BWL Ltd Approves FY26 Annual and Quarterly Financials; Board Reviews Budget 2026-27

BWL Ltd Approves FY26 Annual and Quarterly Financials; Board Reviews Budget 2026-27

BWL Ltd Approves FY26 Annual and Quarterly Financials; Board Reviews Budget 2026-27​

BWL Ltd announced that its Board of Directors approved the quarterly financial statements for the quarter ended March 2026, along with the annual financial statements for the year ended March 2026. The board meeting, which took place on May 30, 2026, also approved the Budget for the financial year 2026-27.

During the meeting, the board also passed resolutions to approve the calling of an Annual General Meeting (AGM), which will be held in online/hybrid mode on the NSDLicDSL platform. Ms. Soma Saha, PCS, Kolkata, was appointed as the scrutinizer for the meeting. Furthermore, the board approved fielding resolutions for borrowing from related and non-related parties, alongside the recommendation of the Audit Committee and other committees.

Financial Results for March 2026​

The statutory auditors, G. Basu & Co., submitted an audit opinion on the financial results for the quarter and year ended March 31, 2026. The auditors confirmed that, based on their information and explanations, the financial statements present a true view, subject to the non-provision of gratuity as per actuarial conformity with Indian Accounting Standard 34 (Ind AS 34).

The company’s financial position as of March 31, 2026, shows total assets and equity/liabilities details in lakhs.

Balance Sheet Summary (in Rs. Lakhs)

ParticularsAs at 31 March 2026As at 31 March 2025
Total Non-Current Assets398.14215.71
Total Current Assets59.40167.27
Total Assets457.44382.98
Equity Share Capital700.92700.52
Other Equity-1,366.07-1,324.00
Total Equity-665.15-623.08
Total Non-Current Liabilities234.04234.04
Total Current Liabilities888.95772.02
Total Equity and Liabilities457.84382.98

Profit and Loss Statement (in Rs. Lakhs)​

The company's revenue structure and profit/loss details for the year ended March 31, 2026, are summarized below.

Statement of Financial Result (in Rs. Lakhs)

ItemQuarter Ended 31-3-2026 (Audited)Year Ended 31-3-2026 (Audited)Year Ended 31-3-2025 (Audited)
Other Income8.5839.61338.7
Total Revenue8.5839.61338.7
Employee Benefits Expense33.0839.1331.79
Finance Cost0.040.050.02
Depreciation & Amortisation Expense0.473.203.20
Legal & Professional charges3.769.200.00
Other Expenses25.6732.0357.6
Total Expenses61.0281.6892.17
Profit before Exceptional Items and Tax (III - IV)52.14246.23246.23
Profit (Loss) before Tax (V-VI)-52.4442.07216.23
Profit (Loss) for the period-0.02(42.07)246.23
Total Comprehensive Income(-0.52)(42.07)246.23
Earnings per Equity Share (Basic)-0.75(0.50)3.53

Cash Flow Highlights (in Rs. Lakhs)​

The company's cash flow statements reveal the following trends for the respective periods.

Statement of Cash Flows (in Rs. Lakhs)

ActivityYear Ended March 31, 2026Year Ended March 31, 2025
Cash generated from operations10.95111.72
Cash used in investing activities-103.37193.53
Net cash used in financing activities-38.32-24.26
Net increase in cash and cash equivalents-38.32-24.26
Cash and cash equivalents at the end of the year105.36105.36

Stock Price Movement​

As of 13:10, investors note that BWL Ltd shares are suspended due to penal reasons, listing at ₹25.45. While the stock's trading activity was suspended, the reported intraday range covered a spread from ₹25.45 to ₹26.50.
 

Disclaimer: Due care and diligence have been taken in compiling and presenting news and market-related content. However, errors or omissions may arise despite such efforts.

The information provided is for general informational purposes only and does not constitute investment advice, a recommendation, or an offer to buy or sell any securities. Readers are advised to rely on their own assessment and judgment and consult appropriate financial advisers, if required, before taking any investment-related decisions.

Any views, opinions, or statements expressed, where applicable, are those of the respective analysts or experts and do not reflect the views of this website. The website has no association with such viewpoints and does not assume any responsibility for them.

Back
Top