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RajNish Retail Limited Posts 73.22 Profit in March 2026 Quarter

May 6, 2026 4 mins read Firehose Gupta

RAJNISH RETAIL LIMITED — Quarter ended 31st March, 2026 (Year ended 31st March, 2026)

Particulars Quarter ended 31st March, 2026 Quarter ended 31st Dec, 2025 Corrensponding quarter ended 31st March, 2025 Year to date figures for the 31st March, 2026 Year to date figures for the 31st March, 2025
Audited Unaudited Audited Audited Audited
I Revenue From Operations 549.83 3,204.87 2,251.25 9,433.07 8,482.35
II Other Income 123.47 9.00 16.52 164.92 46.04
III Total Income (I+II) 673.30 3,213.87 2,267.77 9,597.99 8,528.39
IV EXPENSES
Cost of materials consumed
Purchases of Stock-in-Trade 822.69 3,300.00 2,626.84 10,722.70 8,713.16
Changes in inventories of finished goods, Stock-in-Trade and work-in-progress (293.65) (157.70) (431.64) (1,507.69) (575.50)
Employee benefits expense 25.68 66.77 17.28 156.12 40.45
Finance costs 0.48 0.04 0.01 0.63 0.05
Depreciation and amortization expense 8.38 3.27 0.07 12.16 0.17
Other expenses 12.09 69.31 81.61 153.50 208.81
Total expenses (IV) 575.68 3,281.70 2,294.17 9,537.40 8,387.14
V Profit/(loss) before exceptional items and tax (I- IV) 97.63 (67.83) (26.41) 60.58 141.25
VI Exceptional Items
VII Profit/(loss) before tax (V-VI) 97.63 (67.83) (26.41) 60.58 141.25
VIII Tax expense:
(1) Current tax 24.41 15.15 35.31
(2) Deferred tax
IX Profit (Loss) for the period from continuing operations (VII-VIII) 73.22 (67.83) (26.41) 45.44 105.94
X Profit/(loss) from discontinued operations
XI Tax expense of discontinued operations
XII Profit/(loss) from Discontinued operations (after tax) (X-XI)
XIII Profit/(loss) for the period (IX+XII) 73.22 (67.83) (26.41) 45.44 105.94
XIV Other Comprehensive Income
A (i) Items that will not be reclassified to profit or loss
(ii) Income tax relating to items that will not be reclassified to profit or loss
B (i) Items that will be reclassified to profit or loss
(ii) Income tax relating to items that will be reclassified to profit or loss
XV Total Comprehensive Income for the period (XIII+XIV) (Comprising Profit (Loss) and Other Comprehensive Income for the period)
XVI Paid-up equity share capital (Face Value of the Share of Rs. 1/- each) 1,567.50 1,567.50 1,541.63 1,567.50 1,541.63
XVII Earnings per equity share (for continuing operation):
(1) Basic 0.0467 (0.0433) (0.0171) 0.0290 0.0687
(2) Diluted 0.0467 (0.0433) (0.0168) 0.0290 0.0676
XVIII Earnings per equity share (for discontinued operation):
(1) Basic
(2) Diluted
XIX Earnings per equity share(for discontinued & continuing operations)
(1) Basic 0.0467 (0.0433) (0.0171) 0.0290 0.0687
(2) Diluted 0.0467 (0.0433) (0.0168) 0.0290 0.0676
Sr. No Particular As at 31st March’ 2026 As at 31st March’ 2025
A 1 Non-current ASSETS
Non-Current Assets
a) Property, Plant and Equipment 97.91 0.35
b) Capital work-in-progress
c) Goodwill
d) Other Intangible Assets
e) Financial Assets
(i) Investments 151.13 696.61
(ii) Loans
f) Deferred Tax Assets (net) 3.54 3.54
g) Other Non-current Assets
Total Non-Current Assets 252.58 700.50
2 Current Assets
a) Inventories 3,547.94 2,040.25
b) Financial Assets
(i) Investments
(ii) Trade Receivables 1,906.68 2,356.32
(iii) Cash & Bank Balance 80.10 531.14
(iv) Loans 1,908.92 2,278.00
(v) Others Financial Assets 209.78
c) Other Current Assets 228.60 142.20
Total Current Assets 7,672.24 7,557.70
Total Assets 7,924.82 8,258.20
B 1 EQUITY & LIABILITIES
Equity
a) Equity Share Capital 1,567.50 1,567.50
b) Reserve and Surplus 5,709.27 5,630.10
Equity Attributable to shareholders
2 Non – Controlling Interest
Total Equity 7,276.77 7,197.60
3 Non-Current Liabilities
Non-Current Liabilities
a) Financial Liabilities
(i) Borrowings
(ii) Other Financial Liabilities
b) Deferred Payment Liabilities
c) Deferred Tax Liabilities (net)
d) Long Term Provision 15.15 35.31
Total Non-current Liabilities 15.15 35.31
Current Liabilities
a) Financial Liabilities
(i) Borrowings
(ii) Trade Payables 629.67 1,021.61
(iii) Other Financial Liabilities 2.89 2.97
b) Other Current Liabilities
c) Short Term Provisions 0.34 0.70
Total Current Liabilities 632.91 1,025.28
Total Equity and Liabilities 7,924.82 8,258.20
Sr. No Particulars Year Ended 31.03.2026 Year Ended 31.03.2025
A) CASH FLOW FROM OPERATING ACTIVITIES
Net Profit before tax 60.58 141.25
Adjustments to reconcile profit before tax to net cash inflow
Depreciation 12.16 0.17
Interest Paid 0.63 0.05
Operating Profit before Working Capital changes 73.37 141.47
Add :
Changes in Short Term Borrowings
Changes in Trade Payables (391.94) 1,007.49
Changes in Other Current Liabilities (0.44) 3.04
Changes in Inventories (1,507.69) (575.50)
Changes in Trade Receivables 449.64 (1,779.51)
Changes in Short Term Loans and Advances 369.09 (1,651.80)
Changes in Other Current Assets 123.38 1,821.18
Cash generated from operations (957.97) (1,175.09)
Net cash before Extra ordinary Items (884.60) (1,033.63)
Less: Taxes paid (15.15) (35.31)
Net cash flow from operating activities (A) (899.74) (1,068.94)
B) CASH FLOW FROM INVESTING ACTIVITIES
Investment in FD 545.48 303.39
Proceeds from Sale of Property, Plants and Equipments (109.72) (0.52)
Net cash flow from investing activities (B) 435.76 302.88
C) CASH FLOW FROM FINANCING ACTIVITIES
Interest Paid (0.63) (0.05)
Deferred Tax Assets (net)
Term Loan taken from Others (4.00)
Changes in Other Non Current Assets
Changes in Other Non Current Liabilities (20.17) 35.31
Proceeds from Issue of Share Warrants 34.50
Share Premium 627.90
Other adjustments in reserves and surplus 33.74 (14.08)
Net cash from financing activities (C) 12.95 679.58
Net increase/(decrease) in cash & cash equivalents (A+B+C) (451.04) (86.50)
Cash & Cash equivalents as at year beginning 531.14 617.64
Cash & Cash equivalents as at year closing 80.10 531.14
Net increase/(decrease) as disclosed above (451.05) (86.50)