Key Financial Figures - Consolidated Results

Income Statement (Year Ended 31st March 2026)

  • Net Revenue from Operations: ₹97.21 crore (FY25: ₹59.00 crore)
  • Other Income: ₹2.88 crore (FY25: ₹5.88 crore)
  • Total Income: ₹100.00 crore (FY25: ₹64.88 crore)
  • Cost of Materials Consumed: ₹73.91 crore (FY25: ₹45.08 crore)
  • Employee Benefits Expense: ₹5.47 crore (FY25: ₹4.59 crore)
  • Finance Costs: ₹14.24 crore (FY25: ₹12.37 crore)
  • Depreciation and Amortization: ₹2.95 crore (FY25: ₹3.21 crore)
  • Other Expenses: ₹48.76 crore (FY25: ₹57.94 crore)
  • Profit Before Tax: ₹120.16 crore (FY25: ₹31.58 crore)
  • Tax Expense: ₹31.53 crore (Current Tax: ₹31.35 crore, Deferred Tax: ₹0.19 crore)
  • Net Profit for the Period: ₹88.63 crore (FY25: ₹23.85 crore)
  • Earnings Per Share (Basic & Diluted): ₹2.79 (FY25: ₹1.02)

Balance Sheet (As at 31st March 2026)

  • Total Assets: ₹249.39 crore (FY25: ₹174.93 crore)
  • Non-Current Assets: ₹24.73 crore (Property, Plant & Equipment: ₹20.98 crore)
  • Current Assets: ₹224.67 crore (Inventories: ₹104.19 crore, Trade Receivables: ₹30.08 crore, Cash & Cash Equivalents: ₹5.26 crore)
  • Equity: ₹93.24 crore (Equity Share Capital: ₹12.76 crore, Other Equity: ₹68.74 crore)
  • Non-Current Liabilities: ₹77.23 crore (Borrowings: ₹67.97 crore)
  • Current Liabilities: ₹78.92 crore (Borrowings: ₹48.44 crore, Trade Payables: ₹19.65 crore)

Cash Flow Statement (Year Ended 31st March 2026)

  • Net Cash from Operating Activities: ₹(201.45) lakh
  • Net Cash from Investing Activities: ₹(81.64) lakh
  • Net Cash from Financing Activities: ₹294.17 lakh
  • Net Increase in Cash: ₹11.08 lakh
  • Cash at End of Period: ₹5.26 crore

Key Financial Figures - Standalone Results

Income Statement (Year Ended 31st March 2026)

  • Net Revenue from Operations: ₹75.29 crore
  • Profit Before Tax: ₹58.82 crore
  • Net Profit for the Period: ₹43.04 crore
  • Earnings Per Share (Basic & Diluted): ₹1.69

Balance Sheet (As at 31st March 2026)

  • Total Assets: ₹204.84 crore
  • Equity Share Capital: ₹12.76 crore
  • Total Liabilities: ₹135.82 crore

Board Meeting Details

  • Meeting held on 30th May 2026
  • Started at 6:00 PM and concluded at 6:30 PM
  • Results approved by the Board of Directors and reviewed by the Audit Committee

Entity Coverage

The consolidated results include:

  • Holding Company: Marble City India Limited
  • Subsidiary: Mega Surfaces and Lifestyle Private Limited

Additional Information

  • Business activity falls within a single primary business segment with no reportable segments
  • Previous period figures have been regrouped/rearranged where necessary
  • Company will be sending future communications electronically under the "Green Initiative in Corporate Governance"