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Desco Infratech Profit Up, Operating Cash Flow Deep Negative

May 4, 2026 4 mins read Firehose Gupta

Desco Infratech Limited — Year ended 31st March, 2026 (Half Year ended 31st March, 2026; Half Year ended 30th September, 2025)

SN Particulars Half Year Ended 31-Mar-26 (Audited) Half Year Ended 30-Sep-25 (Unaudited) Half Year Ended 31-Mar-25 (Audited) Year Ended 31-Mar-26 (Audited) Year Ended 31-Mar-25 (Audited)
I Revenue from Operations 7,657.30 4,203.96 3,681.25 11,861.26 5,944.71
II Other Income -10.02 28.61 5.74 18.59 16.37
III TOTAL INCOME (I+II) 7,647.28 4,232.57 3,686.99 11,879.85 5,961.08
IV EXPENSES
Cost of Material Consumed 391.77 629.52 394.70 1,021.29 551.45
Purchase of Stock in trade
Changes in Inventories of finished goods, Stock in Trade and work in Progress
Employee Benefit Expenses 540.12 389.58 363.19 929.70 648.00
Finance Costs 92.13 61.40 74.06 153.53 119.43
Depreciation and Amortisation Expense 19.01 12.54 11.33 31.55 21.61
Other Expenses 5,239.05 2,314.58 2,074.90 7,553.63 3,410.74
IV TOTAL EXPENSES (IV) 6,282.08 3,407.62 2,918.18 9,689.70 4,751.23
V Profit before Exceptional Items and Tax (III)-(IV) 1,365.20 824.95 768.80 2,190.15 1,209.84
VI Prior Period Items -0.42 -0.54 -0.42 -0.54
VII Profit before Tax Expenses (V – VI) 1,364.78 824.95 768.26 2,189.73 1,209.30
VIII Tax Expenses
Current Tax 346.82 203.09 199.71 549.91 306.31
Deferred Tax -3.01 4.72 -12.22 1.71 -2.72
Income tax adjustment for earlier years
IX Net Profit for the period (VII – VIII) 1,020.98 617.14 580.77 1,638.12 905.71
Paid Up equity shares 76.76 76.76 56.42 76.76 56.42
Reserves excluding revaluation reserves as per balance sheet of previous accounting year
(ii) Income Tax Relating to Items that will not be reclassified to profit & Loss
X Earning per equity shares
Basic (Rs.) 13.30 8.04 10.29 21.34 16.05
Diluted (Rs.) 13.30 8.04 10.29 21.34 16.05
Particulars As at 31st March, 2026 (Audited) As at 31st March, 2025 (Audited)
EQUITY AND LIABILITIES
Shareholder’s Funds
Share Capital 767.60 767.60
Money received against share warrants 6,316.96 5,120.22
Reserves and Surplus
Total Shareholder’s Funds 7,084.56 5,887.82
Non-Current Liabilities
Long-term Borrowings 206.39 359.31
Deferred Tax Liabilities
Other Long Term Liabilities 1.22 1.22
Long Term Provisions 22.89 19.10
Total Non-Current Liabilities 230.50 379.63
Current Liabilities
Short Term Borrowings 1,215.64 788.30
Trade Payables
(i) Total Outstanding due of Creditors other than Micro Enterprises and Small Enterprises 1,037.84 437.17
(ii) Total Outstanding due to Micro Enterprises and Small Enterprises 166.32 190.98
Other Current Liabilities 400.01 360.79
Short Term Provisions 260.18 210.50
Total Current Liabilities 3,079.99 1,987.74
Total Equity & Liabilities 10,395.05 8,255.19
ASSETS
Non-Current Assets
Property, Plant & Equipment 373.27 157.70
Tangible Assets 0.00 0.00
Intangible Assets 0.00 0.83
Capital work-in-progress 0.00 0.00
Non-current investments 20.99 18.89
Deferred tax assets (net) 17.19 134.90
Long Term Loans and Advances 160.28 70.90
Other non-current assets 371.47 383.21
Total Non-Current Assets 943.20 383.21
Current Assets
Inventories 545.24 280.15
Trade Receivables 3,042.86 1,335.33
Cash and Cash Equivalents 69.26 3,117.48
Short-term loans and advances 197.60 537.10
Other Current Assets 5,596.89 2,601.92
Total Current Assets 9,451.85 7,871.98
Total Assets 10,395.05 8,255.19
Particulars Year Ended 31st March, 2026 (Audited) Year Ended 31st March, 2025 (Audited)
A) CASH FLOW FROM OPERATING ACTIVITIES
Net Profit before tax 2,189.73 1,209.30
Add: Depreciation & Amortization 31.55 21.61
Add: Financial expenses
Less: Interest income -19.96 -3.59
Other non cash item 0.83
Loss/(profit) on sale of fixed assets 3.77 2.06
Interest on loan 107.88 105.70
Loan processing charges 34.76 8.96
Operating Profit Before Working Capital Changes 2,348.55 1,344.04
(Increase) / Decrease in Inventory -265.08 -196.69
(Increase) / Decrease in sundry Debtors -1,707.53 141.39
(Increase) / Decrease in short term advances and loans 339.50 -466.41
(Increase) / Decrease in long term advances and loans -20.37 0.00
(Increase) / Decrease in other non-current assets -14.78 -7.37
Decrease / (Increase) in Long term provisions 3.78 5.51
Decrease / (Increase) in Trade payables 576.01 268.46
changes in trade payable due to bill discounting 399.92 0.00
Decrease / (Increase) in other current liabilities 39.21 51.33
(Increase) / Decrease in other current assets -2,994.96 -2,165.32
Decrease / (Increase) in short term provision -0.95 2.06
Cash generated from Operations -1,296.71 -1,023.00
Direct tax paid, net -499.27 -187.71
Net Cash from Operating Activities (A) -1,795.97 -1,210.71
B) CASH FLOW FROM INVESTMENTS ACTIVITIES
Payment for purchase of fixed asset including capital work in progress -253.10 -54.38
Proceeds from sale of fixed assets 2.20 6.25
Capital advances -5.01 -51.83
Investment in subsidiaries -20.99
Investment in Fixed Deposit -285.80 -7.85
Purchase of current investment 0.00 0.00
Proceeds from sale / maturity of current investments 0.00 0.00
Interest income 19.96 3.59
Net Cash Flow from Investing Activities (B) -542.73 -104.22
C) CASH FLOW FROM FINANCING ACTIVITIES
Proceeds from issuance of share capital 0.00 208.48
Addition in Security Premium 0.00 3,595.89
Share application money 0.00 0.00
Expenses on issue of equity shares -441.37 -33.70
Proceeds / (repayment) from short term borrowings, net 27.42 538.83
Proceeds / (repayment) from long term borrowings, net -152.92 202.42
Interest paid on long term and short term borrowing -107.88 -105.70
Loan processing charges paid -34.76 -8.96
Net Cash Flow from Financing Activities (C) -709.51 4,397.26
Net Increase/(Decrease) in Cash & Cash Equivalents (A+B+C) -3,048.22 3,082.31
Cash & Cash Equivalents at Beginning of the Year 3,117.48 35.17
Cash & Cash Equivalents at End of the Year 69.26 3,117.48
SN Particulars Half Year Ended 31-Mar-26 (Audited) Half Year Ended 30-Sep-25 (Unaudited) Half Year Ended 31-Mar-25 (Audited) Year Ended 31-Mar-26 (Audited) Year Ended 31-Mar-25 (Audited)
31-Mar-26 (Audited) 30-Sep-25 (Unaudited) 31-Mar-25 (Audited) 31-Mar-26 (Audited) 31-Mar-25 (Audited)
1 Segment Revenue
1) City Gas Distribution 4,130.61 4,193.44 3,681.25 8,324.04 5,944.71
2) Power Distribution 3,526.69 10.52 3,537.22 3,557.72
Total 7,657.30 4,203.96 7,218.47 11,861.26 5,944.71
2 Revenue From Operation
3 Segment Results (Profit/Loss) Before Exceptional Items And Tax And Interest
1) City Gas Distribution 995.24 856.33 1,851.57 2,707.91 1,312.36
2) Power Distribution 471.69 1.41 473.10 474.80
Total 1,466.93 857.74 2,324.67 3,182.71 1,312.36
4 Add: Other Income
5 Less: Interest -10.02
6 Total Profit/(Loss) Before Tax 1,364.78 858.15 2,189.73 3,317.91 1,312.36
7 Segment Assets
1) City Gas Distribution 7,965.73 7,973.16 9,537.16 17,938.89 8,255.19
2) Power Distribution 12.42 7,978.15 857.89 8,835.91 2,367.37
Total Segment Assets 7,978.15 15,951.31 10,395.05 26,774.8 10,622.56
8 Segment Liabilities
1) City Gas Distribution 1,835.63 1,841.33 3,261.57 5,097.20 2,367.37
2) Power Distribution 5.70 48.92 48.92
Total Segment Liabilities 1,841.33 1,841.33 3,310.49 5,146.12 2,367.37
SN Particulars Half Year Ended 31-Mar-26 (Audited) Half Year Ended 30-Sep-25 (UnAudited) Half Year Ended 31-Mar-25 (Audited) Year Ended 31-Mar-26 (Audited) Year Ended 31-Mar-25 (Audited)
31-Mar-26 (Audited) 30-Sep-25 (UnAudited) 31-Mar-25 (Audited) 31-Mar-26 (Audited) 31-Mar-25 (Audited)
I Revenue from Operations 7,657.30 4,203.96 3,681.25 11,861.26 5,944.71
II Other Income -11.01 28.61 5.74 17.60 16.37
III TOTAL INCOME (I+II) 7,646.29 4,232.57 3,686.99 11,878.86 5,961.08
IV EXPENSES
Cost of Material Consumed 391.77 629.52 394.70 1,021.29 551.45
Purchase of Stock in trade
Changes in Inventories of finished goods, Stock in Trade and work in Progress
Employee Benefit Expenses 541.34 389.58 363.19 930.92 648.00
Finance Costs 92.13 61.40 74.06 153.