Propshop Events and Exhibitions Reports Strong Revenue and Profit in Financial Year 2026

Propshop Events and Exhibitions Reports Strong Revenue and Profit in Financial Year 2026
<h1>Propshop Events and Exhibitions Reports Strong Revenue and Profit in Financial Year 2026</h1>

Propshop Events and Exhibitions Limited has announced its audited standalone financial results for the half-year and the full financial year ended March 31, 2026. The company reported significant growth in its revenue and demonstrated a positive profit for the period.

The financial results detail the company's performance across various metrics, including revenue, expenses, and overall profitability, according to the audited statements.

Financial Highlights​

For the half-year ended March 31, 2026, the company recorded a total revenue of 4,722.07 Lakhs. This figure is significantly higher compared to the 3,287.28 Lakhs reported in the half-year of March 31, 2025.

Total revenue, combining revenue from operations and other income, reached 7,029.40 Lakhs. Total expenses for the half-year amounted to 7,044.29 Lakhs. The company reported a Profit/(Loss) Before Tax of 1,094.17 Lakhs.

The net Profit/(Loss) for the period stood at 542.26 Lakhs. The Earnings Per Share (EPS) both basic and diluted was 4.80, based on a face value of 10/- each.

Financial Position and Balance Sheet​

As of March 31, 2026, the company's balance sheet showed total Equity and Liabilities at 2,716.01 Lakhs, which matched the total assets.

In terms of shareholder funds, Share Capital stood at 1,129.08 Lakhs, up from 276.00 Lakhs in the previous year. Reserves and Surplus were reported at 804.47 Lakhs, compared to 855.93 Lakhs in the financial year ended March 31, 2025.

The company's current assets totaled 2,666.76 Lakhs, while current liabilities were recorded at 759.32 Lakhs.

The audited financial results and the accompanying report of the auditors were approved by the Board of Directors of the Company during a meeting held on August 24, 2026.

Cash Flow Summary​

The Cash Flow Statement shows that the company generated 454.27 Lakhs from operating activities during the period.

The net change in cash and cash equivalent was recorded at 92.03 Lakhs. The Cash and Cash Equivalent at the end of the year was 113.63 Lakhs.

For reference, the key financial data points for the half-year ended March 31, 2026, and the comparative periods are provided below:

ParticularsFor the Half-Year ended March 31, 2026 (Audited)For the Half-Year ended March 31, 2025 (Audited)For the Half-Year ended September 30, 2025 (Unaudited)
Revenue from operations4,722.073,287.282,307.33
Total Revenue
Total Expenses7,044.295,158.727,044.29
Profit/(Loss) Before Tax1,094.17842.41349.39
Profit/(Loss) for the period542.26632.30259.36
Paid-up Equity Share Capital1,129.08276.001,129.08

PROPSHOP Stock Price Movement​

As of 11:17 AM, shares of Propshop Events and Exhibitions Limited are shedding value in live trading, slipping by 1.61% to trade at ₹73.25. The stock is currently trading within a broad intraday range of ₹72.45 and the day high of ₹79.95 amid 42,000 shares traded so far today.
 

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