BSECompany Update30 Jul 2026 · 30 Jul 2026, 02:06 pm
We hereby submit Investor Presentation for the quarter ended June 30, 2026
PSP Projects Ltd · 540544
✦ AI Summary▲ PositiveResults
PSP Projects Ltd has released its investor presentation for the quarter ended June 30, 2026, showcasing a 65% YoY increase in revenue from operations to ₹85,347.32 lakhs, a 121% YoY increase in EBITDA to ₹5,479.41 lakhs, and a 4858% YoY increase in PAT to ₹1,821.66 lakhs. The company's EBITDA margin improved to 6.42%, and the PAT margin increased to 2.12%. The company has a strong order book and a presence in various states across India.
Analysis Scores
Earnings Impact8/10
Growth Catalyst6/10
Governance Concern1/10
Regulatory Risk2/10
Balance Sheet Risk4/10
Liquidity Impact9/10
Market Sentiment8/10
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PSP Projects Ltd - 540544 - Announcement under Regulation 30 (LODR)-Investor Presentation
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Ref No: PSPPROJECT/SE/27/26‐27 July 30, 2026
Corporate Relations Department Listing Department
BSE Limited National Stock Exchange of India Limited
Floor 25, P.J. Towers, Exchange Plaza, Bandra Kurla Complex,
Dalal Street, Mumbai- 400 001 Bandra (East), Mumbai – 400 051
Scrip code: 540544 Scrip Symbol: PSPPROJECT
Dear Sir/Madam,
Subject: Investor Presentation for the quarter ended June 30, 2026
Pursuant to Regulation 30 of the SEBI (Listing Obligations and Disclosure Requirements)
Regulations, 2015, please find enclosed herewith the Investor Presentation for the quarter ended
June 30, 2026.
Kindly take the same on your record.
Thanking You,
Yours faithfully,
For, PSP Projects Limited
Pooja Dhruve
Company Secretary and Compliance Officer
Membership No.: A48396
Encl: As Above
P S P P R O JE CTS LIMITE D
Investor
Presentation
Q1 FY27| 30 July 2026
Building the Nation, Built to Last
NSE: PSPPROJECT · BSE: 540544
Table of Contents
PSP Projects In a Nutshell
The Quarter Gone By- Q1FY27
Drivers that transcended PSPs growth since inception
Engineering landmarks build across India - Project Profile
Key Strategy to strengthen the legacy of trust associated with PSP Brand going forward
Annexures
Building a New India
Every hospital, campus, riverfront, temple, smart-city tower and industrial plant build is a brick in the
nation's progress. For 18 years, PSP has partnered India's growth story delivering landmark
infrastructure with speed, quality and trust.
PSP Projects
In a Nutshell
PS P PROJEC T S IN A N UT S H ELL
A nation builder-One of India's prominent building-construction companies
Q1FY27 FY26 FY25
▪ Building India since 2008, led by First Generation Civil engineer with 40+ years
of experience
▪ India based construction company offering diversified range of construction ₹13,245 cr ₹13,447 cr ₹7,266 cr
and allied services across industrial, institutional, government, government
Order Book Order Book Order Book
residential and residential projects
▪ Integrated EPC company across construction value chain from Design,
Construction, Mechanical, Electrical, Plumbing (MEP), Interior, O&M Services
₹630 cr ₹10,925 cr ₹3,506 cr
▪ Construction presence in states of Gujarat, Rajasthan, Karnataka, Uttar Order Inflow Order Inflow Order Inflow
Pradesh, Maharashtra and New Delhi
▪ Listed on NSE and BSE on May 29, 2017, raising ₹211.68 crore
262 256 235
▪ In Dec.21, commissioned precast facility in Gujarat with the objective to
provide sustainable building solutions & technological upgradation Completed Completed Completed
Projects Projects Projects
▪ In Nov.24, company entered into an agreement with Adani Infra (India) Limited
to acquire up to 30.07% stake from the existing promoters
92 94 58
Today, with the capability to execute large & complex projects,
On-going On-going On-going
PSP Projects meets the PQ criteria for high-value contracts;
Projects Projects Projects
competes alongside some of India's leading construction
companies
5-year CAGR 20% 7% 2,383 ₹2,026 Cr 'CARE A+; Stable
Growth Rate Revenue from Largest Project / CARE A1
EBITDA Workforce
Operations till Date Credit Rating
FY21-FY26
The Quarter Gone By
Q1FY27 Financial and Operational Highlights
T H E QUART ER GON E BY - Q1 FY2 7
Financial Performance during Q1FY27
Q1FY27 Consolidated Highlights
Revenue from Operations (₹ crore) EBIDTA (₹ crore) & EBITDA Margin (%) PAT (₹ crore) & PAT Margin (%)
YoY 65% YoY 121% YoY 4858%
1,115 25
1,200 70 7% 3%
60 21
1,000 853 60 6% 20 18 3%
50 5%
800 5%
5% 15 2%
518 40 4%
600 2%
30 25 3% 2%
20 2% 1%
200 10 1% 5 0.07%
0.37
- - 0%
Q1FY26 Q4FY26 Q1FY27 Q1FY26 Q4FY26 Q1FY27 0%
Q1FY26 Q4FY26 Q1FY27
T H E QUART ER GON E BY - Q1 FY2 7
Consolidated Profit & Loss : Q1FY27
Particulars (₹ Lakhs) Q1FY27 Q1FY26 Y-o-Y Q4FY26 Q-o-Q FY26 FY25 Y-o-Y
Revenue from Operations 85,347.32 51,776.25 65% 1,11,524.03 -23% 3,14,866.19 2,51,212.57 25%
Cost of materials consumed including WIP 29,634.49 19,064.73 37,053.38 1,18,805.69 81,820.69
Construction Expenses 43,399.36 25,213.02 60,243.31 1,54,422.45 1,35,303.46
Employee benefits expense 4,594.17 3,503.89 3,643.04 14,575.04 11,950.55
Other expenses 2,239.89 1,515.27 4,604.76 8,158.01 4,194.95
Total Operating Expenses 79,867.91 49,296.91 62% 1,05,544.49 -24% 2,95,961.19 2,33,269.65 27%
EBITDA 5,479.41 2,479.34 121% 5,979.54 -8% 18,905.00 17,942.92 5%
EBITDA Margin 6.42% 4.79% 5.36% 6.00% 7.14%
Other Income 405.61 399.69 527.34 1,725.88 1,731.92
Finance costs 753.69 1,117.28 1,120.83 4,523.80 4,422.39
Depreciation 2,306.60 1,689.16 2,636.88 8,656.92 7,265.14
Profit Before Tax and Exceptional Item 2,824.73 72.59 3791% 2,749.17 3% 7,450.16 7,987.31 -7%
Exceptional Gain/(Loss)(net of tax) - - - - -
Profit Before Tax and after Exceptional Item 2,824.73 72.59 3791% 2,749.17 3% 7,450.16 7,987.31 -7%
Tax Expense 990.77 29.86 633.15 1,890.95 2,191.27
Other comprehensive income -12.61 -5.60 -2.49 -50.43 -22.38
Share of profit / (loss) from Joint Venture (Net) 0.31 -0.39 -6.68 -7.63 -154.24
Profit After Tax 1,821.66 36.74 4858% 2,106.85 -14% 5,501.15 5,619.42 -2%
PAT Margin (%) 2.12% 0.07% 1.88% 1.74% 2.22%
Earnings Per Share (₹) 4.63 0.11 5.26 14.00 14.32
T H E QUART ER GON E BY - Q1 FY2 7
Consolidated Balance Sheet
Particulars (₹ Lakhs) FY26 FY25 FY24 Particulars (₹ Lakhs) FY26 FY25 FY24
ASSETS Equity
Non current Assets (a) Equity Share Capital 3,964.18 3,964.18 3,600.00
(a) Property, Plant and Equipment 41,166.60 30,596.09 32,075.21 (b) Other Equity 1,22,431.01 1,16,929.85 87,862.92
(b) Capital Work-In-Progress 86.42 276.71 288.08 Total Equity 1,26,395.19 1,20,894.03 91,462.92
(c) Other Intangible Assets 141.35 136.64 107.90 Non-Current liabilities
(d) Financial Assets (a) Financial Liabilities
(i) Investments 65.68 66.68 71.68 (i) Borrowings 2,283.09 1,841.78 4,169.92
(ii) Loans - - (b) Provisions 1,048.99 - 266.43
(iii) Other Financial Assets 21,050.12 22,517.40 15,548.75 Total Non-Current Liabilities 303.11 288.75 4,436.35
(e) Deferred Tax Asset (Net) 4,521.68 2,744.66 1,831.43 Current Liabilities 3,635.19 2,130.53
(f) Other Non Current Assets 1,746.42 1,034.59 682.72 (a) Financial Liabilities
Total Non-Current Assets 68,778.27 57,372.77 50,605.77 Borrowings 29,439.46 25,311.23 41,339.09
Current Assets (ii) Trade Payables 256.46 -
- Total outstanding dues of micro enterprises and
(a) Inventories 34,761.07 32,394.01 31,602.59 4,846.94 1,996.54 1,791.56
small enterprises
- Total outstanding dues of creditors other than
(b) Financial Assets 41,672.57 39,794.14 39,792.89
micro enterprises and small enterprises
(i) Trade receivables 92,821.87 52,983.29 33,509.62 (iii) Other Financial Liabilities 5,233.05 3,141.00 2,439.07
(ii) Cash and cash equivalents 26,016.81 7,972.30 11,113,88 (b) Other Current Liabilities 96,229.18 41,612.95 20,668.30
(iii) Bank Balances other than (ii) above 15,533.21 12,811.73 11,399,23 (c) Provisions 1,153.83 426.15 314.15
(iv) Loans 41.26 68.47 349.15 (d) Current Tax Liabilities (Net) 25.95 - -
(v) Other Financial Assets 47,765.62 57,173.73 50,914.67 Total Current Liabilities 1,78,857.44 1,12,282.01 1,06,345.06
(c) Other Current Assets 3,761.44 2,440.17 12,625,42 Total Liabilities 1,82,492.63 1,14,412.54 1,10,781.41
(d) Current Tax Assets (Net) 17,996.69 12,090.10 124.00
Total Current Assets 2,38,697.97 1,77,933.80 1,51,638.56
Asset held for sale 1,411.57
Total Assets 3,08,887.82 2,35,306.57 2,02,244.33 Total Equity and Liabilities 3,08,887.82 2,35,306.57 2,02,244.33
T H E QUART ER GON E BY - Q1 FY2 7
Annual Consolidated Financial Performance
Revenue from Operations (₹ Crore) EBITDA (₹ Crore) PAT (₹ Crore)
#CAGR : 20% #CAGR : 7% #CAGR : -8%
3,149 166
258 261
2,506 2,512 135
1,938
1,748
135 83
1,241
56 55
FY21 FY22 FY23 FY24 FY25 FY26 FY21 FY22 FY23 FY24 FY25 FY26 FY21 FY22 FY23 FY24 FY25 FY26
# 5-year CAGR FY21 : FY26
Numbers have been rounded off
T H E QUART ER GON E BY - Q1 FY2 7
Business Robustness in Numbers
EBITDA / Revenue from Operations Profit After Tax / Revenue from Operations
EBITDA Margin% PAT Margin%
14.8%
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