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DLF Q4 FY26: Net profit ₹3,748 crore

May 13, 2026 4 mins read Firehose Gupta

DLF Limited — Quarter and year ended 31 March 2026

SL NO. PARTICULARS QUARTER ENDED YEAR ENDED
31.03.2026 (Audited) (refer note 2) 31.12.2025 (Unaudited) (refer note 9)
1 Income
a) Revenue from operations 2,307.22 562.90
b) Other income (refer note 6) 1,348.58 327.65
Total income 3,655.80 890.55
2 Expenses
a) Cost of land, plots, development rights, constructed properties and others 469.30 230.74
b) Employee benefits expense 120.46 92.39
c) Finance costs 8.35 25.31
d) Depreciation and amortisation expense 3.15 11.85
e) Other expenses 172.97 139.48
Total expenses 802.23 499.77
3 Profit before exceptional items and tax (1-2) 2,853.57 390.78
4 Exceptional items (refer note 6 & 7) 14.53 (35.27)
5 Profit before tax (3+4) 2,868.10 355.51
6 Tax expenses for the period / year
a) Current tax 66.79 18.20
b) Tax relating to earlier years (0.63)
c) Deferred tax 400.67 42.59
Total tax expenses for the period / year 467.46 60.16
7 Net profit for the period / year (5-6) 2,400.64 295.35
8 Other comprehensive income / (loss)
a) Items that will not be reclassified to profit and loss (2.66) 4.73
b) Income tax relating to items that will not be reclassified to profit and loss 0.67 (1.19)
Total other comprehensive income / (loss) (1.99) 3.54
9 Total comprehensive income for the period / year (7+8) 2,398.65 298.89
10 Paid-up equity share capital (face value of ₹ 2 per share) 495.06 495.06
11 Other equity
12 Earnings per equity share (face value of ₹ 2 per share) (not annualised)
Basic (₹) 9.70 1.19
Diluted (₹) 9.70 1.19
Particulars As at 31 March 2026 (Audited) As at 31 March 2025 (Audited) (refer note 9)
ASSETS
Non-current assets
Property, plant and equipment 130.03 133.26
Capital work-in-progress 1.22 0.40
Investment property 1,006.16 684.95
Other intangible assets 116.69 129.29
Intangible assets under development 1.11 8.55
Right-of-use assets 39.96 35.51
Investment in subsidiaries, associates, joint ventures and partnership firms 18,844.56 19,447.56
Financial assets
Investments 0.05 0.05
Loans 670.05 212.37
Other financial assets [includes bank deposits of ₹ 4,138.18 crores (31 March 2025: ₹ 0.01 crores)] 4,184.41 55.46
Deferred tax assets (net) 435.86 1,068.07
Non-current tax assets (net) 637.35 324.65
Other non-current assets 742.16 658.55
Total non-current assets 26,809.61 22,758.67
Current assets
Inventories 12,344.43 11,024.88
Financial assets
Investments 45.00 50.00
Trade receivables 1,353.34 213.90
Cash and cash equivalents 1,783.66 194.16
Other bank balances 3,904.30 2,322.43
Loans 143.78 933.43
Other financial assets [includes bank deposits of ₹ 848.51 crores (31 March 2025: ₹ 3,898.35 crores)] 1,661.39 4,729.42
Other current assets 1,726.76 1,154.43
Total current assets 22,962.66 20,622.65
Assets classified as held for sale 308.53
Total assets 49,772.27 43,689.85
EQUITY AND LIABILITIES
Equity
Equity share capital 495.06 495.06
Other equity 31,092.72 28,833.74
Total equity 31,587.78 29,328.80
Non-current liabilities
Financial liabilities
Borrowings 1,073.47
Lease liability 38.25 32.36
Trade payables:
(a) total outstanding dues of micro and small enterprises
(b) total outstanding dues of creditors other than micro and small enterprises 794.19 794.19
Other non-current financial liabilities 154.24 140.39
Provisions 51.29 32.08
Other non-current liabilities 19.14 8.53
Total non-current liabilities 1,057.11 2,081.02
Current liabilities
Financial liabilities
Borrowings 2,147.37
Lease liability 7.34 8.75
Trade payables:
(a) total outstanding dues of micro and small enterprises 234.41 280.56
(b) total outstanding dues of creditors other than micro and small enterprises 773.22 1,150.91
Other current financial liabilities 258.31 323.17
Other current liabilities 15,813.80 8,086.24
Provisions 31.03 17.35
Current tax liabilities (net) 9.27 235.71
Total current liabilities 17,127.38 12,250.06
Liabilities classified as held for sale 29.97
Total equity and liabilities 49,772.27 43,689.85
Particulars Year ended 31 March 2026 (Audited) Year ended 31 March 2025 (Audited) (refer note 9)
A CASH FLOWS FROM OPERATING ACTIVITIES
Profit before tax 4,490.74 2,072.46
Adjustments for:
Depreciation and amortisation expense 69.59 73.24
Profit on sale of property, plant and equipment and investment property (net) (3.50) (0.28)
Rental income on account of discounting of security deposits and straight lining effect (10.11) (33.27)
Amount forfeited on properties (0.87) (4.76)
Finance cost 140.66 338.12
Interest income (including fair value change in financial instruments) (750.12) (462.84)
Share of profit from partnership firms (net) (42.37) (26.54)
Net foreign exchange differences (0.00) 0.12
Unclaimed balances and excess provisions written back (277.97) (10.85)
Dividend income (1,650.07) (1,015.30)
Profit on sale of investments (net) (5.22) (0.02)
Allowance/write off’s of financial and non-financial assets and provisions 18.12 6.90
Exceptional items (net) (214.45) 302.39
Operating profit before working capital changes 1,764.43 1,239.37
Working capital adjustments:
Increase in trade receivables (948.27) (119.96)
Increase in inventories (670.45) (689.24)
Increase in other non-financial assets (648.21) (762.28)
Decrease in other financial assets and loans 83.98 98.35
Decrease in other financial liabilities (67.89) (138.84)
Increase in provisions 7.35 1.99
Increase in other non-financial liabilities 7,574.88 4,404.40
(Decrease)/increase in trade payables (406.44) 328.80
Cash flow from operating activities post working capital changes 6,689.38 4,362.59
Income tax (paid)/refunded, net (616.46) 325.36
Net cash flow generated from operating activities (A) 6,072.92 4,687.95
B CASH FLOWS FROM INVESTING ACTIVITIES
Proceeds from sale of property, plant and equipment and investment property 3.50 0.67
Purchase of property, plant and equipment, investment property, intangible assets and capital work-in-progress (19.20) (59.60)
Purchase of investments (94.00) (63.43)
Proceeds from disposal/redemption of investments 10.25
Proceeds from sale of mutual funds 55.02
Purchase of mutual funds (55.00)
Redemption of/(investment in) fixed deposits with maturity more than 3 months (net) (2,642.00) (4,272.39)
Loans given to subsidiaries (including partnership firms), associates and joint ventures (180.10) (1,669.05)
Loans repaid by subsidiaries (including partnership firms), associates and joint ventures 1,163.43 1,679.24
Interest received 518.13 291.94
Dividend received 1,650.07 1,015.30
Net cash flow generated from/(used in) investing activities (B) 410.08 (3,077.30)
C CASH FLOWS FROM FINANCING ACTIVITIES
Proceeds from non-current borrowings (including current maturities) 284.00
Repayment of non-current borrowings (including current maturities) (2,127.99) (69.10)
(Repayment of)/proceeds from current borrowings, net (1,138.00) (330.64)
Interest paid (130.28) (329.58)
Decrease/(increase) in restricted bank balances (net) (4.72) (4.06)
Repayment of lease liabilities (12.33) (22.43)
Dividend paid (1,480.48) (1,233.59)
Net cash flow used in financing activities (C) (4,893.80) (1,705.40)
Net increase/(decrease) in cash and cash equivalents (A+B+C) 1,589.20 (94.75)
Net foreign exchange difference (0.12)
Add: Cash and cash equivalents relating to merger during the year 0.30 2.14
Cash and cash equivalents at the beginning of the year (net of overdraft) 194.16 286.89
Cash and cash equivalents at year end (net of overdraft) 1,783.66 194.16
Components of cash and cash equivalents at period end comprises of:
Cash and cash equivalents 1,783.66 194.16
Particulars As at 31 March 2026 (Audited) As at 31 March 2025 (Audited)
ASSETS
Non-current assets
Property, plant and equipment 592.12 629.76
Capital work-in-progress 158.72 77.14
Investment property 2,360.63 1,706.49
Goodwill 944.25 944.25
Other intangible assets 117.37 130.23
Intangible assets under development 3.04 8.55
Right-of-use assets 99.41 91.55
Investments in joint ventures and associates 20,481.01 20,066.14
Financial assets
– Investments 638.21 914.46
– Loans 663.31 190.14
– Other financial assets [includes bank deposits of ₹ 5,005.51 crores (31 March 2025: ₹ 25.08 crores)] 5,170.64 150.96
Deferred tax assets (net) 1,410.15 1,002.97
Non-current tax assets (net) 1,246.86 849.16
Other non-current assets 1,