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Aurionpro Q1 FY26 profit jumps to ₹6,227 crore

May 11, 2026 4 mins read Firehose Gupta

Aurionpro Solutions Limited — Quarter and year ended March 31, 2026

To, To,
BSE Limited National Stock Exchange of India Ltd,
PJ. Towers, Dalal Street Exchange Plaza, Bandra Kurla Complex,
Mumbai-400001 Bandra (East), Mumbai -400051
Script Code: 532668 Script Code: AURIONPRO
Sr No. Particulars Quarter ended 31-Mar-26 Audited Quarter ended 31-Dec-25 Unaudited Quarter ended 31-Mar-25 Audited Year ended 31-Mar-26 Audited Year ended 31-Mar-25 Audited
1 Income
(a) Revenue from Operations 34,556.71 37,102.51 32,695.41 1,41,108.51 1,17,296.71
(b) Other Income 1,422.60 197.02 424.56 2,932.94 2,016.65
(c) Total Income [ (a) + (b) ] 35,979.31 37,299.53 33,119.97 1,44,041.45 1,19,313.36
2 Expenses
(a) Cost of Software, Material and Services 9,648.03 12,069.36 11,479.14 43,103.72 40,371.88
(b) Change in Inventories of Raw Materials, Finished Goods and Stock-in-Trade (68.27) 122.84 236.94 17.73 12.45
(c) Employee Benefits Expense 15,490.95 14,538.52 11,535.52 58,892.96 44,204.34
(d) Finance Costs 509.60 204.24 164.31 1,016.69 664.33
(e) Depreciation and Amortisation Expense 1,031.19 980.76 868.24 3,927.68 2,642.83
(f) Other Expenses 2,804.38 2,832.21 2,849.96 10,859.52 8,534.60
(g) Total Expenses [ (a) to (f) ] 29,415.88 30,747.93 27,134.11 1,17,818.30 96,430.43
3 Profit before Exceptional Items and Tax [1 (c) – 2 (g)] 6,563.43 6,551.60 5,985.86 26,223.15 22,882.93
4 Exceptional Items (Gain) / Loss (199.23) 809.96 610.73
5 Profit before Tax [3 – 4] 6,762.66 5,741.64 5,985.86 25,612.42 22,882.93
6 Tax Expenses
(a) Current Tax 984.55 1,572.58 715.34 5,130.60 3,726.58
(b) Deferred Tax Charge / (Credit) (448.81) (316.70) 129.97 (1,061.68) (48.45)
7 Profit after tax from continuing operations [5 – 6] 6,226.92 4,485.76 5,140.55 21,543.50 19,204.80
8 Profit / (Loss) before Tax from Discontinued Operations (90.98) (92.00) (90.02) (365.00) (362.00)
9 Tax Expenses of Discontinued Operations
10 Profit / (Loss) after Tax from Discontinued Operations (90.98) (92.00) (90.02) (365.00) (362.00)
11 Profit after tax from continuing operations and discontinued Operations [7 + 10] 6,135.94 4,393.76 5,050.53 21,178.50 18,842.80
12 Other Comprehensive Income (net of tax)
Items that will be reclassified subsequently to profit or loss 98.94 (63.78) 48.36 (123.03) 160.83
Items that will not be reclassified subsequently to profit or loss 4,997.60 1,425.61 (14.30) 6,191.99 (116.78)
13 Total Comprehensive Income [11 + 12] 11,232.48 5,755.59 5,084.59 27,247.46 18,886.85
14 Profit for the period attributable to
(a) Equity holders of the company 6,150.75 4,214.51 5,032.59 20,930.86 18,617.43
(b) Non Controlling Interest (14.81) 179.25 17.94 247.64 225.37
15 Total Comprehensive Income attributable to
(a) Equity holders of the company 11,199.43 5,612.82 5,066.24 26,973.69 18,661.29
(b) Non Controlling Interest 33.05 142.77 18.35 273.77 225.56
16 Paid-up Equity Share Capital (Face Value of Rs. 10 each) 5,379.97 5,379.97 5,370.95 5,379.97 5,370.95
17 Other Equity (Excluding Revaluation Reserve) 1,68,374.39 1,44,954.81
18 Earnings per equity share (for continuing operation)
– Basic (In Rs.) 11.60 8.00 9.54 39.58 35.40
– Diluted (In Rs.) 11.30 7.80 9.41 38.55 34.89
19 Earnings per equity share (for discontinued operation)
– Basic (In Rs.) (0.17) (0.17) (0.17) (0.68) (0.68)
– Diluted (In Rs.) (0.17) (0.17) (0.17) (0.68) (0.68)
20 Earnings per equity share (for continuing and discontinued operation)
– Basic (In Rs.) 11.43 7.83 9.37 38.90 34.72
– Diluted (In Rs.) 11.13 7.63 9.24 37.87 34.21
Particulars As at 31-Mar-26 Audited As at 31-Mar-25 Audited
A. ASSETS
1 Non-Current Assets
(a) Property, Plant and Equipment 13,582.77 14,608.85
(b) Capital Work in Progress
(c) Right of use assets 830.31 1,238.23
(d) Goodwill 53,513.55 49,715.74
(e) Other Intangible Assets 14,520.19 7,592.34
(f) Intangible Assets under Development 6,743.04 2,039.25
(g) Financial Assets
(i) Investment
(ii) Other Financial Assets 8,362.42 4,188.69
(h) Income Tax Assets (net) 3,621.26 2,599.46
(i) Deferred Tax Assets (net) 1,913.92 1,100.89
(j) Other Non Current Assets 4,525.53 820.06
Sub-total Non-Current Assets 1,07,612.99 83,903.51
2 Current Assets
(a) Inventories 3,264.48 3,282.20
(b) Financial Assets
(i) Investments
(ii) Trade Receivables 37,694.25 30,590.24
(iii) Cash and Cash Equivalents 13,187.09 26,864.88
(iv) Bank Balances other than (iii) above 7,312.33 9,305.70
(v) Loans 399.61 731.64
(vi) Other Financial Assets 30,966.05 23,779.08
(c) Other Current Assets 30,471.83 16,529.15
Sub-total Current Assets 1,23,295.64 1,11,082.89
3 Assets classified as Held for Sale 2,557.79
TOTAL ASSETS 2,33,466.42 1,94,986.40
B. EQUITY AND LIABILITIES
1 Equity
(a) Equity Share Capital 5,379.97 5,370.95
(b) Other Equity 1,68,374.39 1,44,954.81
Equity Attributable to Owner’s of the company 1,73,754.36 1,50,325.76
Non-Controlling Interest 712.35 512.20
Sub-total Equity 1,74,466.71 1,50,837.96
2 Liabilities
Non Current Liabilities
(a) Financial Liabilities
(i) Borrowings 147.98 443.67
(ii) Lease Liability 433.53 654.24
(ii) Other Financial Liabilities 3,462.59 3,851.98
(b) Other Non Current Liabilities 411.78 653.36
(c) Deferred Tax Liabilities (net) 238.08 161.88
(d) Provisions 2,054.77 782.22
Sub-total Non-Current Liabilities 6,748.73 6,547.35
Current Liabilities
(a) Financial Liabilities
(i) Borrowings 4,987.97 1,300.55
(ii) Lease Liabilities 497.87 651.86
(iii) Trade Payables
Due to Micro and Small Enterprise 1,944.50 3,845.84
Due to Other than Micro and Small Enterprise 10,331.75 12,818.70
(iv) Other Financial Liabilities 19,774.95 8,361.92
(b) Other Current Liabilities 11,119.63 7,633.77
(c) Provisions 1,269.37 1,479.14
(d) Current Tax Liabilities (net) 2,183.53 1,509.31
Sub-total – Current Liabilities 52,109.57 37,601.09
3 Liabilities associated with Assets classified as Held for Sale 141.41
TOTAL EQUITY AND LIABILITIES 2,33,466.42 1,94,986.40
Sr. Particulars Year Ended 31-Mar-26 Audited Year Ended 31-Mar-25 Audited
A Cash Flow from Operating Activities
Net Profit before tax (including discontinued operations) 25,247.42 22,520.93
Adjustments :
Depreciation and Amortisation Expenses 4,292.68 3,004.83
Interest Income (973.90) (1,663.97)
Interest Expenses 352.65 329.88
Bad debts (net) 18.29 380.61
Provision for doubtful debts 52.08 111.71
Employee Stock Purchase Scheme Expense 71.52 39.67
Foreign exchange (Gain) / Loss (1,614.14) 411.98
Other Non Cash Adjustments 24.00 9.02
Operating Profit before working capital changes 27,470.61 25,144.66
Movements in Working Capital
Decrease / (Increase) in Inventories (134.17) 12.45
Decrease / (Increase) in Trade Receivables and Other Assets (29,932.41) (10,279.96)
Increase / (Decrease) in Trade Payables and Other Liabilities 13,412.92 4,855.32
(16,653.66) (5,412.19)
Cash Generated from Operations 10,816.96 19,732.47
Income taxes paid (net of refunds) (5,228.46) (4,022.27)
Net Cash Generated from Operating Activities 5,588.50 15,710.20
B Cash Flow from Investing Activities
Purchase of PPE and Other Intangible Assets (net) (17,009.62) (9,519.64)
Payment for Purchases of Business and Equity (23,456.42)
Sale of Investments (net) (391.00)
Interest Received 774.97 1,428.23
Investment in Bank Fixed deposits 1,273.76 (10,574.74)
Net Cash Used in Investing Activities (15,351.90) (42,122.57)
C Cash Flow from Financing Activities
Proceeds/ (Repayment) of Long-Term Borrowings 4,056.88 (705.42)
Proceeds/ (Repayment) of Short-Term Borrowings (net) (665.14) (4,820.90)
Proceeds from issue of Equity Shares 4.20 37,806.52
Payment of issue Expenses (1,048.34)
Repayment of Lease Liabilities (807.63) (787.65)
Dividend Paid (2,760.68) (1,878.34)
Interest Paid (291.88) (255.14)
**Net Cash Generated/ (used