BSEResult5d ago · 27 Jul 2026, 07:32 pm

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HMT Ltd · 500191

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HMT Ltd has announced its audited financial results for the quarter and year ended March 31, 2026, showing a profit of Rs. 1610 lakhs from continuing operations and a comprehensive income of Rs. 1615 lakhs. The company's revenue from operations was Rs. 802 lakhs for the quarter and Rs. 2617 lakhs for the year.

Analysis Scores

Earnings Impact5/10
Growth Catalyst2/10
Governance Concern1/10
Regulatory Risk1/10
Balance Sheet Risk3/10
Liquidity Impact8/10
Market Sentiment5/10

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HMT Ltd - 500191 - Annual Audited Financial Results-31.03.2026

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7 lannk 35083 Oe3w® waon & s HMT LIMITED (23908 Z50F 0T D) (MRE TIER BT IIBH) (A Gowt. of India Undertaking) NF03 ST, #59, o3, TIEIA WA, # 59, IeeTHI TS HMT BHAVAN #59, Bellary Road, 2orisiech - 560 032, 3303 TS - 560 032, WRA Bengaluru - 560 032, INDIA Azadi Ka wedames : 91-80-23330333 S : 91-80-23330333 Phone : 91-80-23330333 39,5 91-80-23339111 : 91-80-23339111 Amrit Mahotsav e- Fax: 91-80-23339111 eex : cho@hmtindia.com ¥- A : cho@hmtindia.com E-mail: cho@hmtindia.com w3es® : www.hmtindia.com : www.hmtindia.com Website : www.hmtindia.com TasHITd. 8-5 27 T8, 2026 Secl. S-5 27" July, 2026 dvas AfEes AT Tl TS 6 SRar fafdRs BSE Limited National Stock Exchange of India Limited ier Shohsier erast TS ColTeT” Phiroze Jeejeebhoy Towe rs “Exchange Plaza” 254 #HiSe, g e iET-Fedt FleCorF 25th Floor, Dalal Street Bandra-Kurla Complex #a$ — 400001 SiET (9d), HF$- 400051 Mumbai — 400 001 Bandra (E), Mumbai — 400 051 &5 F=: 500191 &glg HMT Scrip Code: 500191 Scrip Symbol: HMT B s/ e, Dear Sir/ Madam, Sub: Statement of Audited Standalone and Consolidated Financial Results for the quarter and ncial year ended March 31, 2026 Pursuant to Regulation 33(3) of SEBI (LODR) Regulation, 2015, please find enclosed herewith Statement of Audited Standalone and Consolidated Financial Results of the Company for the quarter and financial year ended March 31, 2026 approved by the Board of Directors of the Company at their meeting held today. Board Meeting commencement time: 15:00 Board Meeting concluded time: 16:30 This is for your kind information and record. a8 / Yours faithfully TauAer fafAes & faT/ For HMT Limited (freiR FAR TH) / (KISHOR KUMAR S) TSI (FUe @fAF) AGM (Company Secretary) Encl: As above CIN : L29230KA1953G0I000748 Dridod seater ook 2uf08 I3, # 59, weqD 0, torkled- 560 032, 508 Tfihd T : U9 U0 A a1, £ 59, deeiil A2, % - 560 032 WWA CoOfmfice o- HMrT Bahavatn #e 53 Bellary Road Benaaluns - 560 032 INDIA AMT LIMITED No.59, Bellary Road, Bangalore - 560 032 CIN L29230KA1953GOI000743 STATEMENT OF STANDALONE AUDITED FINANCIAL RESULTS FOR THE QUARTER AND YEAR ENDED 31ST MARCH 2026 (Rs in lakns)| Three months ended Year ended Particulars 3103-2026] 31-12-2025[31-03-2025 3103-2026]_31-03-2025 Audited"| Unaudited| _Audited| Audited"| __Audited T [CONTINUING OPERATIONS 1 [Revenue from Operations 802 582 727 2596 2617 2 [other income 1259 1503| 1230 5791 5627 Total Income 2061 2085] 1966 8387 8244 3 [Expenses 2) Cost of materials consumed 273 119 304 748 1029 b) Changes in Inventories (Increase)/decrease in SITWIP 148 18l (139) 290) (148) ) Employee benefits expense 135 160 142 506 672 d) Depreciation and amortisation expense 2 27 35 109 145 ©) Finance Costs 6 = 4 8 78 1) Other expenses 1638 1001] 1434 4800 4573 Total expenses 2228 1415|1870} 6549| 6350} 4 [Profit {Loss) before Exceptional ltems. (167) 670 1838} 1894 6 [Profit {Loss) before tax (167)| 670 9% 1838 1894 7 [Tax Expense 169) - 284 169 284 8 [Profit {Loss) for the period from Continuing Operations(67) (338 670 (129) 1669) 1610 1l [DISCONTINUED OPERATIONS 9 [Profit ALoss) for the period from Discontinued Operations - - = 10 [Tax Incomel(expense) of Discontinued Cperations - = 5 - - 11 |Profit/(loss) from DisconOpteriatinonus (e91d0) - - E - B 12 |Profit ALoss) for the period (8+11) (336)] 670| (1e9)] 1669) 1610 13 |Other Comprehensive Income ) ttems that will not be reclassified to profit/ (Loss) 1 1 (20) 5| 8] i) Income Tax relating to items that wil not be reclassified I [‘ Nn e t( P Oro tf hi et r) / C L oo ms ps r ehensive Income (1) 2) | - 1 @)1 ( 61 |) 51] 14 [Total Comprehensive Income for the period (12413) (339) 671 (z09) 1675 1615 15 [Paid-up Equity Share Capital (Face Value - Rs10/-) 3ss60) 3ss60| 3sse0| 3s560) 35560) 16 [Other Equity - - 5 13605 11933 17 |Earnings per share from Continuing Operations (face value Rs.10/- each) ) Basic (0.09) 01| (0.05) 047 045 i) Diluted (0.09) o19| (005 0.47 04s [Eamings per share from Discontinued Operations. (face value Rs.10/- each) i) Basic 000 000 0.00 0.00 000 i) Diluted 0.00 0.00 0.00 0.00 0.00 [Eamings per share from Continuing & Discontinued Operations (face value Rs.10/- each) b Basic (0.09)| 019| (005 0.47 045 i) Diluted (0.09)} 019| (0.0s) 047 045 (0 Rt mh) € honB) Commermn leeohdd) HMT LIMITED No.59, Bellary Road, Bangalore - 560 032 CIN L29230KA1853GOI000748 'STATEMENT OF STANDALONE AUDITED FINANCIAL RESULTS AS AT 31ST MARCH 2026 (Rs in lakhs)| STANDALONE STATEMENT OF ASSETS AND LIABILITIES sl As at) As at| Particulars 3103-2026| 31.03-2025| Audited”| Audited| A |ASSETS 1[Non Current Assets (a) Property, pl& aequnipmtent 108 191 (b) Investment property 548 574 () Financial Assets Investments 71978 71978 Other Financial Assets 190 241 () Deferred Tax Asset (Net) 59 s (e) Other Assets 68 75 Sub total 72951 73087 2{Current Assets () Inventories. %62 1249 (b) Financial Assets Trade Receivables 597 1284 Cash and Cash equivalents 275 211 Bank balances other than Cash and Cash equivalents 15486 14855 Loans 36431 34668 Other Financial Assets 5633 5632 (c) Current Tax Assets (Net) 665 566 (d) Other Assets. 2714 2689 Sub total 62763 61154 3|Non Current Assets heid for sale 206 2% TOTAL ASSETS 136010 | 134547 B [EQUITY & LIABILMES 1|Equity (a) Equity share capital 35560 36560 (b) Other equity 13607 11833 Total equity 49167 47433 2f Non-current liabilities. (a) Financial Liabilities Non Current Financial Liability 8129 8129 (b) Provisions Employee Benefits 201 234 Sub total 8330 8363 3|Current liabliities (a) Financial Liabilities Borrowings 64172 64230 Trade Payables Total outstanding dues to Micro, Small & Medium Enterperises 118 113 Total outstanding dues of creditors other than Micro, Small & Medium Enterperises 1450 1887 (b) Other Financial Liabilities 3686 3689 (c) Other Current liabilities 8723 8339 () Provisions Employee Benefits 6 85 Others 295 291 (e) Current Tax liabilties (Net) - 57 Sub total 78513 78691 TOTAL LIABILITIES 86843 87054 TOTAL EQUITY & LIABILITIES 136010 | 134547 (Lo Reameophy C HMT LIMITED No.59, Bellary Road, Bangalore - 560 032 CIN L29230KA1953GOI000748 STATEMENT OF STANDALONE AUDITED FINANCIAL RESULTS FOR_THE YEAR ENDED 31ST MARCH 2026 (Rs in lakhs)| STANDALONE CASHFLOW STATEMENT Year ended Particulars 31-03-2026] 31-03-2028) Audited* | Audited A~ |Operating activities [Profit/(loss) before tax from continuing operations. 1838 1894 Profit before tax 1838 1894 |Adjustments to reconcile profit before tax to net cash flows: [Depreciation and impairment of Property, Plant and Equipment and Investment Properties 109) 145| [Amortisation of Government Grant - - [Profit on disposal of property, plant and equipment and Non Current Assets Held for Sale (net) - - Interest Income (3555) (3520) [Finance Costs 8 79 Working capital adjustments: [Movements in provisions, Gratuity, others 80 (385)) (increasine tr)adeD aned octherr reecaeivsablees and prepayments 1212 (1352) (Increase)/Decrease in inventories 288 (73) Increase/(Decrease) in trade and other payables )| (64) @0) (3276) Income tax (paid)ireversed (345} (271 Net cash flows from operating activities (415) (3547)} B [investing activities [Proceeds from sale of property, plant and equipment and Non Current Assets Held for Sale = s [Purchase of property, plant and equipment [Deposits with Banks. (5- 9 5) 186) 1 interest received 1143 1308 [Net cash flows used in investing activities 548 3169 ¢ [Financing activities [Interest Paid - 1) (| [Proceeds from Borrowings. [Repayment of borrowings (58) - [Net cash flows fromi(used in) financing activities (69)] (19)} [Net increase in cash and cash equivalents 64 (397)| [Opening balance of Cash and cash equivalents 2m 608 Closing balance of Cash and cash equivalents 275 211 [Note for Standalone Financial Results: 1 The above statement of audited standalone financial results of HMT Limited, which have been prepared in accordance with the Indian Accounting Standards (‘ind AS’) prescribed under section 133 of the Companies Act, 2013 (‘the Act) read with [Showing first 8,000 characters — download PDF for full document]