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Omkar Overseas posts Q4 FY26 loss, cash down

May 7, 2026 3 mins read Firehose Gupta

Omkar Overseas Limited — Quarter and year ended March 31, 2026

Sr. No. Particulars Quarter Ended 31/03/2026 (Audited) Year to date 31/12/2025 (Unaudited) Year to date 31/03/2025 (Audited) Year to date 31/03/2026 (Audited) Year to date 31/03/2025 (Audited)
1 Revenue from Operations
2 Other Income 0.14 1.59 0.14 1.59
3 Total Revenue (1 + 2) 0.14 1.59 0.14 1.59
4 Expenses:
Cost of Materials Consumed
Purchases of Stock-in-Trade
Changes in inventories of finished goods work-in-progress
Employee benefits expense 2.40 2.40 2.40 9.60 9.60
Finance costs 2.49 1.00 2.49 1.00
Depreciation and amortisation expense
Other expenses 0.71 0.12 0.58 5.08 6.04
Excise Duty on Sales
Total expenses 5.60 2.52 3.98 17.17 16.64
5 Profit before exceptional and extraordinary items and tax (3 – 4) (5.46) (2.52) (2.39) (17.03) (15.05)
6 Exceptional items
7 Profit before extraordinary items and tax (5 – 6) (5.46) (2.52) (2.39) (17.03) (15.05)
8 Extraordinary items
9 Profit before tax (7 – 8) (5.46) (2.52) (2.39) (17.03) (15.05)
10 Tax expense : (a+b+c)
(a) Current tax
(b) Deferred tax
(c) Income Tax for earlier years
11 Profit for the period from continuing operations (5.46) (2.52) (2.39) (17.03) (15.05)
12 Profit from discontinuing operations
13 Tax expense of discontinuing operations
14 Profit from Discontinuing operations (after tax) (12-13)
15 Profit for the period (11 + 14) (5.46) (2.52) (2.39) (17.03) (15.05)
16 Share of Profit of Associates
Minority Interest
17 Profit for the period (15 + 16) (5.46) (2.52) (2.39) (17.03) (15.05)
18 Other Comprehensive Income (Net of Tax)
19 Total Comprehensive Income (After Tax) (17 + 18) (5.46) (2.52) (2.39) (17.03) (15.05)
20 Paid up Equity Share Capital (Face value of Rs. 10/- each) 492.36 492.36 492.36 492.36 492.36
Reserves excluding Revaluation Reserve (530.24) (498.16) (530.24)
21 Earnings per equity share:
(1) Basic (0.11) (0.05) (0.05) (0.35) (0.31)
(2) Diluted (0.11) (0.05) (0.05) (0.35) (0.31)
Particulars Notes As At March 31, 2026 As At March 31, 2025
I. ASSETS
1 NON-CURRENT ASSETS
a) Property, Plant and Equipment 00.00 00.00
Total non-current assets 00.00 00.00
2 CURRENT ASSETS
a) Financial Assets
i. Cash and Bank Balances
a) Cash and Cash Equivalents 1 04.68 04.63
b) Other Current Assets (to be specified) 2 07.72 07.04
Total Current Assets 12.39 11.66
TOTAL ASSETS (1 + 2) 12.39 11.66
II. EQUITY AND LIABILITIES
1 EQUITY
a) Equity Share Capital 3 492.36 492.36
b) Other Equity 4 -530.24 -513.21
Total Equity -37.88 -20.85
2 LIABILITIES
A. NON-CURRENT LIABILITIES
a) Financial Liabilities
i. Borrowings 5 39.10 20.89
Total Non-Current Liabilities (A) 39.10 20.89
B. CURRENT LIABILITIES
a) Financial Liabilities
i. Trade and Other Payables 6
a) Total Outstanding to Micro and Small Enterprise
b) Total Outstanding to Others 07.89 09.35
b) Other Current Liabilities 7 00.29 00.28
c) Provisions 8 03.00 02.00
Total Current Liabilities (B) 11.17 11.63
Total Liabilities (A + B) 50.28 32.52
TOTAL EQUITY AND LIABILITIES (1 + 2) 12.39 11.66
Particulars As at March 31, 2026 As at March 31, 2025
A Cash Flow From Operating Activities
Profit (Loss) Before Tax -17.03 -15.05
Adjustments For:
Provisions 01.00 01.00
Finance Expense 02.49 01.00
Operating (Loss) Before Working Capital Changes -13.54 -13.05
Movements in Working Capital:
(Increase) / Decrease in Other Assets -00.68 -00.72
Increase / (Decrease) in Trade Payables -01.46 -02.38
Increase in Other Financial Liabilities 00.01 -00.94
Increase in Other Liabilities 00.00 -00.08
Cash (used) in operations -15.67 -17.17
Direct Taxes Paid (Net of Refunds)
Net Cash Outflow From Operating Activities -15.67 -17.17
B. Cash Flows From Investing Activities
Net Cash (Outflow) from Investing Activities 00.00 00.00
C. Cash Flows From Financing Activities
Increase in Long Term Borrowings 18.21 17.93
Interest and Finance Charges Paid -02.49 -01.00
Net Cash Inflow from Financing Activities 15.73 16.93
D. Net Increase in Cash & Cash Equivalents (A + B + C) 00.05 -00.24
E. Cash & Cash Equivalents at the beginning of the year / period 04.63 04.87
F. Cash & Cash Equivalents at the end of the year / period 04.68 04.63
Component of Cash and Cash Equivalents
Cash on hand
Balances with Scheduled Bank – On Current Accounts 04.68 04.63
Deposits with original maturity of less than three months
Cash and Cash Equivalents at the end of the year / period 04.68 04.63