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Indian Hume Pipe Q1 FY26: Profit jumps on exceptional items

May 15, 2026 4 mins read Firehose Gupta

The Indian Hume Pipe Co. Ltd. — Quarter and year ended March 31, 2026

The Indian Hume Pipe Co. Ltd. — Statement of Audited Financial Results (INR in Lakhs)

Sr. No. PARTICULARS Quarter ended March 31, 2026 Unaudited (Refer Note 3) Quarter ended December 31, 2025 Unaudited Quarter ended March 31, 2025 Unaudited (Refer Note 3) Year ended March 31, 2026 Audited Year ended March 31, 2025 Audited
1 Revenue
a Revenue from operations (Refer Note No.5) 35129.75 28205.69 39210.19 130556.83 149123.14
b Other income 1092.55 1047.98 312.40 4482.10 894.06
Total revenue 36222.30 29253.67 39522.59 135038.93 150017.20
2 Expenses
a Cost of materials consumed 3510.35 4079.97 3818.69 16373.42 13290.24
b Changes in inventories of finished goods, work-in-progress and stock in trade 684.94 18.45 (579.26) (194.35) (823.68)
c Construction expenses 21600.31 16817.39 24687.69 78366.34 98619.35
d Manufacturing and other expenses 1309.32 1357.63 1401.12 5368.09 3817.66
e Employee benefits expenses 2946.84 2646.82 2943.02 11475.73 10632.80
f Finance costs 1155.80 1176.37 1615.93 4741.87 6234.70
g Depreciation and amortisation expenses 521.35 505.78 431.79 1978.15 1469.97
h Other expenses 1246.08 1073.00 1340.52 4594.99 4969.28
Total expenses 32974.99 27675.41 35659.50 122704.24 138210.32
3 Profit / (loss) from ordinary activities before exceptional items (1-2) 3247.31 1578.26 3863.09 12334.69 11806.88
4 Exceptional Items (Refer Note No.6) 0.00 6433.35 54522.05 6433.35 54522.05
5 Profit / (loss) from ordinary activities before tax (3+4) 3247.31 8011.61 58385.14 18768.04 66328.93
6 Tax expenses
a Current tax (Refer Note No.6) 486.81 1885.81 8768.98 4342.42 10785.73
b Deferred tax 462.18 (25.63) (310.85) 314.56 (262.04)
Total tax expenses 948.99 1860.18 8458.13 4656.98 10523.69
7 Net profit / (loss) from ordinary activities after tax (5-6) 2298.32 6151.43 49927.01 14111.06 55805.24
8 Extraordinary items (net of tax expenses)
9 Net profit / (loss) for the period / year (7+8) 2298.32 6151.43 49927.01 14111.06 55805.24
10 Other comprehensive income
a Items not to be reclassified to profit or loss
– Remeasurement of defined benefit plans (0.67) 84.64 (133.07) (174.01) (314.22)
– Equity instruments through other comprehensive income (99.22) (4.92) (97.63) (158.45) (42.10)
– Income tax relating to items that will not be reclassified to profit or loss 7.46 (28.39) 40.77 46.19 82.24
b Items to be reclassified to profit or loss
Other comprehensive income / (loss) for the period / year (net of tax) (92.43) 51.33 (189.93) (286.27) (274.08)
11 Total comprehensive income / (loss) for the period / year (9+10) 2205.89 6202.76 49737.08 13824.79 55531.16
12 Paid-up equity share capital (Face value of INR 2/- each) 1053.64 1053.64 1053.64 1053.64 1053.64
13 Other equity 147382.34 136613.09
14 Earnings per share (of INR 2/- each) (not annualised)
Basic and Diluted earnings per share (in INR) 4.37* 11.67* 94.77* 26.79 105.93

The Indian Hume Pipe Co. Ltd. — Segmentwise Revenue, Results, Assets and Liabilities (INR in Lakhs)

Sr. No. PARTICULARS Quarter ended March 31, 2026 Unaudited (Refer Note 3) Quarter ended December 31, 2025 Unaudited Quarter ended March 31, 2025 Unaudited (Refer Note 3) Year ended March 31, 2026 Audited Year ended March 31, 2025 Audited
1 Segment Revenue
a. Construction 35129.75 28205.69 39210.19 130556.83 145986.57
b. Real Estate (Refer Note No.5) 3136.57
Total 35129.75 28205.69 39210.19 130556.83 149123.14
Less: Inter-segment revenue
Net Income from Operations 35129.75 28205.69 39210.19 130556.83 149123.14
2 Segment Results
Profit/(Loss) before tax and finance costs
a. Construction 4439.50 2779.08 5479.02 17137.40 14905.06
b. Real Estate (36.39) (24.45) (60.84) 3136.52
c. Exceptional items (Refer Note No.6) 6433.35 54522.05 6433.35 54522.05
Total 4403.11 9187.98 60001.07 23509.91 72563.63
Less: Finance costs 1155.80 1176.37 1615.93 4741.87 6234.70
Less/Add: Excess of Unallocable Expenditure over Unallocable (Income)
Total Profit before Tax 3247.31 8011.61 58385.14 18768.04 66328.93
3 Segment Assets
a. Construction 215450.66 219438.85 215541.55 215450.66 215541.55
b. Real Estate 15601.87 14321.04 11948.68 15601.87 11948.68
Unallocable Assets 49325.47 46503.60 46150.17 49325.47 46150.17
Total Assets 280378.00 280263.49 273640.40 280378.00 273640.40
4 Segment Liabilities
a. Construction 106220.27 112994.05 121363.09 106220.27 121363.09
b. Real Estate 25201.16 20518.76 14089.99 25201.16 14089.99
Unallocable Liabilities 520.59 520.59 520.59 520.59 520.59
Total Liabilities 131942.02 134033.40 135973.67 131942.02 135973.67

The Indian Hume Pipe Co. Ltd. — Statement of Assets and Liabilities (INR in Lakhs) — Assets

PARTICULARS Audited As at 31-03-2026 Audited As at 31-03-2025
A ASSETS
1 Non-current assets
(a) Property, plant and equipment 13571.07 13940.37
(b) Capital work-in-progress 121.54 110.36
(c) Investment property 544.15 585.28
(d) Intangible assets 60.84 28.95
(e) Right of use assets 530.40 762.81
(f) Financial assets
(i) Investments 367.88 497.23
(ii) Trade receivables 9137.07 5888.58
(iii) Other financial assets 2781.66 2403.69
(g) Deferred tax assets (net) 450.69 719.06
(h) Income tax assets (net) 2098.23 1091.87
(i) Other non-current assets 1378.43 1374.63
Total non-current assets 31041.96 27402.83
2 Current Assets
(a) Inventories 24965.61 21020.65
(b) Financial assets
(i) Investments 39760.87 17550.63
(ii) Trade receivables 48471.57 64863.32
(iii) Cash and cash equivalents 3772.62 1422.75
(iv) Bank balances other than cash and cash equivalents 43128.29 42916.49
(v) Other financial assets 1499.31 1006.99
(c) Other current assets 87694.35 97456.74
Total current assets 249292.62 246237.57
3 Asset held for sale (Refer Note No.7) 43.42 0.00
Total assets 280378.00 273640.40

The Indian Hume Pipe Co. Ltd. — Statement of Assets and Liabilities (INR in Lakhs) — Equity and Liabilities

PARTICULARS Audited As at 31-03-2026 Audited As at 31-03-2025
B EQUITY AND LIABILITIES
Equity
(a) Equity share capital 1053.64 1053.64
(b) Other equity 147382.34 136613.09
Total equity 148435.98 137666.73
Liabilities
1 Non-current liabilities
(a) Financial liabilities
(i) Borrowings 121.08 97.42
(ii) Lease liability 331.91 606.21
(iii) Trade payables
– Total outstanding due to Micro & Small Enterprises
– Total outstanding dues of creditors other than Micro and Small Enterprises 2937.29 1642.19
(iv) Other financial liabilities 3600.32 3600.32
(b) Provisions 831.66 757.06
(c) Other non-current liabilities 1167.52 1020.50
Total non-current liabilities 8989.78 7723.70
2 Current liabilities
(a) Financial liabilities
(i) Borrowings 40970.28 44852.59
(ii) Lease liability 274.29 228.67
(iii) Trade payables
– Total outstanding due to Micro & Small Enterprises 3889.45 3927.20
– Total outstanding dues of creditors other than Micro and Small Enterprises 42310.78 48948.07
(iv) Other financial liabilities 22195.75 11893.48
(b) Other current liabilities 11982.62 17046.06
(c) Provisions 808.48 833.31
(d) Current tax liabilities (net) 520.59 520.59
Total current liabilities 122952.24 128249.97
Total liabilities 131942.02 135973.67
Total equity and liabilities 280378.00 273640.40

The Indian Hume Pipe Co. Ltd. — Statement of Cash Flow (INR in Lakhs)

Particulars Year ended March 31, 2026 (Audited) Year ended March 31, 2025 (Audited)
Cash flow from operating activities
Profit after tax 14111.06 55805.24
Adjustments for:
Income tax expenses 4656.98 10523.69
Finance costs 4741.87 6234.70
Interest income (3024.00) (655.13)
Dividend income (10.50) (11.58)
Rent from Investment property (40.81) (53.39)
(Gain) on fair value of investment (1194.10) (25.79)
(Gain) on sale of investment in mutual funds (16.32) (24.72)
(Gain) / loss on disposal of Property, Plant and Equipment including Investment property (net) (6475.53) (54569.30)
Depreciation and amortisation expenses 1978.15 1469.97
Allowance for expected credit (net) (191.26) 333.19
Bad debts and advances written off 214.62 31.53
Operating profit before working capital changes 14750.16 19058.41
Movements in working capital:
Decrease in trade receivables 13119.90 3467.39
Decrease / (Increase) in other receivables 9277.07 (9376.78)
(Increase) in inventories (3944.96) (6729.41)
(Decrease) / Increase in trade payables (5379.94) 5448.33
Increase in other