Board Meeting Details
The Board of Directors meeting was held at the Registered Office of the Company (Plot No 135A, 1st Floor, Chandran Nagar Main Road, Chromepet, Chennai - 600044). The meeting commenced at 10:15 PM and concluded at 10:45 PM on June 09, 2026.
Key Decisions Approved
The Board considered and approved:
- Standalone Audited Financial Results for the Quarter and Financial Year ended March 31, 2026
- Statement of Profit & Loss for the financial year ended March 31, 2026
- Statement of Assets & Liabilities for the financial year ended March 31, 2026
- Statement of Cash Flow for the financial year ended March 31, 2026
Audit Review and Certification
The results were duly reviewed by the Audit Committee and audited by K. S. Subrahmanyam & Co., Chartered Accountants (M. No.: 018630), Statutory Auditors of the Company. The auditors issued an Audit Report with unmodified opinion on the Standalone Audited Financial Results.
Financial Results Summary (in ₹ crore)
Quarterly Performance (Q4 FY26 vs Q4 FY25)
- Revenue From Operations: ₹1.41 (vs ₹2.10 in Q4 FY25)
- Total Income: ₹1.41 (vs ₹2.10 in Q4 FY25)
- Employee Benefits Expense: ₹0.85 (vs ₹0.85 in Q4 FY25)
- Other Expenses: ₹1.26 (vs ₹1.21 in Q4 FY25)
- Profit/(Loss) Before Tax: (₹0.70) (vs ₹0.04 in Q4 FY25)
- Net Profit/(Loss): (₹0.70) (vs ₹0.04 in Q4 FY25)
Annual Performance (FY26 vs FY25)
- Revenue From Operations: ₹9.53 (vs ₹2.25 in FY25)
- Total Income: ₹9.53 (vs ₹2.25 in FY25)
- Employee Benefits Expense: ₹4.20 (vs ₹1.30 in FY25)
- Other Expenses: ₹5.75 (vs ₹2.35 in FY25)
- Profit/(Loss) Before Tax: (₹0.41) (vs ₹(2.90) in FY25)
- Net Profit/(Loss): (₹0.41) (vs ₹(2.90) in FY25)
Earnings Per Share (EPS)
For Continuing Operations:
- Basic EPS: (₹0.00) for both Q4 FY26 and FY26
- Diluted EPS: (₹0.00) for both Q4 FY26 and FY26
Statement of Assets and Liabilities (as at 31st March 2026)
Assets (in ₹ crore)
- Non-Current Assets: ₹6,299.20
- Investments: ₹644.80
- Loans: ₹5,654.40
- Current Assets: ₹6,009.90
- Inventories: ₹1,260.15
- Trade Receivables: ₹1,530.43
- Cash & Bank Balance: ₹12.88
- Other Financial Assets: ₹3,206.44
- Total Assets: ₹12,309.10
Equity & Liabilities (in ₹ crore)
- Equity Share Capital: ₹11,410.00
- Other Equity: ₹724.42
- Total Equity: ₹12,134.42
- Current Liabilities: ₹174.68
- Borrowings: ₹133.50
- Trade Payables: ₹41.18
- Total Equity and Liabilities: ₹12,309.10
Cash Flow Statement (for year ended 31st March 2026)
- Net Profit before tax: (₹0.41)
- Net cash from operating activities: ₹0.25
- Opening Cash & Cash Equivalent: ₹13.05
- Closing Cash & Cash Equivalent: ₹12.88
- Net decrease in Cash & Cash Equivalent: (₹0.16)