Company Disclosure
Board Meeting Details
The Board meeting was held on Wednesday, June 10, 2026, commencing at 12:00 NOON and concluding at 01:00 AM. The meeting:
- Approved the Audited Standalone Financial Results for the quarter and year ended March 31, 2026
- The results were reviewed and recommended by the Audit Committee
- Arranged to publish the Financial Results in newspapers as per Regulation 47 format
Financial Results Overview (Standalone)
(All figures in ₹ Lacs except per share data)
Quarterly Performance (Q4 FY26 vs Q4 FY25)
- Revenue From Operations: ₹4,267.04 (vs ₹4,063.01 in Q4 FY25) - 5.0% increase
- Other Income: ₹605.75 (vs ₹22.62 in Q4 FY25) - significant increase
- Total Income: ₹4,872.79 (vs ₹4,085.63 in Q4 FY25) - 19.3% increase
- Profit Before Tax: ₹435.67 (vs ₹588.02 in Q4 FY25) - 25.9% decrease
- Profit for the Period: ₹422.06 (vs ₹449.27 in Q4 FY25) - 6.1% decrease
- EPS (Basic): ₹2.84 (vs ₹2.96 in Q4 FY25)
Annual Performance (FY26 vs FY25)
- Revenue From Operations: ₹13,424.61 (vs ₹11,954.75 in FY25) - 12.3% increase
- Other Income: ₹681.37 (vs ₹61.43 in FY25) - significant increase
- Total Income: ₹14,105.99 (vs ₹12,016.18 in FY25) - 17.4% increase
- Profit Before Tax: ₹1,156.98 (vs ₹1,081.30 in FY25) - 7.0% increase
- Profit for the Period: ₹812.39 (vs ₹827.35 in FY25) - 1.8% decrease
- EPS (Basic): ₹5.45 (vs ₹5.49 in FY25)
Expense Breakdown (FY26)
- Cost of Materials Purchased: ₹959.46 lacs
- Employee Benefits Expense: ₹3,551.52 lacs
- Finance Costs: ₹962.47 lacs (40.6% increase from ₹684.51 lacs in FY25)
- Depreciation and Amortization: ₹1,070.33 lacs (97.4% increase from ₹542.37 lacs in FY25)
- Other Expenses: ₹6,405.22 lacs
Tax Expenses (FY26)
- Current Tax: ₹403.16 lacs
- Deferred Tax: (₹58.57) lacs (credit)
Balance Sheet Position (as at March 31, 2026)
- Total Assets: ₹23,554.72 lacs (vs ₹18,120.23 lacs previous year)
- Equity Share Capital: ₹1,492.26 lacs (unchanged)
- Other Equity: ₹3,618.62 lacs (vs ₹2,858.32 lacs)
- Total Equity: ₹5,110.88 lacs (vs ₹4,350.58 lacs)
- Non-Current Liabilities: ₹12,882.32 lacs (includes borrowings of ₹9,245.98 lacs)
- Current Liabilities: ₹5,561.53 lacs
Cash Flow Statement (FY26)
- Net Cash from Operating Activities: ₹272.83 lacs (vs negative ₹1,889.40 lacs in FY25)
- Net Cash from Investing Activities: negative ₹2,437.88 lacs
- Net Cash from Financing Activities: ₹2,211.65 lacs
- Net Increase in Cash: ₹46.60 lacs
- Cash & Cash Equivalents at year-end: ₹106.91 lacs