Board Meeting Details

The Board of Directors meeting was held on May 30, 2026, commencing at 5:30 PM and concluding at 6:00 PM. The Board considered and approved the audited standalone financial results for the quarter/half year and year ended March 31, 2026.

Financial Results - Quarter Ended March 31, 2026 (Unaudited)

  • Income from Operations: ₹3.85 lakh
  • Other Income: Not specified (blank)
  • Total Income: ₹3.85 lakh
  • Total Expenses: ₹1.36 lakh
  • Employee benefits expense: ₹0.36 lakh
  • Other expenses: ₹1.00 lakh
  • Other expense categories show zero or blank values
  • Profit before tax: ₹2.49 lakh
  • Tax Expense: ₹0.00 lakh
  • Net Profit for the period: ₹2.49 lakh
  • Earnings Per Share (Basic & Diluted): ₹0.0054
  • Paid-up equity share capital: ₹461.32 lakh (Face Value ₹10 per share)

Financial Results - Year Ended March 31, 2026 (Audited)

  • Income from Operations: ₹3.85 lakh
  • Other Income: Not specified (blank)
  • Total Income: ₹3.85 lakh
  • Total Expenses: ₹3.73 lakh
  • Employee benefits expense: ₹1.44 lakh
  • Other expenses: ₹2.29 lakh
  • Other expense categories show zero or blank values
  • Profit before tax: ₹0.12 lakh
  • Tax Expense: ₹0.00 lakh
  • Net Profit for the year: ₹0.12 lakh
  • Earnings Per Share (Basic & Diluted): ₹0.0003
  • Previous year (March 31, 2025) Net Loss: ₹-3.24 lakh
  • Previous year EPS: ₹-0.007

Standalone Statement of Assets and Liabilities as of March 31, 2026

Assets:

  • Total Assets: ₹6.25 lakh
  • Non-Current Assets: ₹5.76 lakh (Long term loans and advances)
  • Current Assets: ₹0.49 lakh (Cash and Cash equivalents)

Equity and Liabilities:

  • Shareholders' Fund: ₹-204.63 lakh (Negative)
  • Share Capital: ₹461.32 lakh
  • Reserves and Surplus: ₹-665.95 lakh (Deficit)
  • Current Liabilities: ₹210.88 lakh
  • Short term borrowings: ₹201.98 lakh
  • Trade payables: ₹0.14 lakh
  • Other short term provisions: ₹8.76 lakh

Cash Flow Statement for Year Ended March 31, 2026

  • Cash Flow from Operating Activities: ₹-292.84 lakh
  • Cash Flow from Investing Activities: ₹0.00 lakh
  • Cash Flow from Financing Activities: ₹288.00 lakh (Proceeds from borrowings net)
  • Net Increase in Cash: ₹-4.84 lakh
  • Cash and cash equivalents opening: ₹543.78 lakh
  • Cash and cash equivalents closing: ₹495.34 lakh

Audit Opinion

The auditors issued an unmodified opinion stating that the standalone financial results give a true and fair view in conformity with Indian Accounting Standards (Ind AS) and comply with Regulation 33 of SEBI Listing Regulations.

Additional Information

  • The results are in compliance with Indian Accounting Standards (Ind-AS)
  • Previous period figures have been restated as per Ind AS
  • Financial results were reviewed by the Audit Committee and approved by the Board on May 30, 2026
  • The company maintains negative shareholders' equity position
  • Significant reliance on short-term borrowings (₹201.98 lakh)