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Craftsman Automation Q1 FY26 Revenue and profit table

May 7, 2026 2 mins read Firehose Gupta

Craftsman Automation Limited — Quarter and financial year ended 31 March 2026 (Board meeting outcome dated 7 May 2026)

Sl No. Particulars Consolidated Financial Results Standalone Financial Results
Quarter Ended Year Ended
31/03/2026 Audited 31/12/2025 Unaudited
1 Revenue
a Revenue from operations 2,22,640 2,05,728
b Other income 1,911 2,769
Total Income (a + b) 2,24,551 2,08,497
2 Expenses
a Cost of sales and services 1,22,453 1,11,882
b Changes in inventories (969) 1,178
c Employee benefits expense 14,921 14,945
d Finance cost 8,627 7,939
e Depreciation and amortisation expense 11,809 11,488
f Other expenses 50,382 46,501
Total expenses (a + b + c + d + e + f) 2,07,223 1,93,933
3 Profit before share of profit of joint venture and tax 17,328 14,564
4 Share of profit of joint venture 30 26
5 Profit before exceptional items and tax 17,358 14,590
6 Exceptional items (54) (368)
7 Profit before tax 17,304 14,222
8 Tax expense:
a Current tax 4,332 3,098
b Deferred tax 1,330 413
9 Profit for the period 11,642 10,711
Profit attributable to
Owners 11,642 10,711
Non-controlling Interest
10 Earnings per equity share (in ₹)
a Basic (Not annualised) 48.80 44.90
b Diluted (Not annualised) 48.80 44.90
Sl No. Particulars STATEMENT OF CONSOLIDATED FINANCIAL RESULTS FOR THE STATEMENT OF STANDALONE FINANCIAL RESULTS FOR THE
Quarter Ended Year Ended
31/03/2026 31/12/2025
Audited Unaudited
Other comprehensive income attributable to
Owners 727 339
Non-controlling interest
12 Total comprehensive income for the period 12,369 11,050
Total comprehensive income for the period attributable to
Owners 12,369 11,050
Non-controlling interest
13 Paid-up equity share capital (Face value ₹ 5 each) 1,193 1,193
14 Earnings per equity share (in ₹)
a. Basic (Not annualised) 51.85 46.32
b. Diluted (Not annualised) 51.85 46.32
Particulars Consolidated 31/03/2026 Audited Consolidated 31/03/2025 Audited Standalone 31/03/2026 Audited Standalone 31/03/2025 Audited
ASSETS
Non-current assets
Property, plant and equipment 3,98,074 3,06,351 3,06,953 2,41,722
Capital Work in Progress 38,233 34,526 28,424 26,670
Other Intangible assets 3,508 3,156 1,060 591
Right-of-use Assets 47,044 38,520 44,896 36,316
Goodwill on consolidation 19,006 19,006
Investments accounted for using the equity method 578 467
Financial assets
– Investments 776 594 1,34,835 1,21,857
– Loans 2,808 6,640
– Security Deposits 7,277 6,033 5,464 4,499
– Other financial assets 10 27 17
Deferred tax assets (net) 1,117
Income tax assets (net) 769 1,552 196 658
Other non-current assets 20,380 11,586 13,408 9,017
Total Non-current assets 5,35,655 4,21,818 5,38,044 4,49,104
Current assets
Inventories 1,74,541 1,33,205 1,19,628 90,539
Financial assets
– Trade receivables 1,11,054 92,059 68,371 52,471
– Cash and cash equivalents 14,483 9,742 5,438 2,919
– Other bank balances 3,395 2,581 3,172 2,510
– Security deposits 100 90 100 90
– Other financial assets 1,496 2,386 1,304 1,294
Other current assets 22,108 14,830 18,801 11,170
Total Current assets 3,27,177 2,54,893 2,16,814 1,60,993
Assets classified as held for sale 34,998 34,933
Total assets 8,97,830 7,11,644 7,54,858 6,10,097
Particulars Consolidated 31/03/2026 Audited Consolidated 31/03/2025 Audited Standalone 31/03/2026 Audited Standalone 31/03/2025 Audited
EQUITY AND LIABILITIES
Equity
Equity Share capital 1,193 1,193 1,193 1,193
Other equity 3,25,213 2,84,481 2,99,957 2,78,744
Total Equity 3,26,406 2,85,674 3,01,150 2,79,937
Particulars Consolidated 31/03/2026 Audited Consolidated 31/03/2025 Audited Standalone 31/03/2026 Audited Standalone 31/03/2025 Audited
Liabilities
Non-current liabilities
Financial liabilities
– Borrowings 2,41,098 1,65,186 2,00,424 1,38,119
– Lease liabilities 20,778 20,306 20,598 20,093
– Other financial liabilities