Financial Results Overview

The Board of Directors meeting held on 27th May, 2026 (4:00 PM to 5:00 PM) approved the Audited Standalone Financial Results for the quarter and year ended 31st March, 2026.

Key Financial Figures (₹ in Lakhs)

Income Statement:

  • Total Revenue from Operations (FY2026): ₹1,616.41 lakhs
  • Interest Income: ₹846.13 lakhs
  • Sale of Shares: ₹542.84 lakhs
  • Other Operating Income: ₹327.44 lakhs
  • Other Income (FY2026): ₹125.79 lakhs
  • Total Income (FY2026): ₹1,628.99 lakhs
  • Total Expenses (FY2026): ₹962.55 lakhs
  • Finance Costs: ₹61.77 lakhs
  • Fees and Commission Expense: ₹137.00 lakhs
  • Impairment of financial instruments: ₹510.27 lakhs
  • Employee Benefits Expense: ₹163.22 lakhs
  • Depreciation and Amortization: ₹193.06 lakhs
  • Other expenses: ₹369.77 lakhs
  • Profit before tax (FY2026): ₹666.44 lakhs
  • Tax expense (FY2026): ₹263.65 lakhs
  • Current Tax: ₹187.93 lakhs
  • Income Tax Adjustment: ₹10.51 lakhs
  • Deferred Tax: ₹65.21 lakhs (credit)
  • Profit for the year (FY2026): ₹402.79 lakhs
  • Other Comprehensive Income (FY2026): ₹(0.69) lakhs
  • Total Comprehensive Income (FY2026): ₹402.10 lakhs
  • Earnings Per Share (FY2026): Basic ₹2.54, Diluted ₹2.54

Quarterly Performance (Q4 FY2026):

  • Profit for the quarter: ₹174.38 lakhs
  • EPS (Basic and Diluted): ₹0.92 (not annualized)

Balance Sheet Position (as at 31st March, 2026)

  • Total Assets: ₹4,234.31 lakhs
  • Financial Assets: ₹3,742.87 lakhs
  • Bank balances: ₹112.58 lakhs
  • Investments: ₹3,565.30 lakhs
  • Other Financial Assets: ₹166.09 lakhs
  • Non-Financial Assets: ₹491.44 lakhs
  • Current Tax Assets: ₹110.69 lakhs
  • Property, Plant and Equipment: ₹11.39 lakhs
  • Other Non-Financial Assets: ₹369.36 lakhs
  • Total Liabilities and Equity: ₹4,234.31 lakhs
  • Financial Liabilities: ₹335.17 lakhs
  • Other Financial Liabilities: ₹1,070.53 lakhs
  • Non-Financial Liabilities: ₹1,039.70 lakhs
  • Equity: ₹2,788.91 lakhs
  • Equity Share Capital: ₹951.19 lakhs
  • Other Equity: ₹1,837.72 lakhs

Cash Flow Statement (FY2026)

  • Net Cash from Operating Activities: ₹(864.13) lakhs
  • Net Cash from Investing Activities: ₹55.57 lakhs
  • Net Cash from Financing Activities: ₹(277.13) lakhs
  • Net decrease in Cash and Equivalents: ₹(679.32) lakhs
  • Cash and Equivalents at year-end: ₹112.58 lakhs

Declaration

Mr. Udai Kothari, Chairman & Managing Director, provided declaration pursuant to Regulation 33(3)(d) of SEBI (LODR) Regulations, 2015 confirming the unmodified audit opinion.

Related Party Transactions

Annexure-A details related party transactions for the half-year ended March 31, 2026, including transactions with key management personnel and related entities.

Availability of Results

The results are available on the company website (www.uyfincorp.com), BSE (www.bseindia.com) and NSE (www.nseindia.com), and will be published in newspapers pursuant to Regulation 47(1)(b) of SEBI (LODR) Regulations, 2015.

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