Financial Performance (Quarter Ended 30.06.2026)
- Revenue from operations: ₹180.43 lakhs
- Other income: ₹8.71 lakhs
- Total revenue: ₹189.14 lakhs
- Cost of materials consumed: ₹114.31 lakhs
- Employee benefits expense: ₹4.89 lakhs
- Finance costs: ₹0.74 lakhs
- Depreciation and amortization expense: ₹6.86 lakhs
- Other expenses: ₹26.91 lakhs
- Total expenses: ₹153.71 lakhs
- Profit/(Loss) before tax: ₹35.43 lakhs
- Tax expenses: ₹44.33 lakhs (Current tax: ₹0.68 lakhs, Deferred tax: ₹43.65 lakhs)
- Profit/(Loss) after tax: ₹(8.90) lakhs
- Total comprehensive income/(loss): ₹(9.39) lakhs
- EPS (Basic & Diluted): ₹(0.58) per share (not annualized)
Comparative Financials
Quarter Ended 30.06.2025 (Previous Year):
- Revenue from operations: ₹248.00 lakhs
- Total revenue: ₹252.40 lakhs
- Profit before tax: ₹50.21 lakhs
- Profit after tax: ₹23.40 lakhs
- EPS: ₹0.69 per share
Quarter Ended 31.03.2026 (Previous Quarter):
- Revenue from operations: ₹487.77 lakhs
- Total revenue: ₹511.58 lakhs
- Loss before tax: ₹(51.13) lakhs
- Loss after tax: ₹(51.13) lakhs
- EPS: ₹(1.87) per share
Business Operations
- Company manufactures steel, stainless steel ropes, railway electrification equipment, OHE fittings for transmission lines and allied products
- Single operating segment under Ind AS-108
- Administrative office: 503-505, 5th Floor, Shiv Ashish Commercial Complex, Plot No. 10, 19th Road, Chembur, Mumbai - 400071
- Plant: 183-184,185, K.I.D.C., Village Dheku, Taluka-Khalapur, Khopoli-411203, Dist. Raigad, Maharashtra
Notes
- Previous period figures have been regrouped or rearranged where necessary
- Figures for quarter ended March 31, 2026 are balancing figures between audited annual figures and published year-to-date figures
- Paid-up equity share capital: ₹331.15 lakhs (face value ₹10/- per share)