Key Financial Figures - Standalone (₹ in lakhs)
Income Statement FY2026:
- Sales/Income from Operations (net): ₹18,539.50 (FY2025: ₹16,254.83)
- Other Operating Income: ₹305.11 (FY2025: ₹252.54)
- Other Income: ₹123.59 (FY2025: ₹73.89)
- Total Income: ₹18,968.21 (FY2025: ₹16,581.26)
- Profit Before Exceptional Items and Tax: ₹1,743.48 (FY2025: ₹838.60)
- Exceptional Items: ₹52.51 (related to implementation of new labor codes)
- Profit Before Tax: ₹1,690.98 (FY2025: ₹838.60)
- Tax Expense: ₹514.36 (FY2025: ₹231.98)
- Net Profit: ₹1,176.62 (FY2025: ₹606.62)
- Total Comprehensive Income: ₹1,184.93 (FY2025: ₹611.46)
Quarterly Performance Q4 FY2026:
- Total Income: ₹5,145.19 (Q4 FY2025: ₹4,268.01)
- Net Profit: ₹376.51 (Q4 FY2025: ₹189.50)
Earnings Per Share:
- Basic & Diluted EPS FY2026: ₹11.77 (FY2025: ₹6.07)
- Basic & Diluted EPS Q4 FY2026: ₹3.77 (Q4 FY2025: ₹1.90)
Key Financial Figures - Consolidated (₹ in lakhs)
FY2026 Consolidated:
- Total Income: ₹18,968.21 (FY2025: ₹16,581.26)
- Net Profit: ₹1,176.15 (FY2025: ₹605.72)
- Total Comprehensive Income: ₹1,184.46 (FY2025: ₹610.56)
Capital Structure
- Paid-up Equity Share Capital: ₹1,000.00 lakhs (Face Value ₹10 per share)
- Other Equity (Standalone): ₹9,278.09 lakhs
- The company issued 50,000 equity shares as fully paid Bonus Shares in the ratio of 1:1 on record date June 27, 2025
Dividend Recommendation
The Board recommended a dividend of 10% i.e., ₹1 per equity share of ₹10 each, subject to approval of members at the ensuing Annual General Meeting.
Segment Performance (Consolidated)
Investment Castings Segment:
- FY2026 Revenue: ₹18,579.08 lakhs (FY2025: ₹16,302.37)
- FY2026 Profit before interest and tax: ₹2,212.20 lakhs (FY2025: ₹1,414.28)
Power Generation Segment:
- FY2026 Revenue: ₹265.54 lakhs (FY2025: ₹205.00)
- FY2026 Profit before interest and tax: ₹148.78 lakhs (FY2025: ₹95.79)
Assets and Liabilities (Standalone as at 31.03.2026)
- Total Assets: ₹21,679.96 lakhs
- Non-Current Assets: ₹11,259.25 lakhs
- Current Assets: ₹10,420.71 lakhs
- Equity: ₹10,278.09 lakhs
- Non-Current Liabilities: ₹2,698.65 lakhs
- Current Liabilities: ₹8,703.22 lakhs
Debt Position
- Total outstanding loans from banks/financial institutions as on 31.03.2026: ₹70.10 crore
- No defaults on any loans or debt securities
Cash Flow (Standalone FY2026)
- Net cash from operating activities: ₹2,577.88 lakhs
- Net cash used in investing activities: ₹(2,364.46) lakhs
- Net cash used in financing activities: ₹(15.86) lakhs
- Net increase in cash: ₹197.56 lakhs
Related Party Transactions
Disclosed transactions with related parties including:
- MECHE PRIVATE LIMITED (Associate): Purchase of goods/services ₹175.42 lakhs
- Shree Tamboli Foundation (Associate): CSR contribution ₹13.85 lakhs
- Key management personnel remuneration totaling ₹188.21 lakhs
- Director sitting fees totaling ₹3.24 lakhs
Exceptional Item
Recognized exceptional item of ₹52.51 lakhs for incremental impact of implementation of four new Labour Codes effective 21st November 2025, which revised definition of wages and expanded social security benefits.
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