Board Meeting Details

A meeting of the Board of Directors was held on Saturday, May 30, 2026, commencing at 6:00 PM and concluding at 9:00 PM.

Key Financial Figures - Standalone (in ₹ Lakhs)

Quarterly Performance (Q4 FY26 vs Q4 FY25)

  • Revenue from Operations: ₹4,627.34 (vs ₹5,508.56 in Q4 FY25)
  • Total Income: ₹4,667.32 (vs ₹5,538.74 in Q4 FY25)
  • Profit Before Tax: ₹367.68 (vs ₹440.70 in Q4 FY25)
  • Profit After Tax: ₹306.62 (vs ₹311.18 in Q4 FY25)
  • Total Comprehensive Income: ₹312.66 (vs ₹290.93 in Q4 FY25)
  • Basic EPS: ₹1.32 (vs ₹1.66 in Q4 FY25)
  • Diluted EPS: ₹1.32 (vs ₹1.96 in Q4 FY25)

Annual Performance (FY26 vs FY25)

  • Revenue from Operations: ₹20,004.16 (vs ₹16,884.31 in FY25) - 18.5% growth
  • Total Income: ₹20,154.21 (vs ₹17,127.64 in FY25)
  • Profit Before Tax: ₹1,717.97 (vs ₹1,595.32 in FY25)
  • Profit After Tax: ₹1,344.93 (vs ₹1,175.22 in FY25) - 14.4% growth
  • Total Comprehensive Income: ₹1,350.97 (vs ₹1,154.97 in FY25)
  • Basic EPS: ₹7.71 (vs ₹6.61 in FY25)
  • Diluted EPS: ₹7.71 (vs ₹7.80 in FY25)

Tax Expenses (FY26)

  • Current Tax: ₹329.70 lakhs
  • Deferred Tax: ₹3.20 lakhs
  • Prior Period Tax: ₹40.14 lakhs
  • Total Tax Expense: ₹373.04 lakhs

Key Financial Figures - Consolidated (in ₹ Lakhs)

Quarterly Performance (Q4 FY26)

  • Profit Before Tax: ₹489.18
  • Profit After Tax: ₹392.96
  • Total Comprehensive Income: ₹401.27
  • Basic EPS: ₹2.10
  • Diluted EPS: ₹2.10

Annual Performance (FY26)

  • Profit Before Tax: ₹1,926.61
  • Profit After Tax: ₹1,483.52
  • Total Comprehensive Income: ₹1,482.02
  • Basic EPS: ₹4.54
  • Diluted EPS: ₹4.54

Balance Sheet Highlights (Standalone as at March 31, 2026)

  • Total Assets: ₹21,901.27 lakhs
  • Current Assets: ₹14,689.96 lakhs (including Inventories: ₹6,585.25 lakhs, Trade Receivables: ₹3,784.43 lakhs)
  • Non-current Assets: ₹7,211.31 lakhs
  • Total Equity: ₹14,683.26 lakhs
  • Current Liabilities: ₹6,621.47 lakhs
  • Non-current Liabilities: ₹596.54 lakhs

Cash Flow Statement (Standalone FY26)

  • Net Cash from Operating Activities: (₹764.05) lakhs
  • Net Cash from Investing Activities: (₹1,310.08) lakhs
  • Net Cash from Financing Activities: ₹2,392.66 lakhs
  • Net Increase in Cash: ₹318.53 lakhs
  • Cash and Cash Equivalents at year-end: ₹353.23 lakhs

Dividend Information

During the year, the company declared and paid dividend amounting to ₹32.97 lakhs.

Auditor Qualifications

1. The company is in a highly technical business field with inventory managed at various locations. The final value of inventory has been calculated and certified by management due to its technical nature (various types, sizes, grades). The auditors were unable to cross-confirm the same.

2. For consolidated results, the financial results of joint venture (PIGL GEPL JV) and subsidiary (Peaton Electricals Company Limited) are unaudited. The consolidated results include the group's share of profit of ₹2.31 lakhs for the quarter and ₹2.94 lakhs for the year from the joint venture, and ₹87.61 lakhs for the quarter and ₹128.10 lakhs for the year from the subsidiary.

Segment Information

The company operates in one segment namely "Electrical Contracting" and therefore segment reporting as required under IndAS-108 is not applicable.