Key Quantitative Figures
Financial Results for Year Ended 31 March 2026 (Amounts in ₹ Lakhs):
- Total Income: 360.97
- Revenue from Operations: 360.97
- Other Income: 0.02
- Total Expenses: 359.33
- Change in inventories of finished goods, work: (8.31)
- Employee benefits expense: 3.36
- Finance costs: 0.49
- Other expenses: 32.01
- Profit Before Tax: 16.35
- Tax Expense: 0.62
- Net Profit After Tax: 15.73
- Other Comprehensive Income: 0.00
- Total Comprehensive Income: 15.73
- Paid-up Equity Share Capital (Face value ₹10/-): 81.13
- Other Equity (excluding revaluation reserve): 315.92
- Earnings Per Share (Basic): ₹0.194
- Earnings Per Share (Diluted): ₹0.194
Financial Results for Half Year Ended 31 March 2026 (Amounts in ₹ Lakhs):
- Total Income: 307.34
- Revenue from Operations: 307.35
- Other Income: 0.02
- Total Expenses: 306.32
- Change in inventories of finished goods, work: (8.31)
- Employee benefits expense: 1.84
- Finance costs: 0.24
- Other expenses: 18.85
- Profit Before Tax: 16.35
- Tax Expense: 0.62
- Net Profit After Tax: 15.73
- Earnings Per Share (Basic): ₹0.194
- Earnings Per Share (Diluted): ₹0.194
Comparative Figures (Amounts in ₹ Lakhs):
- Previous Year (31 March 2025) Total Income: 238.55
- Previous Year (31 March 2025) Net Profit After Tax: 18.23
- Previous Year (31 March 2025) EPS (Basic): ₹0.225
Dates of Action
- Board Meeting Date: 05 June 2026
- Meeting Commencement: 07:00 P.M.
- Meeting Conclusion: 07:50 P.M.
- Financial Period: Year ended 31 March 2026
- Previous Comparative Period: Year ended 31 March 2025
Parties Involved
- Stock Exchange: BSE Limited
- Statutory Auditors: HCO & CO. Chartered Accountants (Firm Registration No. 001087C)
- Auditor Signatory: Neeraj Bansal, Partner (Membership No. 400248)
Financial Impact
Financial results have been quantified and presented in the disclosure. The company reported a net profit of ₹15.73 lakhs for the year ended 31 March 2026.
Capital Structure Impact
No change in share capital reported. Paid-up equity share capital remains at ₹81.13 lakhs (face value ₹10/- per share).
Cash Flow Implications
Cash Flow Statement for Year Ended 31 March 2026 (Amounts in ₹ Lakhs):
- Net Cash Flows from Operating Activities: (7.90)
- Net Cash Flows from Investing Activities: 0.00
- Net Cash Flows from Financing Activities: 0.00
- Net Increase/Decrease in Cash and Cash Equivalents: (7.90)
- Cash and Cash Equivalents at Beginning of Period: 16.46
- Cash and Cash Equivalents at End of Period: 8.56
Audit Details
- Statutory auditors issued an unmodified opinion on the standalone annual audited financial results
- Audit conducted in accordance with Standards on Auditing (SAs) specified under Section 143(10) of Companies Act, 2013
- Audit report dated 05 June 2026
- The results for half year ended 31 March 2026 are balancing figures between audited full year figures and reviewed half year ended 30 September 2025 figures
Other Information
- The figures for previous period have been regrouped/rearranged/reclassified wherever necessary
- Results updated on company's website: https://sblinfra.com/
- Corporate Office: B-2 1206 West Gate Business Bay, Opp Andaj Party Plot SG Highway Ahmedabad, Jivraj Park, Ahmedabad, Gujarat-380051