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Lloyds Engineering Q1 FY26 Revenue Jumps to ₹495.02 crore

May 5, 2026 5 mins read Firehose Gupta

LLOYDS ENGINEERING WORKS LIMITED — Quarter and year ended 31 March 2026 (Audited)

The following tables are extracted from the provided document.

Sr. No. Particulars Quarter Ended March 31, 2026 (Audited) Quarter Ended December 31, 2025 (Audited) Quarter Ended March 31, 2025 (Audited) Year Ended March 31, 2026 (Audited) Year Ended March 31, 2025 (Audited)
March 31, 2026 (Audited) December 31, 2025 (Audited) March 31, 2025 (Audited) March 31, 2026 (Audited) March 31, 2025 (Audited)
I Revenue From Operations 495.02 272.45 231.96 1,301.14 845.74
II Other Income 8.78 24.07 6.77 49.84 24.16
III Total Revenue (I+II) 503.80 296.52 238.73 1,350.98 869.90
Expenses
a) Cost of Materials Consumed 298.74 122.17 110.61 681.48 428.43
b) Purchase of Traded Goods 24.45 33.21 8.24 92.73 59.35
c) Changes in Inventories of Finished Goods, Work-in-Progress and Stock-in Trade (20.47) (12.88) 13.26 (19.58) 47.69
d) Employee Benefits Expense 26.27 24.11 17.18 92.79 50.25
e) Manufacturing and Other Expenses 104.86 52.92 48.01 264.49 124.85
f) Finance Cost 3.67 4.01 2.98 13.98 8.53
g) Depreciation & Amortisation Expense 6.88 6.37 3.01 22.19 9.66
Total Expenses (a to g) 444.40 229.91 203.29 1,148.08 728.76
V Profit / (Loss) before Exceptional Items and Tax (III-IV) 59.40 66.61 35.44 202.90 141.14
VI Exceptional Items
VII Profit / (Loss) before Tax (V-VI) 59.40 66.61 35.44 202.90 141.14
Tax Expense
– Current Tax 17.03 10.51 9.41 41.19 33.01
– Deferred Tax Expenses / (Income) 4.21 0.22 2.20 7.29 (1.19)
– Income tax of earlier years (0.80) (0.29) 1.32 (1.09) 1.32
IX Profit for the period before share of Profit /(Loss) in Associate (VII-VIII) 38.96 56.17 22.51 155.51 108.00
X Share in Profit/(Loss) of Associates 7.53 10.53 (2.96) 42.06 (2.96)
XI Profit / (Loss) for the period & share in profit /(Loss) of Associate (IX+X) 46.49 66.70 19.55 197.57 105.04
Attributable to: Shareholders of the company 46.83 61.03 18.26 189.88 103.14
Non-controlling interest (0.34) 5.67 1.30 7.69 1.90
Other Comprehensive Income (OCI)
a) Items that will not be reclassified to Profit & Loss (0.58) 0.52 (0.78) (0.08) (1.40)
b) Income Tax relating to (a) above 0.14 (0.13) 0.20 0.02 0.35
c) Items that will be reclassified to profit and loss
d) Income Tax relating to (c) above
Other Comprehensive Income (0.44) 0.39 (0.58) (0.06) (1.05)
Attributable to: Shareholders of the company (0.51) 0.40 (0.58) (0.05) (1.00)
Non-controlling interest 0.07 (0.01) (0.01) (0.05)
Total Comprehensive Income/(loss) for the period (XI+XII) 46.05 67.09 18.97 197.51 103.99
XIII Attributable to: Shareholders of the company 46.33 61.43 17.68 189.83 102.14
Non-controlling interest (0.27) 5.66 1.30 7.68 1.85
XIV Paid up Equity Share Capital (of Re 1/- each) 143.95 131.99 116.55 143.95 116.55
XV Other Equity excluding Revaluation Reserve 1,526.90 531.44
Earnings Per Share (EPS)
EPS – Basic (in Rs) (not annualised) 0.34 0.51 0.16 1.52 0.89
EPS – Diluted (in Rs) (not annualised) 0.34 0.49 0.16 1.49 0.89
Sr. No. Particulars March 31, 2026 (Audited) March 31, 2025 (Audited)
A ASSETS
1 Non-Current Assets
a Property, Plant and Equipment 182.02 78.91
b Capital Work In Progress 71.14 63.09
c Goodwill 166.95 122.78
d Right of Use Assets 75.80 24.97
e Other Intangible Assets 6.17 6.68
f Financial Assets
– Other Financial Assets 12.96 8.67
– Loan 0.08 0.11
g Investments 76.53 15.87
h Deferred Tax Assets (Net) 4.41 9.45
i Other Non-Current Assets 104.26 17.18
Sub Total Non-Current Assets 700.32 347.71
2 Current Assets
a Inventories 432.75 86.20
b Financial Assets
– Trade Receivables 239.91 271.45
– Cash and Cash equivalents 336.39 0.24
– Other Balance with Banks 60.33 126.75
– Loans 131.02 37.45
– Other current financial Assets 77.25 22.84
c Current Tax Assets (Net) 2.61 3.92
d Other Current Assets 388.50 94.15
Sub Total Current Assets 1,668.76 643.00
TOTAL ASSETS 2,369.08 990.71
B EQUITY AND LIABILITIES
1 Equity
a Equity Share Capital 143.95 116.55
b Other Equity 1,526.90 531.44
c Non Controlling Interest 12.46 17.74
Total Equity 1,683.31 665.73
LIABILITIES
2 Non-Current Liabilities
a Financial Liabilities
i Borrowings 9.20 15.48
ia Lease Liabilities 60.10 20.65
b Provisions 8.57 6.01
c Deferred tax liabilities (net) 4.32 0.20
d Other non current liabilities 0.79 0.11
Sub Total Non-Current Liabilities 82.98 42.45
3 Current Liabilities
a Financial Liabilities
i Borrowings 24.63 42.87
ia Lease Liabilities 14.64 3.65
ii Trade Payables
– Total outstanding dues of Micro & Small Enterprises 11.39 11.89
– Total outstanding dues of Other than Micro & Small Enterprises 180.90 91.74
iii Others 3.98 1.00
b Provisions 12.43 7.57
c Current Tax Liability Net 3.92 0.08
d Other Current Liabilities 350.90 123.73
Sub Total Current Liabilities 602.79 282.53
Total Liabilities 685.77 324.98
TOTAL EQUITY AND LIABILITIES 2,369.08 990.71
Sr No. Particulars Year Ended March 31, 2026 (Audited) Year Ended March 31, 2025 (Audited)
A CASH FLOW FROM OPERATING ACTIVITIES :
Profit/(Loss) before Tax 202.90 141.14
Adjustments For:
Depreciation and Amortization Expenses on Tangible Assets 22.19 9.66
Loss/(gain) on sale of Property, Plant & Equipment (Net of loss on Assets Scrapped/written off) (12.39) (0.01)
Remeasurements of the defined benefit liabilities/asset (before tax effects) (0.26) (1.02)
Compensation Cost on ESOP 7.45 6.09
Gain of Termination of Lease Rent (0.65) (0.03)
Interest Income (19.08) (21.25)
Finance Cost 13.52 7.90
Unrealized Exchange (gain) /Loss (net) 0.65
OPERATING PROFIT/(LOSS) BEFORE WORKING CAPITAL CHANGES 214.33 142.48
Movements in Working Capital
Decrease / (Increase) in Inventories (287.76) 63.06
Decrease / (Increase) in Trade Receivables 46.86 (64.91)
Decrease / (Increase) in Other Current Assets (287.33) (46.65)
Decrease / (Increase) in Other Non-Current Assets (87.07) 16.21
Decrease / (Increase) in Other Financial Assets – Non Current (2.61) (3.64)
Decrease / (Increase) in Other Financial Assets – Current (38.57) (9.26)
Decrease / (Increase) in Other Bank Balances 66.10 (7.89)
Increase / (Decrease) in Trade Payables 76.04 45.42
Increase / (Decrease) in Borrowings – Current (7.60)
Increase / (Decrease) in Other Current Liabilities 87.43 69.62
Increase / (Decrease) in Provision, Current portion 4.05 0.56
Increase / (Decrease) in Provision, Non-Current portion 1.22 0.12
Increase / (Decrease) in Other Non-Current Liabilities 0.53 (0.06)
Increase / (Decrease) in Other Financial Liabilities, current portion 2.72 (1.54)
Increase / (Decrease) in Other Financial Liabilities, non-current portion (14.68) (4.96)
CASH GENERATED FROM/(USED IN) OPERATIONS (218.74) 190.96
Direct Taxes (Paid) / Net of Refunds (34.16) (37.74)
NET CASH GENERATED FROM/(USED IN) OPERATING ACTIVITIES (A) (252.90) 153.22
B CASH FLOW FROM INVESTING ACTIVITIES :
Payment towards capital expenditure (80.72) (66.89)
Proceeds from sale of Property, Plant and Equipment 19.24 0.32
Inter Corporate Deposits (Given) / Refunded (Net) (73.26) (18.15)
Investment in Shares (80.48) (39.21)
Investment in Fixed Deposit receipts (260.00)
Interest Received 14.15 14.76
NET CASH GENERATED FROM/(USED IN) INVESTING ACTIVITIES (B) (461.07) (109.17)
C CASH FLOW FROM FINANCING ACTIVITIES :
Repayment of Borrowings (26.41) (27.96)
Proceeds from Short term Borrowings 1.88
Proceeds from Long Term Borrowings 10.88
Dividend Paid (33.00) (22.89)
Transaction Cost for Merger (0.33)
Transaction Cost for Right Issue (7.50) (1.66)
Proceeds from issue of equity Shares through ESOP 4.88 2.57
Proceeds from issue of equity Shares through Right issue 857.23
Interest Paid (9.18) (6.03)
NET CASH GENERATED FROM/(USED IN) FINANCING ACTIVITIES (C) 787.57 (45.09)
NET INCREASE/(DECREASE) IN CASH AND CASH EQUIVALENTS (A+B+C) 73.60 (1.04)
Description Value (Year Ended March 31, 2026) Value (Year Ended March 31, 2025)
Cash and cash equivalent at the beginning of the Year 0.24 1.00
Cash and cash equivalent taken on acquisition 0.83 0.28
Cash and cash equivalent at the end of the Year 74.67 0.24
Net increase/(decrease) in cash and cash equivalents 73.60 (1.04)
Particulars Year Ended March 31, 2026 Year Ended March 31, 2025
Components of cash and cash equivalents
Cash in hand
Balance with Bank
Balance with Schedule Banks in: Current