to 2:30 PM
- Financial period ended: March 31, 2026
- Auditor's report date: May 26, 2026
Parties Involved
- Subsidiary: Emmforce Mobility Solutions Private Limited
- Statutory Auditor: Vijay Jindal & Associates, Chartered Accountants
- Stock Exchange: BSE Limited
- Managing Director: Ashok Mehta (DIN: 00058188)
Financial Impact
Financial results represent the company's actual audited performance for the fiscal year 2025-2026. The impact is quantified in the profit figures and EPS disclosed.
Capital Structure Impact
No change in paid-up equity capital reported during the period. Capital remains at ₹2,049.96 lakh.
Cash Flow Implications
Consolidated Cash Flow (FY2026):
- Net cash from operating activities: ₹524.95 lakh
- Net cash used in investing activities: ₹(2,350.30) lakh
- Net cash from financing activities: ₹917.59 lakh
- Net decrease in cash: ₹(907.76) lakh
- Cash equivalents at end: ₹45.09 lakh
Standalone Cash Flow (FY2026):
- Net cash from operating activities: ₹1,157.95 lakh
- Net cash used in investing activities: ₹(3,149.94) lakh
- Net cash from financing activities: ₹1,094.87 lakh
- Net decrease in cash: ₹(897.12) lakh
- Cash equivalents at end: ₹22.58 lakh
Additional Information
- Company incorporated on October 13, 2023
- Listed on BSE SME on April 30, 2024
- Business: Manufacture of auto components and engineering parts
- Single business segment operation
- Financial results prepared in accordance with Accounting Standards prescribed under Section 133 of Companies Act, 2013
- Previous year figures regrouped/rearranged for correspondence with current year
- Results available on company website (www.emmforce.com) and BSE website (www.bseindia.com)