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G R Infraprojects Profit Jumps on Exceptional Items

May 11, 2026 4 mins read Firehose Gupta

G R Infraprojects Limited — Quarter and year ended 31 March 2026 (Audited)

11th May 2026

Sl. No. Particulars Quarter ended 31 March 2026 (Audited) Quarter ended 31 December 2025 (Unaudited) Quarter ended 31 March 2025 (Audited) Year ended 31 March 2026 (Audited) Year ended 31 March 2025 (Audited)
I Revenue from operations 2,52,090.00 2,03,949.21 1,99,040.85 7,62,021.73 6,51,556.78
II Other income 9,880.20 12,763.34 13,888.72 46,104.75 50,034.40
III Total income (I + II) 2,61,970.20 2,16,712.55 2,12,929.57 8,08,126.48 7,01,591.18
IV (a) Cost of material consumed 12,121.19 11,359.03 10,418.28 42,201.32 30,251.45
IV (b) Construction expenses 1,91,056.65 1,53,573.33 1,32,720.02 5,62,081.47 4,55,518.44
IV (c) Decrease / (increase) in inventories of finished goods and work in progress 38.41 (1,221.14) 92.71 (1,794.12) 217.31
IV (d) Employee benefits expense (refer note 9) 14,659.15 16,924.32 14,792.77 60,454.43 60,534.40
IV (e) Finance costs 997.35 1,008.42 1,546.98 4,323.57 8,568.67
IV (f) Depreciation and amortisation expense 4,574.45 4,913.83 5,724.94 19,835.93 24,483.22
IV (g) Other expenses 6,871.34 2,771.03 6,172.39 16,046.20 14,582.52
IV Total expenses (IV) 2,30,318.54 1,89,328.82 1,71,468.09 7,03,148.80 5,94,156.01
V Profit before exceptional items and tax (III-IV) 31,651.66 27,383.73 41,461.48 1,04,977.68 1,07,435.17
VI Exceptional items (refer note 5) 21,205.26 4,110.00 3,736.84 25,315.26 2,357.14
VII Profit before tax (V+VI) 52,856.92 31,493.73 45,198.32 1,30,292.94 1,09,792.31
VIII (a) Current tax 9,847.26 8,321.01 8,565.11 29,997.67 28,426.03
VIII (b) Adjustment provision of tax relating to earlier period/year (net) 14.05 597.48 611.53 390.13
VIII (c) Deferred tax charge / (credit) 1,269.05 (639.79) (490.38) 78.12 315.46
VIII Total Income tax expense (VIII) 11,130.36 8,278.70 8,074.73 30,687.32 29,131.62
IX Profit for the period/year (VII-VIII) 41,726.56 23,215.03 37,123.59 99,605.62 80,660.69
X (a) Re-measurements gain/(loss) of defined benefit plans 591.61 (141.64) 90.06 265.07 (369.80)
X (b) Net (loss)/gain on equity instruments through OCI (39.56) 7.32 (20.67) (18.86) 10.70
X (c) Income tax relating to above (139.83) 33.96 (17.93) (62.40) 90.64
X Total other comprehensive income/(loss) (net of tax) (X) 412.22 (100.36) (268.46) 183.81 (268.46)
XI Total comprehensive income for the period/year (net of tax) (IX+X) 42,138.78 23,114.67 37,175.05 99,789.43 80,392.23
XII Paid up equity share capital (Face value of ₹ 5/- each) 4,838.04 4,838.04 4,837.03 4,838.04 4,837.03
XIII Other equity (excluding revaluation reserves) as at balance sheet date 8,82,061.64 7,83,937.17
XIV (a) Earnings per share (EPS) – Basic earning per share – (₹) 43.13 24.00 38.37 102.95 83.40
XIV (b) Earnings per share (EPS) – Diluted earning per share – (₹) 43.12 23.99 38.35 102.93 83.35

Standalone Statement of Assets and Liabilities

₹ in Lakhs As at 31 March 2026 (Audited) As at 31 March 2025 (Audited)
Assets
Non-current assets
(a) Property, plant and equipment 94,886.88 1,06,936.05
(b) Capital work-in-progress 2,679.62 13,720.27
(c) Investment property 7,715.81
(d) Intangible assets 115.95 39.53
(e) Right of use assets 545.33 541.92
(f) Intangible asset under development 271.20
(g) Financial assets
(i) Investments 3,06,461.47 2,67,968.81
(ii) Loans 1,26,850.14 1,44,220.75
(iii) Other financial assets 184.52 408.39
(h) Income tax assets (net) 1,331.65 1,738.75
(i) Other assets 2,717.81 2,052.20
Total Non-Current Assets 5,43,760.38 5,37,626.67
Current assets
(a) Inventories 73,902.55 53,801.37
(b) Financial assets
(i) Investments 24,535.34 31,332.11
(ii) Trade receivables 2,37,231.86 1,84,217.44
(iii) Cash and cash equivalents 65,627.69 42,327.35
(iv) Bank balances other than (iii) above 1,074.27 16,169.38
(v) Other financial assets 22,224.75 5,918.70
(c) Other assets 1,29,084.41 1,08,608.81
Total Current Assets 5,53,680.87 4,42,375.16
Total Assets 10,97,441.25 9,80,001.83
Equity and liabilities
Equity
(a) Equity share capital 4,838.04 4,837.03
(b) Other equity 8,82,061.64 7,83,937.17
Total Equity 8,86,899.68 7,88,774.20
Liabilities
Non-current liabilities
(a) Financial liabilities
(i) Borrowings 22,258.68 36,290.14
(ii) Lease liabilities 178.73 101.81
(b) Provisions 1,891.04 2,156.12
(c) Deferred tax liabilities (net) 18,441.80 18,301.28
Total Non-Current Liabilities 42,770.25 56,849.35
Current liabilities
(a) Financial liabilities
(i) Borrowings 1,186.23 14,943.87
(ii) Lease liabilities 218.83 358.33
(iii) Trade payables
(a) Total outstanding dues of micro enterprises and small enterprises 19,768.02 4,992.86
(b) Total outstanding dues of creditors other than micro enterprises and small enterprises 87,545.33 79,403.79
(iv) Other financial liabilities 8,291.87 11,857.36
(b) Other liabilities 36,122.05 10,378.82
(c) Provisions 12,501.61 8,871.42
(d) Tax liabilities (net) 2,137.38 3,571.83
Total Current Liabilities 1,67,771.32 1,34,378.28
Total Liabilities 2,10,541.57 1,91,227.63
Total Equity and Liabilities 10,97,441.25 9,80,001.83

Annexure 1 – Statement of Standalone Cash Flow (Summary tables)

Description Year ended 31 March 2026 (Audited) Year ended 31 March 2025 (Audited)
Profit before tax 1,30,292.94 1,09,792.31
Description 2026 2025
Depreciation and amortisation expenses 19,835.93 24,483.22
Impairment allowances (Provision for doubtful trade receivable) 70.56
Balances written off 1,329.00
Impairment loss of trade receivables (Bad debts written off) 2,427.37 4,538.76
Liabilities no longer payable written back (101.96) (149.88)
Provision for doubtful advances 2.50
Reversal of impairment allowances (Provision for doubtful trade receivable) (113.22)
Exceptional items (25,315.26) (2,357.14)
Share based payment expenses 552.84 389.09
Interest income on loan and other financial assets (32,789.47) (25,716.32)
Dividend income from associate (2,295.97) (11,730.67)
Net gain on sale of current investments (3,169.74) (1,573.61)
Net loss/(gain) on fair value on financial assets measured at FVTPL 213.53 (227.35)
Distribution received from associate (96.47)
Net unrealised gain on account of foreign exchange fluctuation (316.62) (0.50)
Net profit on sale of property, plant and equipment (3,103.94) (4,321.39)
Finance costs 4,323.57 8,568.67
2026 2025
Operating Profit before Working Capital changes 91,955.28 1,01,485.50
Description 2026 2025
(Increase) / decrease in financial and non-financial assets (31,015.33) 12,536.16
(Increase) / decrease in inventories (20,101.18) 22,964.09
(Increase) in trade receivables (55,512.35) (16,361.04)
Increase in trade payables 22,916.41 5,196.23
Increase / (decrease) in provisions, financial and non-financial liabilities 25,655.36 (14,401.67)
2026 2025
Cash flows generated from operating activities 33,898.19 1,11,419.27
Income tax paid (net of refunds) 2026 2025
Income tax paid (net of refunds) (32,005.42) (25,627.26)
Net Cash flows generated from operating activities (A) 2026 2025
Net Cash flows generated from operating activities (A) 1,892.77 85,792.01
Description 2026 2025
Purchase of property, plant and equipment, capital work in progress and investment property (12,550.64) (13,294.31)
Purchase of intangible assets and intangible under development (375.58) (8.44)
Proceeds from sale of items of property, plant and equipment 11,557.06 10,290.26
Loans given to subsidiaries (73,040.54) (61,105.86)
Loans repaid by subsidiaries and associate’s subsidiaries 1,07,187.63 8,225.53
Investment in subsidiaries (including perpetual debts) (52,229.48) (15,005.30)
Redemption of investment in perpetual debts 2,303.95
Proceeds from sale of equity shares in subsidiary company (including assignment of loan receivables) (refer note 5) 25,796.82 51,563.92
Redemption of investment in associate 6,502.04 366.58
Purchase of equity shares in subsidiaries (including loan) (1,888.04) (1,812.72)
Redemption / (Purchase) of current investment (net) 9,752.98 (29,475.48)
Changes in earmarked balance with banks 829.18 (1,027.47)
Investment in bank deposits having original maturity more than three months (453.13) (12,874.54)
Redemptions in bank deposits having original maturity more than three months 14,603.17 13,270.55
Distribution/dividend received from associate 2,295.97 11,827.14
Interest received 16,089.59 12,372.05
Net Cash flows generated from / (used in) investing activities (B) 2026 2025
Net Cash flows generated from / (used in) investing activities (B) 56,380.98 (26,688.09)
Description 2026 2025
Proceeds from issue of equity shares 202.22 512.98
Dividend paid to shareholders (3,248.19) (11,065.07)
Proceeds from non-current borrowings 12,500.00
Repayment of non-current borrowings (26,246.16) (31,096.37)
Proceeds from current borrowings (net) (5,000.00)
Payment of lease liabilities (451.33) (872.73)
Interest and finance charges paid (5