Key Financial Figures - Standalone Results
For Quarter Ended March 31, 2026:
- Revenue from operations: ₹1,864.66 lakh
- Other income: ₹14.51 lakh
- Total revenue: ₹1,879.17 lakh
- Total expenses: ₹1,857.27 lakh
- Profit before tax: ₹21.90 lakh
- Tax expense: ₹8.54 lakh (Current tax)
- Deferred tax: (₹0.33) lakh
- Net profit: ₹13.69 lakh
- EPS (not annualized): ₹0.01
- EPS (annualized): ₹0.03
- Paid-up equity share capital: ₹2,113.58 lakh
- Face value per share: ₹1.00
For Year Ended March 31, 2026:
- Revenue from operations: ₹5,349.48 lakh
- Other income: ₹48.28 lakh
- Total revenue: ₹5,397.76 lakh
- Total expenses: ₹5,341.34 lakh
- Profit before tax: ₹56.42 lakh
- Tax expense: ₹18.98 lakh (Current tax)
- Deferred tax: (₹0.25) lakh
- Net profit: ₹37.69 lakh
- EPS: ₹0.02
- Paid-up equity share capital: ₹2,113.58 lakh
- Face value per share: ₹1.00
Standalone Assets and Liabilities (as of March 31, 2026)
- Total assets: ₹4,749.80 lakh
- Equity share capital: ₹2,113.59 lakh
- Other equity: ₹1,088.33 lakh
- Total liabilities: ₹593.26 lakh (Non-current) + ₹961.86 lakh (Current) = ₹1,555.12 lakh
Standalone Cash Flow Statement (FY26)
- Net cash from operating activities: ₹687.89 lakh
- Net cash used in investing activities: (₹302.46) lakh
- Net cash used in financing activities: (₹384.94) lakh
- Net increase in cash: ₹0.49 lakh
- Cash and cash equivalents at year-end: ₹1.43 lakh
Key Financial Figures - Consolidated Results
For Quarter Ended March 31, 2026:
- Revenue from operations: ₹4,472.32 lakh
- Other income: ₹71.46 lakh
- Total revenue: ₹4,543.78 lakh
- Total expenses: ₹4,635.72 lakh
- Loss before tax: (₹91.93) lakh
- Tax benefit: (₹56.04) lakh
- Deferred tax: ₹3.82 lakh
- Net loss: (₹39.71) lakh
- Non-controlling interest: (₹202.94) lakh
- Total net loss: (₹242.65) lakh
- EPS (not annualized): (₹0.11)
- EPS (annualized): (₹0.46)
For Year Ended March 31, 2026:
- Revenue from operations: ₹12,915.12 lakh
- Other income: ₹248.40 lakh
- Total revenue: ₹13,163.52 lakh
- Total expenses: ₹12,706.61 lakh
- Profit before tax: ₹456.92 lakh
- Tax expense: ₹71.93 lakh (Current tax)
- Prior year tax: (₹8.31) lakh
- Deferred tax: Not specified
- Net profit: ₹393.30 lakh
- Non-controlling interest: (₹202.94) lakh
- Total net profit: ₹190.36 lakh
- EPS: ₹1.80
Consolidated Assets and Liabilities (as of March 31, 2026)
- Total assets: ₹11,927.63 lakh
- Equity share capital: ₹2,113.59 lakh
- Other equity: ₹3,663.13 lakh
- Non-controlling interest: ₹2,353.05 lakh
- Total liabilities: ₹906.29 lakh (Non-current) + Not fully specified (Current)
Consolidated Cash Flow Statement (FY26)
- Net cash used in operating activities: (₹927.02) lakh
- Net cash used in investing activities: (₹436.60) lakh
- Net cash from financing activities: ₹1,370.14 lakh
- Net increase in cash: ₹6.53 lakh
- Cash and cash equivalents at year-end: ₹10.41 lakh
Audit and Compliance Details
The statutory auditors, B.B. Gusani & Associates, issued unmodified audit opinions on both the standalone and consolidated financial results. The audit committee reviewed and the board approved the results on May 26, 2026.
The consolidated results include the subsidiary Narmadesh Brass Industries Limited. The company has a single reportable business segment.
Additional Information
The board meeting commenced at 8:00 PM and concluded at 9:00 PM on May 26, 2026. The results have been disseminated on the company's website at https://sprayking.co.in/.