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GlobalSpace Intangible Assets Jump to ₹1,369.54 Cr

May 15, 2026 3 mins read Firehose Gupta

GlobalSpace Technologies Limited — Quarter ended March 31, 2026 (published May 15, 2026)

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Date: May 15, 2026


Sr.No Particulars 31-Mar-26 31-Mar-25
I ASSETS
1 Non-current assets
(a) Property, plant and equipment 406.03 393.90
(b) Intangible assets 879.89 605.85
(c) Intangible assets under development 1,369.54 354.44
(d) Financial assets
  (i) Investments 152.69 152.69
  (iii) Other Non Current financial assets 1,993.32 1,890.34
(i) Deferred tax assets (net)
(j) Non current tax assets
(e) Other non current assets
Total of non current assets 4,801.47 3,397.22
2 Current Assets
(a) Inventories 205.48 524.89
(b) Financial assets
  (i) Trade receivables 232.77 597.61
  (ii) Cash and cash equivalents 0.92 3.11
  (iii) Loans 395.58 574.28
(c) Current Tax Assets (Net) (13.70) 116.58
(d) Other current assets 889.68 1,431.07
Total Current Assets 1,710.74 3,247.54
Total assets 6,512.21 6,644.75
II EQUITY AND LIABILITIES
1 Equity
(a) Equity share capital 3,436.98 3,436.98
(b) Other equity 2,151.36 2,013.74
Total equity 5,588.34 5,450.72
2 Liabilities
Non-current liabilities
(a) Financial liabilities
  (i) Borrowings 50.15 80.55
(b) Provisions 13.63 13.02
(c) Deferred tax liabilities (net) (20.01) (32.22)
Total of non current liabilities 43.77 61.35
Current Liabilities
(a) Financial Liabilities
  (i) Borrowings 279.27 888.14
  (ii) Trade payables
    Total outstanding dues of micro enterprises and small enterprises 331.82 7.88
    Total outstanding dues of creditors other than micro enterprises and small enterprises 139.19 106.02
  (iii) Other financial liabilities
(b) Other financial liabilities
(c) Other current liabilities 129.46 130.28
(d) Provisions 0.37 0.37
Total liabilities 880.11 1,132.69
Total equity and liabilities 6,512.22 6,644.74

| No. | Particulars | Quarter Ended | Half Year Ended | Year Ended |
|——|——————————————————|—————————————————–|————————————————|——————————————-|—————————————–|
| | | 31-Mar-26 (Audited) | 31-Dec-25 (Un-Audited) | 31-Mar-25 (Audited) | 31-Mar-25 (Audited) | 30-Sep-25 (Un-Audited) | 31-Mar-26 (Audited) | 31-Mar-25 (Audited) |
| 1 | INCOME | | | | | | | |
| | Revenue from operation | 1,050.30 | 1,256.85 | 517.62 | 2,307.15 | 994.20 | 3,301.35 | 2,932.48 |
| | Other Income | 34.28 | – | 0.07 | 34.28 | – | 34.28 | 0.54 |
| | Total Income | 1,084.58 | 1,256.85 | 517.69 | 2,341.43 | 994.20 | 3,335.63 | 2,933.02 |
| 2 | Expenses | | | | | | | |
| | Cost of materials Consumed | 842.23 | 729.56 | 18.73 | 1,571.79 | 494.49 | 2,066.28 | 1,842.49 |
| | Changes in Inventory of Stock in trade | (26.28) | 251.14 | 26.00 | 224.86 | 94.55 | 319.41 | 52.75 |
| | Employee Benefits Expenses | 58.41 | 53.84 | 8.96 | 112.25 | 73.84 | 186.09 | 65.99 |
| | Depreciation and Amortisation Expenses | 37.55 | 38.72 | 45.30 | 76.27 | 84.15 | 160.42 | 202.74 |
| | Finance Cost | 20.79 | 19.21 | 20.78 | 40.00 | 47.81 | 87.81 | 108.83 |
| | Other Expenses | 107.97 | 73.82 | 384.99 | 181.79 | 145.24 | 327.03 | 606.05 |
| | Total Expenses | 1,040.67 | 1,166.29 | 504.77 | 2,206.96 | 940.08 | 3,147.04 | 2,878.85 |
| 3 | Profit/Loss Before Exceptional Items and tax (1-2) | 43.91 | 90.56 | 12.92 | 134.47 | 54.12 | 188.59 | 54.17 |
| | Exceptional Items | – | – | – | – | – | – | 275.65 |
| 4 | Profit/(Loss) before tax | 43.91 | 90.55 | 12.92 | 134.47 | 54.12 | 188.59 | (221.48) |
| | Tax Expense | | | | | | | |
| | Current Tax | (10.73) | 10.73 | – | – | 19.98 | 39.88 | – |
| | Deferred Tax | (33.54) | 33.54 | 4.18 | 4.23 | 12.21 | (37.75) | |
| | Total Tax Expenses | (44.27) | 44.27 | 4.18 | 27.89 | 24.21 | 52.10 | (37.75) |
| 6 | Net Profit/(Loss) after tax (4-5) | 88.18 | 46.27 | 8.74 | 106.58 | 29.91 | 136.49 | (183.73) |
| 7 | Other Comprehensive Income | | | | | | | |
| | Items that will not be reclassified into Profit or Loss | 1.13 | – | (6.41) | 1.13 | – | 1.13 | (6.41) |
| | Total Comprehensive Income | 1.13 | – | (6.41) | 1.13 | – | 1.13 | (6.41) |
| 8 | Total Comprehensive Income for the year (after tax) (5+6) | 89.31 | 46.27 | 2.33 | 107.71 | 29.91 | 137.62 | (190.14) |
| 9 | Less: Share of non controlling Interest | | | | | | | 29.91 |
| 10 | Total Comprehensive Income for the year (after tax) (5+6) | | | | | | | |
| 9 | Paid-up Equity Share Capital (Face Value of Re. 10 /- each) | 3,436.98 | 3,436.98 | 3,436.98 | 3,436.98 | 3,436.98 | 3,436.98 | 1,145.66 |
| 10 | Other Equity | 2,151.36 | 2,089.92 | 2,013.74 | 2,151.36 | | 2,151.36 | |
| 11 | Earnings per Equity Share (of Rs. 10/- each) | | | | | | | |
| | Basic | 0.26 | 1.64 | 0.59 | 1.10 | 0.09 | 1.19 | (1.66) |
| | Diluted | 0.26 | 1.64 | 0.59 | 1.10 | 0.09 | 1.19 | (1.66) |


Sl. No. Particulars For the year ended March 31, 2026 For the year ended March 31, 2025
A Cash Flow From Operating Activities
Net profit before tax 188.59 (221.46)
Adjustments for:
Provision for expected credit loss
Add: Exceptional Items
Depreciation/amortisation 160.42 202.74
Interest and finance charges 87.81 108.83
Profit from sale of Investments
OCI adjustments 1.13 (6.41)
Interest income
Operating profit before working capital changes 437.96 83.70
Adjustments:
Trade receivables 364.84 (261.01)
Inventories 319.41 52.75
Loans 178.69 (167.84)
Other current assets/other non current financial assets 568.69 (25.79)
Trade payables 357.11 71.66
Other current liabilities/other current financial liabilities (0.82) 51.70
Provisions 0.60 (5.48)
Cash Generated from Operations 2,226.48 (200.32)
Taxes paid (net of refunds, if any) (39.88) (2.17)
Net cash generated from operating activities (A) 2,186.59 (202.49)
B Cash Flow From Investing Activities
Purchase of fixed assets (1,461.70) 654.86
(including intangible assets under development)
Investment in subsidiary (Sale of shares) (51.95)
Interest income
Net cash (used in) investing activities (B) (1,461.70) 602.91
C Cash Flow From Financing Activities
Proceeds from share capital
Share issue expenses
Interest and finance charges (87.81) (108.83)
Dividend Paid
Increase/(Decrease) in long term borrowings (net) (30.40) (50.67)
Increase in short term borrowings (net) (608.87) (238.43)
Net cash generated from financing activities (C) (727.08) (397.93)
Net (decrease) in cash and cash equivalents (A+B+C) (2.19) 2.49
Cash and cash equivalents at the beginning of the year 3.11 0.62
Cash and cash equivalents at the end of the year 0.92 3.11
Net (decrease) as disclosed above (2.18) 2.49

Particulars As on 31/3/2026 As on 31/3/2025
1. Debt-Equity Ratio 0.06 0.18
2. Debt Service Coverage Ratio 1.91 0.39
3. Interest Service Coverage Ratio 4.97 0.83
4. Outstanding Redeemable Preference Shares N/A N/A
5. Capital Redemption Reserve/ Debetntures Redemption Reserve N/A N/A
6. Net worth 5,588.34 5,450.72
7. Net profit after tax 4.13% -6.27%
8. EPS 1.19 0.03
9. Current Ratio 1.94 2.87
10. Long term debt to working capital 1.94 2.87
11. Bad debts to Accounts receivable ratio 0.06
12. Current Liability Ratio 0.95 0.95
13. Total Debt to Total Receivable Ratio 2.83 1.05
14. Debtors Turnover Ratio 28.37 3.17