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Brigade Enterprises: Profit up to ₹19.1 crore in Q4 FY26

May 6, 2026 4 mins read Firehose Gupta

Brigade Enterprises Limited — quarter ended 31 March 2026 and year ended 31 March 2026

Sl. No Particulars Quarter ended 31.03.2026 [Refer Note 2] Preceding quarter ended 31.12.2025 [Unaudited] Corresponding quarter ended 31.03.2025 [Refer Note 2] Year ended 31.03.2026 [Audited] Year ended 31.03.2025 [Audited]
1 Income
(a) Revenue from operations 1,45,760 1,57,511 1,46,039 5,69,722 5,07,421
(b) Other income 6,551 4,807 7,190 21,179 23,933
Total income 1,52,311 1,62,318 1,53,229 5,90,901 5,31,354
2 Expenses
(a) Sub-contractor costs 41,057 43,477 44,707 1,81,531 1,53,368
(b) Cost of raw materials, components and stores consumed 28,139 15,602 15,760 78,351 50,444
(c) Land purchase cost (including development rights) 1,14,134 1,27,920 2,65,290 1,62,672
(d) Purchase of stock-in-trade 2,331 2,331
(e) Changes in inventories of stock of flats, land stock, stock-in-trade and work-in-progress (1,20,869) 18,953 (1,21,702) (2,56,813) (1,34,804)
(f) License fees and plan approval charges 4,654 1,657 4,180 12,567 14,765
(g) Architect and consultancy fees 2,560 1,131 1,230 6,296 5,364
(h) Employee benefits expense 13,192 12,297 11,017 48,186 40,473
(i) Finance costs 11,169 8,986 10,660 40,944 49,549
(j) Depreciation and amortisation expense 8,018 8,010 7,563 31,237 28,878
(k) Other expenses 26,421 20,972 21,329 89,250 73,718
Total expenses 1,28,475 1,33,416 1,22,664 4,99,170 4,44,427
3 Profit before share of profit / (loss) of joint venture, exceptional items and tax (1-2) 23,836 28,902 30,565 91,731 86,927
4 Share of profit/(loss) of joint venture 123 (29) 37
5 Profit before exceptional items and tax (3+4) 23,959 28,873 30,565 91,768 86,927
6 Exceptional items (refer note 12) 530 (1,910) (1,380)
7 Profit before tax (5+6) 24,489 26,963 30,565 90,388 86,927
8 Tax expense (*)
(a) Current tax (Including tax for earlier years) 13,068 7,249 9,017 45,629 30,292
(b) Deferred tax (credit) (7,649) (869) (3,387) (27,717) (11,412)
Total tax expense 5,419 6,380 5,630 17,912 18,880
9 Profit for the period / year (7-8) 19,070 20,583 24,935 72,476 68,047
Attributable to:
(i) owners of the holding company 14,549 18,652 24,683 64,439 68,576
(ii) non-controlling interests 4,521 1,931 252 8,037 (529)
10 Other comprehensive income
Items that will not be reclassified to profit or loss
Re-measurement gain /(losses) on defined benefit plans 390 (18) (548) 371 (548)
Income tax relating to above (62) 4 119 (58) 119
Total other comprehensive income/(loss), net of tax 328 (14) (429) 313 (429)
Attributable to:
(i) owners of the holding company 322 (19) (425) 302 (425)
(ii) non-controlling interests 6 5 (4) 11 (4)
11 Total comprehensive income for the period / year (9+10) 19,398 20,569 24,506 72,789 67,618
Attributable to:
(i) owners of the holding company 14,871 18,633 24,258 64,741 68,151
(ii) non-controlling interests 4,527 1,936 248 8,048 (533)
12 Earnings per equity share (in ₹) (of ₹ 10/- each) (not annualised except for the year end):
(a) Basic 5.95
(b) Diluted
Sl. No Particulars As at 31.03.2026 [Audited] As at 31.03.2025 [Audited]
A ASSETS
i Non-current assets
(a) Property, plant and equipment 1,05,663 99,233
(b) Capital work-in-progress 21,592 13,784
(c) Investment properties 4,07,518 4,08,102
(d) Investment property under development 3,36,783 1,79,075
(e) Goodwill 2,034 2,034
(f) Other intangible assets 1,665 1,505
(g) Intangible asset under development 606
(h) Investments accounted for using equity method 267 230
(i) Financial assets
(i) Investments 920 411
(ii) Other financial assets 29,033 28,742
(j) Other non-current assets 16,303 39,331
(k) Deferred tax assets (net) 74,019 45,898
(l) Income tax assets (net) 17,578 10,564
Total Non-current assets 10,13,981 8,28,909
2 Current assets
(a) Inventories 11,40,089 8,88,735
(b) Financial assets
(i) Investments 5,039 3,661
(ii) Trade receivables 60,069 62,912
(iii) Cash and cash equivalents 1,48,629 1,86,996
(iv) Bank balances other than (iii) above 1,19,872 1,39,104
(v) Loans 240
(vi) Other financial assets 66,789 47,226
(c) Other current assets 70,878 51,221
Total Current assets 16,11,365 13,80,095
TOTAL ASSETS (1+2) 26,25,346 22,09,004
B EQUITY AND LIABILITIES
EQUITY
Equity share capital 24,459 24,437
Other equity 6,57,563 5,39,408
Equity attributable to owners of the Holding Company 6,82,022 5,63,845
Non controlling interest 70,380 27,689
Total equity 7,52,402 5,91,534
C LIABILITIES
1 Non-current liabilities
(a) Financial liabilities
(i) Borrowings 5,26,797 4,36,135
(ii) Lease liabilities 21,935 18,133
(iii) Other financial liabilities 14,092 13,444
(b) Provisions 719 283
(c) Deferred tax liabilities (net) 4,924 1,424
(d) Other non-current liabilities 6,469 7,203
Total Non-current liabilities 5,74,936 4,76,622
2 Current liabilities
(a) Financial liabilities
(i) Borrowings 84,166 91,311
(ii) Lease liabilities 1,497 810
(iii) Trade payables
– Total outstanding dues of micro enterprises and small enterprises; and 20,990 15,025
– Total outstanding dues of creditors other than micro enterprises and small enterprises 67,180 63,552
(iv) Other financial liabilities 92,499 88,476
(b) Other current liabilities 10,24,200 8,77,896
(c) Provisions 4,643 3,062
(d) Current tax liabilities (net) 2,833 716
Total Current liabilities 13,96,008 11,40,816
Total liabilities (1+2) 18,72,944 16,17,470
TOTAL EQUITY AND LIABILITIES (B+C) 26,25,346 22,09,004
Particulars Year ended 31.03.2026 (Audited) Year ended 31.03.2025 (Audited)
(A) Cash flows from operating activities
Profit before tax 90,388 86,927
Adjustments:
Depreciation and amortisation expense 31,237 28,878
Finance costs 40,944 49,549
Interest income from financial assets at amortised cost (16,899) (19,482)
Expected credit loss on financial asset 1,643
Gain on sale of investments in mutual funds (net) (149) (1,044)
Provisions no longer required, written back (880) (361)
Loans and advances written off 12 68
Impairment losses on trade receivables 251
Expected credit loss on financial asset (including written-off) 111
Provision for contract loss 35
Gain on loss of control of subsidiary (265)
Share of loss of joint venture (37)
Bad debts written off 99 52
(Gain) / loss on sale of property, plant and equipment (net) (26) 102
Share based payments to employees 327 839
Operating profit before working capital changes 1,45,127 1,47,192
Movements in working capital in:
Trade payables 10,468 2,922
Other financial liabilities 8,059 9,537
Other liabilities 1,32,760 1,37,565
Trade receivables 2,632 (13,243)
Inventories (2,54,480) (1,35,744)
Other financial assets (18,202) (10,350)
Other assets 8,375 (7,365)
Provisions 2,018 970
Cash generated from operations 36,757 1,31,484
Direct taxes paid, net (50,463) (31,953)
Net cash flows (used in)/ generated from operating activities (A) (13,706) 99,531
(B) Cash flows from investing activities
Purchase of property, plant and equipment (including capital work in progress), investment properties (including investment property under development) and intangible assets (including intangible asset under development) (1,73,860) (63,938)
Proceeds from sale of property, plant and equipment 487 198
Purchase of mutual funds (32,101) (15,292)
Redemption of mutual funds 30,872 16,464
Repayment of loans given 246
Acquisition of a subsidiary (refer note 10) (1,345)
Investments in body corporates (509) (645)
Redemption of investments in body corporates 916
Movement in bank deposits, net 16,030 (12,476)
Acquisition of non controlling interest (278)
Interest received 16,576 16,061
Net cash flows (used in) investing activities (B) (1,43,604) (58,990)
(C) Cash flows from financing activities
Proceeds from issue of equity shares, (including securities premium) net 752 1,48,002
Issue of equity shares to NCI in subsidiary (including securities premium), net 83,985
Capital contribution by non-controlling interests in subsidiaries 37 230
Proceeds from non-current borrowings (including current maturities) 2,08,736 87,836
Proceeds from current borrowings 39,663
Repayment of non-current borrowings (including current maturities) (1,33,981) (97,046)
Repayment of short term borrowings (23,340)
Payment of principle portion of lease liabilities (1,592) (369)
Payment of interest portion of lease liabilities (1,598) (1,347)
Interest paid (46,397) (46,715)
Dividends paid (including unclaimed dividend)