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Investment Trust of India: PAT jumps to ₹3,471 crore

May 13, 2026 4 mins read Firehose Gupta

The Investment Trust of India Limited — Quarter and year ended March 31, 2026 (Consolidated and Standalone)

The following tables are extracted from the provided quarterly results document.

Sr.No. Particulars Quarter ended 31.03.2026 (Audited) Quarter ended 31.12.2025 (Unaudited) Quarter ended 31.03.2025 (Audited) Year ended 31.03.2026 (Audited) Year ended 31.03.2025 (Audited)
1 Revenue from operations 5,312.40 8,226.26 9,398.52 28,454.29 35,296.87
2 Other income 232.60 740.95 158.48 1,716.61 1,202.22
3 Total income (1+2) 5,545.00 8,967.21 9,557.00 30,170.90 36,499.09
4a Purchase of traded goods 6.24
4b Employee benefits expense 2,680.61 3,348.55 3,273.90 12,336.77 12,489.46
4c Finance costs 444.05 1,034.22 996.20 3,684.80 3,702.63
4d Depreciation and amortisation expense 192.00 255.49 303.30 1,003.87 1,109.12
4e Other expenses 2,214.25 2,965.34 3,820.17 10,370.31 13,574.33
4 Total expenses (a+b+c+d+e) 5,530.91 7,603.60 8,393.57 27,395.75 30,881.78
5 Profit before share of profit of associates, exceptional items and tax (3-4) 14.09 1,363.61 1,163.43 2,775.15 5,617.31
6 Share of profit/(loss) of associates 790.80 244.01 (63.30) 1,753.15 1,043.51
7 Profit before exceptional items and tax (5+6) 804.89 1,607.62 1,100.13 4,528.30 6,660.82
8 Exceptional Items: Profit on loss of control of Subsidiary (Refer Note No.6) 107.17 107.17
9 Profit before tax (7+8) 804.89 1,714.79 1,100.13 4,635.47 6,660.82
10a Tax expense: Current tax 229.06 439.43 342.98 1,250.80 2,023.70
10b Tax in respect of earlier years 52.70 7.72 131.97 63.26 194.22
10c Deferred tax charge/(credit) (86.05) (12.82) (59.47) (150.04) (149.57)
11 Net Profit after tax (9-10) 609.18 1,280.46 684.65 3,471.45 4,592.47
12A(i) Other comprehensive income/(loss): Items that will not be reclassified to profit or loss 88.80 (6.48) (8.74) 70.55 (22.74)
12A(ii) Income tax relating to items that will not be reclassified to profit or loss (22.34) 1.64 2.32 (17.75) 5.84
12B(i) Items that will be reclassified to profit or loss
12B(ii) Income tax relating to items that will be reclassified to profit or loss
12 Total other comprehensive income/(loss) (A+B) 66.46 (4.84) (6.42) 52.80 (16.90)
13 Total comprehensive income/(loss) (11+12) 675.64 1,275.62 678.23 3,524.25 4,575.57
14 Paid-up equity share capital (Face value of ₹10 per share) 5,224.22 5,224.22 5,224.22 5,224.22 5,224.22
15 Other Equity (excluding revaluation reserves) 68,336.43 65,293.76
16a Earning per share (not annualised for the quarter): Basic (₹) 1.18 2.27 1.10 5.76 8.14
16b Earning per share (not annualised for the quarter): Diluted (₹) 1.18 2.27 1.10 5.76 8.14
Particulars Quarter ended 31.03.2026 (Audited) Quarter ended 31.12.2025 (Unaudited) Quarter ended 31.03.2025 (Audited) Year ended 31.03.2026 (Audited) Year ended 31.03.2025 (Audited)
Segment Revenue – Broking and related services 4,027.03 3,662.46 4,513.04 15,185.44 18,868.16
Segment Revenue – Investment and Advisory services 593.93 2,059.83 722.63 4,012.35 6,148.92
Segment Revenue – Trading activities 6.27
Segment Revenue – Financing activities 719.29 2,779.19 4,361.08 9,521.18 11,110.03
Segment Revenue – Asset management activities 649.29 956.98 528.18 3,728.83 2,484.72
Segment Revenue – Total 5,989.54 9,458.46 10,124.93 32,447.80 38,618.10
Less: Inter segment revenue 444.54 491.25 567.93 2,276.90 2,119.01
Net income from operations 5,545.00 8,967.21 9,557.00 30,170.90 36,499.09
Segment results – Profit/(loss) before interest and tax: Broking and related services 1,023.62 843.89 1,362.31 3,226.89 6,060.02
Segment results – Profit/(loss) before interest and tax: Investment and advisory services (21.09) 489.72 (8.21) 486.52 1,529.70
Segment results – Profit/(loss) before interest and tax: Trading activities 0.19 0.19
Segment results – Profit/(loss) before interest and tax: Financing activities 442.07 1,520.18 1,705.37 4,743.75 4,421.42
Segment results – Profit/(loss) before interest and tax: Asset management activities (986.46) (455.96) (900.03) (1,997.21) (2,691.39)
Segment results – Profit/(loss) before interest and tax: Total 458.14 2,397.83 2,159.63 6,459.95 9,319.94
Less: Finance cost 444.05 1,034.22 996.20 3,684.80 3,702.63
Net Profit/(Loss) after Finance Cost 14.09 1,363.61 1,163.43 2,775.15 5,617.31
Segment Assets: Broking and related services 68,226.82 62,423.05 89,975.80 68,226.82 89,975.80
Segment Assets: Investment and advisory services 53,188.13 53,677.97 52,854.95 53,188.13 52,854.95
Segment Assets: Trading activities 1,098.26 1,230.23 1,153.34 1,098.26 1,153.34
Segment Assets: Financing activities 28,319.80 28,915.28 82,217.05 28,319.80 82,217.05
Segment Assets: Asset management activities 9,111.01 8,514.90 9,470.31 9,111.01 9,470.31
Inter segment assets (60,134.09) (58,776.77) (81,437.57) (60,134.09) (81,437.57)
Segment Assets – Total 99,809.93 95,984.65 1,54,233.88 99,809.93 1,54,233.88
Segment Liabilities: Broking and related services 33,269.96 28,047.46 56,715.92 33,269.96 56,715.92
Segment Liabilities: Investment and advisory services 4,590.69 5,017.73 4,684.85 4,590.69 4,684.85
Segment Liabilities: Trading activities
Segment Liabilities: Financing activities 2,112.46 3,031.28 46,017.26 2,112.46 46,017.26
Segment Liabilities: Asset management activities 1,911.81 2,042.41 1,951.82 1,911.81 1,951.82
Inter segment liabilities (15,601.88) (14,993.64) (30,454.34) (15,601.88) (30,454.34)
Segment Liabilities – Total 26,283.04 23,145.24 78,915.51 26,283.04 78,915.51
Particulars As at March 31, 2026 (Audited) As at March 31, 2025 (Audited)
I ASSETS
1 Non-current assets
(a) Property, plant and equipment 519.67 876.23
(b) Right-of-use assets 400.74 1,057.82
(c) Intangible assets 64.72 96.67
(d) Intangible assets under development 26.97 16.93
(e) Goodwill on consolidation 156.60 807.06
(f) Investments in associates 20,428.74 11,800.87
(g) Financial Assets: (i) Investments 9,950.60 9,516.16
(g) Financial Assets: (ii) Loans 3,519.95 938.16
(g) Financial Assets: (iii) Other financial assets 858.47 733.58
(h) Deferred tax assets (Net) 3,409.37 3,499.15
(i) Other Non-current assets 1,154.28 999.55
Total non-current assets 40,490.11 30,342.18
2 Current assets
(a) Inventories 3.15
(b) Financial Assets: (i) Investments 5,223.15 6,732.55
(b) Financial Assets: (ii) Trade receivables 17,177.47 7,170.98
(b) Financial Assets: (iii) Cash and cash equivalents 2,618.24 20,756.34
(b) Financial Assets: (iv) Bank balances other than cash and cash equivalents 20,343.64 18,266.41
(b) Financial Assets: (v) Loans 8,001.56 59,750.26
(b) Financial Assets: (vi) Other financial assets 4,911.05 9,702.60
(c) Other Current Assets 1,044.71 1,509.41
Total current assets 59,319.82 1,23,891.70
TOTAL ASSETS 99,809.93 1,54,233.88
II EQUITY AND LIABILITIES
1 Equity
(a) Share Capital 5,224.22 5,224.22
(b) Other Equity 68,336.43 65,293.76
Total Equity attributable to owners of the Company 73,560.65 70,517.98
(c) Non-controlling Interest (33.76) 4,800.39
Total Equity 73,526.89 75,318.37
2 Liabilities
Non-current liabilities
(a) Financial Liabilities: (i) Borrowings 29.56
(a) Financial Liabilities: (ii) Lease liabilities 387.95 1,026.53
(b) Provisions 512.26 410.96
Total non-current liabilities 900.21 1,467.05
Current liabilities
(a) Financial Liabilities: (i) Borrowings 5,120.63 36,349.96
(a) Financial Liabilities: (ii) Lease liabilities 84.45 423.62
(a) Financial Liabilities: (iii) Trade payables 16,304.21 33,908.61
(a) Financial Liabilities: (iv) Other Financial Liabilities 2,868.58 5,549.26
(b) Other current liabilities 764.48 955.68
(c) Provisions 240.48 261.33
Total current liabilities 25,382.83 77,448.46
TOTAL EQUITY AND LIABILITIES 99,809.93 1,54,233.88
Particulars Year ended March 31, 2026 (Audited) Year ended March 31, 2025 (Audited)
A CASH FLOW FROM OPERATING ACTIVITIES
Net profit before tax and extraordinary items 4,635.47 6,660.82
Adjustments for: Depreciation and amortisation expense 1,003.87 1,109.12
Adjustments for: Amortisation of share issue expenses 0.40 0.90
Adjustments for: Net (gain)/ loss on fair valuation of investments through profit and loss (514.40) (607.16)
Adjustments for: Impairment on Financial Asset 359.17 2,339.49
Adjustments for: Net (gain)/ loss on sale of investments (107.17) (12.46)
Adjustments for: Interest pertaining to lease liability 65.32 163.38
Adjustments for: Net (gain)/ loss on Lease Modification (191.03) (21.29)
Adjustments for: Remeasurements of post employment benefit obligations 70.55 (22.87)
Adjustments for: Adjustment on account of investments in subsidiary (146.89)
Adjustments for: Share of