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Diffusion Engineers’ March 2026 profit rises to ₹116.72 million

May 16, 2026 4 mins read Firehose Gupta

Diffusion Engineers Limited — Quarter ended March 31, 2026 (Audited) and year ended March 31, 2026 (Audited)

The following tables are extracted from the provided document (amounts in rupees million unless otherwise stated).

Particulars Year ended 31 March 2026 Year ended 31 March 2025
ASSETS
Non-Current Assets
(a) Property, plant and equipment 1,076.16 950.79
(b) Capital work-in-progress 221.70 31.44
(c) Intangible assets 6.04 4.83
(d) Financial assets
(i) Investments 421.70 360.36
(ii) Other financial assets 104.06 90.16
Total non-current assets 1,829.65 1,437.58
Current Assets
(a) Inventories 673.63 621.85
(b) Financial Assets
(i) Trade receivables 1,097.46 863.52
(ii) Cash and cash equivalents 939.64 1,184.50
(iii) Other bank balances 0.03 0.00
(iv) Loans and advances 145.04 112.53
(v) Others financial assets 12.12 8.61
(c) Other current assets 70.89 62.43
Total current assets 2,938.81 2,853.44
Total Assets 4,768.46 4,291.02
EQUITY AND LIABILITIES
Equity
(a) Equity share capital 374.26 374.26
(b) Other equity 3,470.61 3,176.15
Total equity 3,844.87 3,550.42
Liabilities
Non-current liabilities
(a) Financial liabilities
(i) Borrowings 0.00 0.00
(ii) Other financial liabilities 4.87 4.73
(b) Deferred tax liabilities (net) 58.86 56.89
Total non current liabilities 63.73 61.62
Current liabilities
(a) Financial liabilities
(i) Borrowings 274.79 216.30
(ii) Trade payables 67.83 27.33
Total outstanding dues of micro, small and medium enterprises 67.83 27.33
Total outstanding dues of creditors other than micro enterprises, small and medium enterprises 318.80 292.03
(iii) Other financial liabilities 13.02 13.60
(b) Provisions 6.40 4.23
(c) Other current liabilities 169.52 113.53
(d) Current tax liabilities (net) 9.49 11.97
Total current liabilities 859.86 678.99
Total Equity and Liabilities 4,768.46 4,291.02
Role Name Membership/DIN Place Date
Partner (PGS & Associates) PREMAL H GANDHI Membership Number: 111592 Nagpur 16th May, 2026
Chairman & Managing Director PRASHANT N. GARG DIN: 00049106 Nagpur 16th May, 2026
Director NITIN N GARG DIN: 08558736 Nagpur 16th May, 2026
Chief Financial Officer ABHISHEK MEHTA Nagpur 16th May, 2026
Company Secretary CHANCHAL JAISWAL Nagpur 16th May, 2026
Particulars Quarter Ended 31 March 2026 (Audited) 31 March 2025 (Audited) 31 December 2025 (Unaudited) Year ended 31 March 2026 (Audited) 31 March 2025 (Audited)
Revenue
Revenue from operations 1,132.70 1,009.69 876.00 3,542.03 3,160.87
Other income 26.25 48.81 34.85 191.68 89.98
Total revenue 1,158.94 1,058.50 910.84 3,733.71 3,250.86
Expenses
Cost of materials consumed 662.64 477.59 428.29 1,791.34 1,680.76
Purchases of stock-in-trade 89.05 25.34 59.00 257.03 130.67
Changes in inventories of FG and WIP (53.08) 65.09 (20.70) (56.49) (87.90)
Manufacturing expenses 110.03 137.53 111.39 401.74 428.37
Employee benefit expenses 114.31 106.42 117.12 455.23 399.15
Finance costs 6.45 4.68 6.22 20.22 21.95
Depreciation and amortization expenses 16.04 11.01 15.28 59.93 44.39
Other expenses 55.61 61.90 64.15 223.89 200.20
Total expenses 1,001.05 889.56 780.75 3,152.90 2,817.59
Profit/(loss) before Exceptional Items and Tax 157.89 168.94 130.09 580.81 433.27
Exceptional Items 0.00 0.00 7.00 7.00 0.00
Profit/(loss) before Tax 157.89 168.94 123.09 573.81 433.27
Tax expenses
– Current tax 44.50 45.89 34.00 124.50 94.00
– (Excess) / Short provision of tax relating to previous years 0.00 0.00 0.00 0.00 (1.81)
– Deferred tax (3.33) 2.65 0.55 2.88 3.55
Total tax expenses 41.17 48.54 34.55 127.38 95.74
Net profit for the year 116.72 120.40 88.54 446.43 337.53
Particulars 31 March 2026 31 March 2025 31 December 2025 31 March 2026 31 March 2025
Remeasurements of the defined benefit plans (1.84) (3.41) (2.28) (3.61) (1.80)
Income tax effect on above 0.46 0.75 0.57 0.91 0.41
Particulars 31 March 2026 31 March 2025 31 December 2025 31 March 2026 31 March 2025
Gain / (Loss) on Items designated as Fair Value Through Other Comprehensive Income 0.00 0.00 0.00 0.00 0.00
Income tax effect on above 0.00 0.00 0.00 0.00 0.00
Particulars 31 March 2026 31 March 2025 31 December 2025 31 March 2026 31 March 2025
Other comprehensive income for the year, net of tax (1.38) (2.66) (1.71) (2.70) (1.39)
Particulars 31 March 2026 31 March 2025 31 December 2025 31 March 2026 31 March 2025
Total comprehensive income / (loss) for the period 115.34 117.74 86.83 443.72 336.14
Particulars 31 March 2026 31 March 2025 31 December 2025 31 March 2026 31 March 2025
Basic (not annualized except for year end) 3.09 3.22 2.37 11.98 9.02
Diluted (not annualized except for year end) 3.09 3.22 2.37 11.98 9.02
Person Designation Details
PREMAL H GANDHI Partner Membership Number: 111592
Place: Nagpur
UDIN: 26111592RSQHMD5335
Date: 16th May, 2026
PRASHANT N. GARG Chairman & Managing Director DIN: 00049106
Place: Nagpur
Date: 16th May, 2026
NITIN N GARG Director DIN: 08558736
Place: Nagpur
Date: 16th May, 2026
ABHISHEK MEHTA Chief Financial Officer Place: Nagpur
Date: 16th May, 2026
CHANCHAL JAISWAL Company Secretary Place: Nagpur
Date: 16th May, 2026
Particulars For the year ended 31 March 2026 For the year ended 31 March 2025
A Cash flows from operating activities
Profit /(loss) before tax 573.81 433.27
Adjustments:
Depreciation and amortisation 59.93 44.39
Bad Debts & ECL 8.73 8.50
OCI – Gain / (Loss) on remeasurements of the defined employee benefit plans (2.70) (1.39)
Net (Gain)/Loss on financial instruments at fair value through profit or loss 12.48 8.02
Interest and Finance Charges 20.22 21.95
Interest Income (149.20) (40.95)
Loss / (Surplus) on Sale of Fixed Assets / Investments (Net) (26.81) (36.61)
Exceptional Item 7.00 0.00
ESOP adjustment 1.54 0.00
Operating cash flows before working capital changes and other assets 505.01 437.18
(Increase) / decrease in inventories (51.77) (147.83)
Decrease/ (increase) in Trade and Other Receivables (260.14) (174.06)
Decrease / (increase) in other current assets (8.45) (16.86)
(Decrease) / increase in Trade and Other Payables 66.81 5.47
(Decrease) / increase in other current liabilities 31.18 31.87
(Decrease) / increase in other current provisions 2.17 0.63
Cash generated from operations 284.80 136.41
Income taxes refund / (paid), net (110.08) (86.11)
Net Cash Flow From/(Used In) Operating Activities (A) 174.72 50.30
B CASH FLOW FROM INVESTING ACTIVITIES
Purchase/ Sale of property, plant and equipment (185.30) (117.25)
Purchase/ sale of intangible assets (1.20) (0.58)
Purchase of CWIP (190.26) (20.39)
Non Current investments/other Financial Assets (87.73) (72.99)
Interest Income 149.20 40.95
Advance for capital (18.55) (46.02)
Profit/(loss) on sale of Investments 26.81 36.61
Net Cash Flow From/(Used In) Investing Activities (B) (307.04) (179.67)
C CASH FLOW FROM FINANCING ACTIVITIES
Proceeds from short-term borrowings(Net) 58.49 (120.78)
Finance Cost paid (20.22) (21.95)
Dividend Paid (including Tax) (56.11) (7.01)
Proceeds from Issue 0.00 1,579.64
Acquisition of Treasury Shares (89.66) 0.00
Issue Expenses (5.01) (141.56)
Net Cash Flow From/(Used In) Financing Activities (C) (112.51) 1,288.35
Net increase / decrease in cash and cash equivalents (244.86) 1,158.97
Cash and cash equivalents at the beginning of the period 1,184.50 25.53
Cash & Cash Equivalents at the End of the Period (A+B+C) 939.64 1,184.50
Particulars Year ended 31 March 2026 Year ended 31 March 2025
ASSETS
Non-current assets
(a) Property, plant and equipment 1,097.35 974.00
(b) Capital work-in-progress 229.75 31.44
(c) Intangible assets 6.04 4.83
(d) Financial assets
(i) Investments 429.86 346.01
(ii) Other financial assets 104.41 90.46
Total non-current assets 1,867.41 1,446.74
Current Assets
(a) Inventories 736.74 682.73
(b) Financial Assets
(i) Trade receivables 1,281.79 848.01
(ii) Cash and cash equivalents 975.60 1,270.54
(iii) Other bank balances 0.03 0.00
(iv) Loans and advances 108.96 117.55
(v) Others financial assets 14.11 10.69
(c) Other current assets 119.68 68.17
Total current assets 3,236.91 2,997.69
Total Assets 5,104.31 4,444.42
EQUITY AND LIABILITIES
Equity
(a) Equity share capital 374.26 374.26
(b) Other equity 3,676.26 3,314.51
Equity attributable to equity holders of the Parent 4,050.53 3,688.77
(c) Non-controlling interests 5.33 4.46
Total equity 4,055.86 3,693.24
Liabilities
Non-current liabilities
(a) Financial liabilities
(i) Borrowings 0.00 0.00
(ii) Other financial liabilities 5.12 10.28
(b) Provisions 0.00 0.00