Summary of Key Information:
Reporting Period (Quarter/Year): Quarter and Financial Year ended March 31, 2026
Nature of Filing / Announcement: Outcome of Board Meeting under Regulation 30 and Financial Results under Regulation 33 of SEBI (LODR) 2015
Date of Board Meeting / Approval: May 27, 2026 (Meeting commenced at 04:40 PM and concluded at 09:30 PM)
Audit Opinion: Unmodified opinion [Clean]
Auditor’s Comment: Statutory Auditors, M/s. Suryanarayana Reddy & Co., issued audit reports with unmodified opinion. Attention was drawn to: 1) Write-off of receivables amounting to ₹723.48 million and write-back of liabilities totaling ₹68.40 million. 2) Deductions by NHAI of ₹2,509.46 million from annuities to a subsidiary (Srinagar Banihal Expressway Limited), against which arbitration proceedings are initiated. 3) Termination of project affecting the going concern nature of subsidiary Hospet Chitradurga Tollways Limited.
Key Financial Highlights [₹ in Million]
Standalone Results:
Revenue from Operations: Q4 FY26: ₹4,273.94; FY26: ₹16,789.27
Total Income: Q4 FY26: ₹4,784.70; FY26: ₹18,574.36
Net Profit: Q4 FY26: ₹1,542.72; FY26: ₹3,318.80
EPS (Basic) (₹): Q4 FY26: 22.29; FY26: 47.96
Other Equity: As of Mar 31, 2026: ₹17,309.58; As of Mar 31, 2025: ₹13,981.56
Cash and Cash Equivalents: As of Mar 31, 2026: ₹1,240.69; As of Mar 31, 2025: ₹391.35
Debt: Not fully specified in standalone context. Borrowings (Non-current + Current): As of Mar 31, 2026: ₹3,526.22; As of Mar 31, 2025: ₹4,297.93
Consolidated Results:
Revenue from Operations: Q4 FY26: ₹5,066.75; FY26: ₹18,464.78
Total Income: Q4 FY26: ₹5,216.63; FY26: ₹20,415.40
Net Profit: Q4 FY26: ₹521.15; FY26: ₹2,827.75
Net Profit Attributable to Owners: Q4 FY26: ₹429.46; FY26: ₹2,710.61
EPS (Basic) (₹): Q4 FY26: 6.21; FY26: 39.17
Other Equity: As of Mar 31, 2026: ₹20,932.14; As of Mar 31, 2025: ₹18,263.90
Cash and Cash Equivalents: As of Mar 31, 2026: ₹1,488.93; As of Mar 31, 2025: ₹670.36
Debt: Borrowings (Non-current + Current): As of Mar 31, 2026: ₹5,911.83; As of Mar 31, 2025: ₹5,702.98
Segment-wise Performance [₹ in Million] (Consolidated):
Construction Business:
- Segment Revenue (FY26): ₹16,789.27
- Segment Profit before tax & interest (FY26): ₹2,161.14
Developer Business:
- Segment Revenue (FY26): ₹6,339.03
- Segment (Loss) before tax & interest (FY26): (₹431.68)
Corporate Actions:
Dividend: Approved payment of final dividend @ 10% on the nominal value of equity share of ₹10 each for FY 2025-26. [To be sent to members for approval].
Other Significant Information:
Subsidiary Incorporation: Approved incorporation of a subsidiary in United Arab Emirates (UAE) to foray into Water and Waste Water sector and other Infrastructure Works.
Merger: National Company Law Tribunal (NCLT) approved the scheme of amalgamation for the merger of two wholly owned subsidiaries, Sehore Kosmi Tollways Limited and Ramky Elsamex Hyderabad Ring Road Limited, with the appointed date as April 01, 2024.
Exceptional Items:
- Standalone: Gain of ₹1,560.60 million on sale of 51% equity stake in subsidiary Visakha Pharmacity Limited.
- Consolidated: Gain of ₹594.60 million on sale of 51% equity stake in subsidiary Visakha Pharmacity Limited.
Receivables/Liabilities Adjustment: Wrote off receivables aggregating ₹723.48 million and wrote back liabilities/provisions amounting to ₹68.40 million.
Subsidiary Update: Visakha Pharmacity Limited ceased to be a subsidiary wef March 30, 2026.