Key Financial Figures

Standalone and Consolidated Profit & Loss (₹ in Lakhs):

Quarter Ended March 31, 2026:

  • Revenue from Operations: ₹340.00
  • Other Income: ₹0.00
  • Total Income: ₹340.00
  • Total Expenses: ₹2982.93
  • Profit/(Loss) before tax: (₹2642.93)
  • Tax Expense: ₹0.00
  • Profit/(Loss) for the period: (₹2642.93)
  • Basic EPS: (₹1.69)
  • Diluted EPS: (₹1.69)

Year Ended March 31, 2026:

  • Revenue from Operations: ₹20,356.06
  • Other Income: ₹409.81
  • Total Income: ₹20,765.88
  • Total Expenses: ₹20,540.94
  • Profit/(Loss) before tax: ₹224.94
  • Tax Expense: ₹619.05
  • Profit/(Loss) for the period: (₹394.12)
  • Basic EPS: (₹0.25)
  • Diluted EPS: (₹0.25)

Comparative Figures (₹ in Lakhs):

Quarter Ended December 31, 2025:

  • Revenue from Operations: ₹0.00
  • Other Income: ₹409.81
  • Profit before tax: ₹408.53
  • Basic EPS: ₹4.65

Quarter Ended March 31, 2025:

  • Revenue from Operations: ₹3225.50
  • Profit before tax: ₹44.80
  • Basic EPS: ₹0.02

Year Ended March 31, 2025:

  • Revenue from Operations: ₹3370.91
  • Profit/(Loss) before tax: (₹42.70)
  • Basic EPS: (₹0.027)

Segment Reporting (₹ in Lakhs):

Business Segments for Year Ended March 31, 2026:

  • Agriculture Revenue: ₹20,765.88
  • IT Services Revenue: ₹0.00
  • Agriculture EBITDA: ₹224.94
  • IT Services EBITDA: ₹0.00
  • Agriculture PBT: ₹224.94
  • IT Services PBT: ₹0.00

Balance Sheet Position as at March 31, 2026 (₹ in Lakhs):

Standalone:

  • Total Assets: ₹16,239.34
  • Equity Share Capital: ₹15,592.75
  • Other Equity: (₹3,798.04)
  • Total Equity: ₹11,794.71
  • Total Liabilities: ₹4,444.63

Consolidated:

  • Total Assets: ₹16,244.34
  • Equity Share Capital: ₹15,592.75
  • Other Equity: (₹3,798.04)
  • Total Equity: ₹11,794.71
  • Total Liabilities: ₹4,449.63

Cash Flow Statement (Year Ended March 31, 2026):

Standalone:

  • Net cash from operating activities: ₹122.57
  • Net cash used in investing activities: (₹31.70)
  • Net cash used in financing activities: (₹101.00)
  • Net decrease in cash: (₹10.09)
  • Cash at end: ₹42.31

Consolidated:

  • Net cash from operating activities: ₹127.57
  • Net cash used in investing activities: (₹36.70)
  • Net cash used in financing activities: (₹101.00)
  • Net decrease in cash: (₹10.09)
  • Cash at end: ₹42.31

Audit and Governance

The financial results were:

  • Reviewed by the Audit Committee
  • Approved by the Board of Directors in their meeting held on May 30, 2026
  • Audited by Sarang Shivajirao Chavan and Associates, Chartered Accountants (FRN: 159649W)
  • Auditors expressed unqualified opinion for both standalone and consolidated results

Subsidiary Information

The consolidated results include Silverline Movie Media Private Limited as a subsidiary. However, Note 5 states: "The company does not have any Subsidiaries, Joint Ventures or Associate Companies as on March 31, 2026" - creating a discrepancy in the disclosure.

Additional Information

  • Paid-up Capital: ₹15,592.75 lakhs
  • The financial results prepared in accordance with Indian Accounting Standard (IND AS 34), Companies Act 2013, and SEBI (LODR) Regulations 2015
  • Figures for previous period/year regrouped/reclassified where necessary
  • No discontinued operations during the period
  • No exceptional items reported