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Atishay Limited Q4 Profit Falls, EPS Drops to ₹1.61

April 24, 2026 4 mins read Firehose Gupta

Atishay Limited — quarter and year ended March 31, 2026

Particulars For the quarter ended For the year ended
31-Mar-26 (Audited) 31-Dec-25 (Unaudited) 31-Mar-25 (Audited) 31-Mar-26 (Audited)
Income
Revenue from operations 1,016.60 1,545.16 1,284.10 5,577.32
Other income (net) 42.15 47.40 58.71 218.80
Total Income 1,058.75 1,592.56 1,342.81 5,796.12
Expenses
Purchase and other operating expenditure 414.79 883.72 605.68 3,257.37
Changes in inventories of finished goods, stock-in-trade and work-in-progress 2.43 66.05 43.04 7.13
Employee benefits expense 243.35 246.74 265.38 990.90
Finance costs 14.31 6.79 10.54 36.27
Depreciation and amortization expenses 64.45 48.49 36.33 208.21
Other expenses 85.80 87.71 75.24 333.14
Total expenses 825.13 1,341.50 1,036.21 4,833.02
Profit before tax 233.62 251.06 306.60 963.10
Tax expense:
Current tax 58.12 61.90 68.60 250.00
Deferred tax (1.35) 0.53 1.53 (0.44)
Total tax expenses 56.77 62.43 70.13 249.56
Profit for the period 176.85 188.63 236.47 713.54
Other comprehensive income
Items that will not be reclassified to profit or loss:
– Remeasurements of the defined benefit plan (net) 7.67 0.97 (1.53) 10.58
Total comprehensive income for the period 184.52 189.60 234.94 724.12
Paid up equity share capital 1,103.16 1,098.13 1,098.13 1,103.16
(Face value of ₹ 10/- per equity share)
Reserve excluding revaluation reserve 4,404.63
Earnings per equity share (EPS) in ₹ (not annualised)
Basic (in ₹) 1.61 1.72 2.15 6.50
Diluted (in ₹) 1.61 1.70 2.13 6.45
Particulars As at March 31, 2026 As at March 31, 2025
Audited Audited
Assets
Non-current assets
Property, plant & equipment 684.91 363.61
Investment property 1,655.73 1,645.32
Other Intangible assets 309.97 288.95
Right-of-use assets 31.29 62.59
Intangible assets under development 43.84 79.95
Financial assets
  Loans 3.34 6.95
  Other financial assets 501.28 1,048.05
Other non-current assets 84.11 68.50
Total non-current assets 3,314.47 3,563.92
Current assets
Inventories 9.64 16.77
Financial assets
  Trade receivables 1,417.62 1,252.02
  Cash and cash equivalents 664.60 653.39
  Bank Balances other than above 39.46 45.89
  Loans 6.86 7.63
  Other financial assets 612.54 159.35
Income tax assets (net) 51.12 36.02
Other current assets 224.52 104.87
Total current assets 3,026.36 2,275.94
Total assets 6,340.83 5,839.86
Equity and liabilities
Equity
Equity share capital 1,103.16 1,098.13
Other equity 4,404.63 3,762.00
Total equity 5,507.79 4,860.13
Liabilities
Non-current liabilities
Financial liabilities
  Borrowings 176.26 79.73
Lease liabilities
Deferred tax liabilities (net) 3.81 34.50
Total non-current liabilities 180.07 118.48
Current liabilities
Financial liabilities
  Borrowings 355.61 295.13
  Trade payables
Total outstanding dues of micro enterprises and small enterprises 0.75 1.44
Total outstanding dues of creditors other than micro enterprises and small enterprises 27.08 225.28
Lease liabilities 34.49 30.88
Other financial liabilities 158.10 162.69
Other current liabilities 63.99 113.43
Provisions 12.95 31.40
Total current liabilities 652.97 861.25
Total liabilities 833.04 979.73
Total equity and liabilities 6,340.83 5,839.86
Particulars 31-Mar-26 (Audited) 31-Mar-25 (Audited)
A. Cash flows from (used in) operating activities
Profit before tax 963.10 957.89
Adjustments for:
Depreciation and amortisation expenses 208.21 183.03
Employee share based payment expenses 28.32 28.27
(Profit)/Loss on sale of property, plant and equipment (6.58) 0.97
(Profit)/Loss on sale of investment property (37.80)
Property, plant and equipments and other intangible assets written off 1.65
Interest income (48.51) (72.96)
Dividend income (5.10) (4.59)
Rental income (120.81) (134.30)
Interest expense 35.27 27.77
Expected credit loss and others adjustments 9.47 3.03
Operating profit before working capital changes 1,028.22 991.51
Adjustments for: Changes in assets & liabilities
Adjustments for decrease (increase) in inventories 7.13 90.36
Adjustments for decrease (increase) in trade receivables and unbilled revenue (255.41) (594.70)
Adjustments for decrease (increase) in other current assets (119.65) 9.76
Adjustments for decrease (increase) in other non-current assets (9.95) 2.80
Adjustments for decrease (increase) in other financial current assets (364.86) (5.79)
Adjustments for decrease (increase) in other financial non-current assets 0.13 (0.14)
Adjustments for increase (decrease) in trade payables (198.89) 42.57
Adjustments for increase (decrease) in other current liabilities (49.44) 73.31
Adjustments for increase (decrease) in other financial current liabilities (4.74) 16.35
Adjustments for increase (decrease) in provisions, current (18.45) 31.40
Cash flow from (used in) operating activities 14.09 657.43
Direct taxes paid (net of refunds) (259.81) (254.15)
Net cash flow from (used in) operating activities (A) (245.72) 403.28
Particulars 31-Mar-26 (Audited) 31-Mar-25 (Audited)
—————————————————————– ——————— ———————
B. Cash flows from (used in) investing activities
Payment for purchase of property, plant and equipment and intangible assets (441.08) (194.26)
Payment for investment properties (59.63) (23.54)
Payment for intangible asset under development (8.57)
Loan to employees (net) 4.38 0.87
Term deposits with banks (net) 554.71 5.10
Interest income 48.51 72.96
Dividend income 5.10 4.59
Proceeds from sale of property, plant and equipment 8.60 3.24
Proceeds from sale of investment properties 50.84
Payment for long term capital advance (5.66) (28.64)
Rental income 120.81 134.30
Income tax on capital gain
Net cash flow from (used in) investing activities (B) (5.29) 272.72
Particulars 31-Mar-26 (Audited) 31-Mar-25 (Audited)
—————————————————————– ——————— ———————
C. Cash flows from (used in) financing activities
Repayment of borrowings (21.98) (19.06)
Proceeds from term loan 150.00 98.25
Payment of lease liabilities (30.89) (28.51)
Dividend paid (109.66) (109.65)
Proceeds from issue of shares under employee stock option plan (ESOP) 5.03
Interest paid (36.27) (27.77)
Net Cash flow from (used in) financing activities (C) (43.78) (86.74)
Particulars 31-Mar-26 (Audited) 31-Mar-25 (Audited)
—————————————————————– ——————— ———————
Net cash flow/(outflow) during the year (A + B + C) (294.79) 589.26
Cash and cash equivalents at the beginning of the year 374.14 82.98
Cash and cash equivalents at the end of the year 357.36 374.14
Particulars 31-Mar-26 (₹ in Lakhs) 31-Mar-25 (₹ in Lakhs)
In current accounts 351.51 498.00
In overdraft against fixed deposit account (Debit balance of overdraft against fixed deposit accounts) (144.03)
In fixed deposit accounts (with original maturity of less than 3 months) 2.45 10.14
Cash in hand 300.05
Working capital loan from bank (which forms an integral part of cash management system) 0.59 1.22
Total: (307.24) lakhs (FY 2026), (279.25) lakhs (FY 2025) (307.24) (279.25)
Particulars For the quarter ended For the quarter ended For the year ended For the year ended
31-Mar-26 (Audited) 31-Dec-25 (Unaudited) 31-Mar-25 (Audited) 31-Mar-26 (Audited)
Segment Revenue
E – Governance 683.65 1,266.95 1,109.90 4,569.08
Retail & other services 332.95 278.21 174.20 1,008.24
Unallocated
Total 1,016.60 1,545.16 1,284.10 5,577.32
Less: Inter segment revenue
Total 1,016.60 1,545.16 1,284.10 5,577.32
Segment result before tax and interest
E – Governance 411.52 414.72 407.02 1,588.97
Retail & other services