Date: August 11, 2026

Resubmission Details

Virtuoso Optoelectronics Limited is resubmitting its audited financial results for the quarter and year ended March 31, 2026 due to inadvertent clerical oversight in the original submission dated May 29, 2026. The revisions include:

  • Reclassification of "Current Investments" (₹718.33 lakh) to "Other Financial Assets" under Indian Accounting Standards (Ind AS), resulting in ₹10,212.44 lakh disclosed under Other Financial Assets
  • Adjustment of income tax provision to net basis after TDS and advance tax adjustments, changing from ₹647.36 lakh to ₹157.96 lakh

The company confirms these changes are limited to classification, regrouping and presentation adjustments with no impact on the Financial Results.

Financial Results (Standalone)

Quarter Ended March 31, 2026:

  • Revenue from operations: ₹33,129.69 lakh
  • Other Income: ₹178.42 lakh
  • Total Income: ₹33,308.11 lakh
  • Profit before tax: ₹730.59 lakh
  • Profit for the year: ₹546.91 lakh
  • Basic EPS: ₹1.78
  • Diluted EPS: ₹1.78

Year Ended March 31, 2026:

  • Revenue from operations: ₹83,481.21 lakh (vs. ₹69,720.07 lakh in FY25)
  • Other Income: ₹351.93 lakh (vs. ₹504.44 lakh in FY25)
  • Total Income: ₹83,833.14 lakh (vs. ₹70,224.50 lakh in FY25)
  • Profit before tax: ₹2,560.76 lakh (vs. ₹2,337.41 lakh in FY25)
  • Profit for the year: ₹1,578.70 lakh (vs. ₹1,254.73 lakh in FY25)
  • Total comprehensive income: ₹1,592.91 lakh (vs. ₹1,256.49 lakh in FY25)

Statement of Standalone Assets and Liabilities (March 31, 2026)

Assets:

  • Total Assets: ₹94,034.20 lakh
  • Non-Current Assets: ₹50,668.50 lakh
  • Current Assets: ₹43,365.70 lakh
  • Inventories: ₹21,866.10 lakh
  • Trade receivables: ₹9,768.70 lakh
  • Cash and cash equivalents: ₹56.60 lakh
  • Other financial assets: ₹10,212.44 lakh
  • Other current assets: ₹1,461.86 lakh

Equity and Liabilities:

  • Total Equity: ₹41,332.73 lakh
  • Equity share capital: ₹3,183.31 lakh
  • Other equity: ₹37,316.09 lakh
  • Money Received against Share Warrants: ₹833.33 lakh
  • Total Liabilities: ₹52,701.46 lakh
  • Non-Current Liabilities: ₹19,200.65 lakh
  • Borrowings: ₹11,808.96 lakh
  • Lease liabilities: ₹5,660.87 lakh
  • Provisions: ₹73.42 lakh
  • Deferred tax liabilities: ₹1,657.40 lakh
  • Current Liabilities: ₹33,500.82 lakh
  • Short term Borrowings: ₹14,957.08 lakh
  • Lease liabilities: ₹1,014.17 lakh
  • Trade payables: ₹15,208.81 lakh
  • Other financial liabilities: ₹647.36 lakh (revised to ₹157.96 lakh)
  • Other current liabilities: ₹94.82 lakh
  • Provisions: ₹1,420.63 lakh

Standalone Statement of Cash Flows (FY26)

  • Cash Flow from Operating Activities: ₹319.60 lakh
  • Cash Flow from Investing Activities: (₹16,992.67) lakh
  • Cash Flow from Financing Activities: ₹16,520.35 lakh
  • Net decrease in Cash & Cash Equivalents: (₹152.73) lakh
  • Cash and Cash Equivalents at year end: ₹56.60 lakh

Consolidated Financial Results

Year Ended March 31, 2026:

  • Revenue from operations: Consolidated figures not fully specified
  • Profit before tax: ₹2,451.02 lakh (vs. ₹2,320.56 lakh in FY25)
  • Profit for the year: ₹1,502.53 lakh (vs. ₹1,227.84 lakh in FY25)
  • Total comprehensive income: ₹1,516.74 lakh (vs. ₹1,229.60 lakh in FY25)
  • Basic EPS: ₹5.00

Consolidated Assets and Liabilities (March 31, 2026):

  • Total Assets: ₹96,933.39 lakh
  • Total Equity: ₹41,236.91 lakh
  • Total Liabilities: ₹55,696.48 lakh

Other Disclosures

No material disclosures under KMP/Board changes, Dividend declaration, or other strategic actions.