Manav Infra Projects Announces Board-Approved Financial Results for Year Ended March 31, 2026

Manav Infra Projects Announces Board-Approved Financial Results for Year Ended March 31, 2026

Manav Infra Projects Announces Board-Approved Financial Results for Year Ended March 31, 2026​

Manav Infra Projects Limited announced that its Board of Directors held a meeting on May 22, 2026. During the meeting, the Board approved the Audited Financial Results for the Half Year and the full Year ended March 31, 2026.

The company also confirmed that the Statutory Auditor, M/s. Singhal & Sewak, Chartered Accountants, issued an Audit Report providing an Unmodified Opinion on the Annual Audited Financial Results for the year ended March 31, 2026.

Financial Performance Highlights​

The reported financial results show the company's total revenue and profitability for the fiscal year 2026 compared to the previous year.

The following table summarizes the key revenue and expense metrics for the period ended March 31, 2026:

ParticularsSix months Ended 31.03.2026 (Audited)Six months Ended 30.09.2025 (Unaudited)Six months Ended 31.03.2025 (Audited)Year Ended 31-03-2026 (Audited)Year Ended 31-03-2025 (Audited)
Revenue from Operations3212.89942.881814.464155.772449.73
Other Income6.2422.4315.1328.6715.14
Total Revenue3219.13965.301829.594184.442464.87
Total Expenses2796.65925.621541.993722.272154.29
Profit before tax422.4839.68287.60462.17310.58
Profit/(loss) for the period from continuing operations361.2341.31300.83402.55321.87
Total Profit/(loss) for the period361.2341.31300.83402.55321.87

Balance Sheet Summary​

Manav Infra Projects Limited reported total assets of 2,398.52 (Rs. In Lakhs) as at March 31, 2026, compared to 2,163.50 (Rs. In Lakhs) the previous year.

The financial position details are as follows:

Particulars31st March, 202631st March, 2025
ASSETS
Non-current assets: Property, Plant and Equipment658.74333.13
Investments97.40-
Trade receivables157.14174.54
Other non-current assets129.49-
Total Assets2,163.502,163.50
EQUITY AND LIABILITIES
Equity Share capital1,316.001,316.00
Other Equity & Reserves-103.00-505.55
Non-current liabilities: Financial Liabilities431.92574.13
Current liabilities: Short Term Borrowings138.53155.59
Other current liabilities101.8054.76
Total Equity and Liabilities2,398.522,163.50

Cash Flow Summary​

The Cash Flow Statement for the period ended March 31, 2026, indicated various cash movements:

ParticularsMarch 2026 Amount (Rs. in Lakhs)March 2025 Amount (Rs. in Lakhs)
Net Profit Before Tax462.17310.58
Operating Profit before Working Capital Changes700.29556.48
Cash generated from operations118.44264.93
Net Cash used in investing activities(571.06)(244.74)
Net Cash used in financing activities(232.28)668.05
Net increase or decrease in cash & Cash Equivalents(684.90)688.24

The company's cash and cash equivalents stood at 13.40 (Rs. in Lakhs) as of March 31, 2026, up from 698.31 (Rs. in Lakhs) on the same date the previous year.

MANAV Stock Price Movement​

On Friday, Manav Infra Projects Limited shares edged higher, closing at ₹45.00, marking a gain of 0.11% for the session. The stock settled ₹0.05 above its previous close of ₹44.95, signaling cautious momentum in the construction sector.
 

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