BSEBoard Meeting4d ago · 10 Aug 2026, 01:37 pm

Outcome of the Board Meeting held on 10.08.2026

Lakshmi Engineering And Warehousing Ltd · 505302

✦ AI Summary▲ PositiveResults

Lakshmi Engineering And Warehousing Ltd has announced its unaudited financial results for the quarter ended 30th June 2026, showing a profit of ₹60.37 crores, with revenue from operations at ₹403.10 crores and expenses at ₹338.38 crores.

Analysis Scores

Earnings Impact8/10
Growth Catalyst2/10
Governance Concern1/10
Regulatory Risk1/10
Balance Sheet Risk2/10
Liquidity Impact8/10
Market Sentiment8/10

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Lakshmi Engineering And Warehousing Ltd - 505302 - Board Meeting Outcome for Outcome Of The Board Meeting

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LAKSHMI ENGINEERING WAREHOUSING LIMITED "LAKSHMI AUTOMATIC LOOM WORKS LIMITED") (Formerly Regd. Office: 686, Avinashi Road, Coimbatore 641 037' CIN: L29269T21973PLC000680 Website: www.lakshmiew.com 3...I{%I%' L Unaudited Financial Results the Ended 30th June 2026 (Standalone) Quarter lakhs) Ended Year Ended Quarter Particulars 30.06.2026 31.03.2026 30.06.2025 31.03.2026 (Unaudited) (Audited) (Unaudited) (Audited) 1 INCOME a. Revenue from operations 403.10 396.03 302.58 1,434.42 Other income 24.92 36.36 39.53 133.83 Total Income + b) 428.02 432.39 342.11 (a 1,568.25 EXPENSES Cost of materials consumed 29.77 33.73 26.13 128.32 b. Purchase of stock-in-trade c. Changes in stock of finished goods, work-in—progress and stock-in-trade (3.50) (1.65) (1.19) (11.45) d. Employee benefits expense 130.84 121.09 119.32 495.58 e. Finance costs 29.46 37.29 26.11 135.30 Depreciation and amortisation expense 40.73 39.62 30.51 149.74 Other expenses 111.08 121.30 g. 99.93 435.58 Total Expenses 338.38 351.38 300.81 1,333.07 Profit before Exceptional Items and Tax 2) 89.64 81.01 41.30 235.18 Exceptional Items Profit Before Tax + 4) 89.64 81.01 41.30 235.18 Tax expense Current tax 18.50 14.11 9.86 28.04 Prior 2.43 2.43 year Deferred i 10.77 13.13 7.35 37.32 Total Tax 29.28 29.67 17.20 67.79 7 Profit for the after Tax 60.37 51.34 24.10 167.39 period Other Comprehensive Income/ of tax) (Loss) (net Items that will not reclassified to the statement of or Ioss profit Remeasurement of employee defined benefit 0.41 0.30 1.63 plans (0.93) Income tax on above 0.23 (0.10) (0.08) (0.41) Items that will be reclassified the (ii) statement of loss profit Total Income the Comprehensive Profit the period [Comprising period Comprehensive Tax) and Other (after 60.68 50.64 24.32 168.61 Income Tax)] (7+8) (after 10 Paid-up Equity Capital Share ? 100/- value share) 668.75 668.75 668.75 668.75 (Face 11 Equity Revaluation Other (excluding Balance Reserve shown in the sheet of the 1,607.96 previous year) Earnings Per Share (EPS) share) value ? 100/- (Face per Annualised) (Not a. Basic t) 25.03 7.68 3.60 9.03 Diluted ?) b. 7.68 3.60 2.5.03 9.03 REVENUE, RESULTS AND CAPITAL EMPLOYED WISE SEGMENT FOR THE ENDED 30TH JUNE 2026 QUARTER in lakhs) Year Ended Ended Quarter 31.03.2026 30.06.2026 31.03.2026 30.06.2025 Particulars (Audited) (Unaudited) (Audited) (Unaudited) 1 Segment Revenue Net Sales/Income 214.98 1,024.83 273.78 271.57 Warehousing Rental Services 109.39 487.38 144.16 140.89 Engineering services 17.74 56.04 10.08 19.93 c. Unallocated 1,568.25 342.11 428.02 432.39 Total Less: Inter-Segment Revenue 1,568.25 428.02 432.39 342.11 Net Sales/ Income 2 Results Segment Profit (Loss) 469.23 121.61 93.90 128.71 Warehousing Rental Services b. Engineering Services (111.16) (11.44) (34.87) (9.11) 358.07 110.17 59.03 119.60 Total 135.30 26.11 29.46 37.29 Finance costs Less: Income Add Other unailocable /(Less): 12.41 8.38 8.12 net expenses of unailocable (0.50) 41.30 235.18 81.01 Profit/(Loss) Tax 89.64 Total before Segment Assets Warehousing a. Rental Services 3,535.70 3,563.52 3,733.01 3,563.52 b. Engineering Services 490.97 458.20 422.87 458.20 c. Unallocated 136.73 93.75 122.62 93.75 Total 4,163.39 4,115.47 4,278.51 4,115.47 Segment Liabilities a. Warehousing Rental Services 1,599.30 1,635.68 1,886.10 1,635.68 b. Engineering Services 62.85 56.04 75.86 56.04 c. Unallocated 163.86 147.04 117.25 147.04 Total 1,826.00 1,838.76 2,079.21 1,838.76 Capital Employed 2,337.39 2,276.71 2,199.30 2,276.71 (3-4) NOteS: 1. The above Unaudited Financial Results were reviewed by the Audit Committee and approved by Board of Directors at their meeting held on August 10th, 2026 and have been subjected limited review by the Statutory Auditors of the Company. 2. The figures for the ended 3lst March, 2026 are the balancing figures between previous quarter Audited figures in respect of full financial 2025-2026 to date figures upto year published year third financial of 2025-2026. quarter year The Figures of the have been regrouped rearranged wherever necessary previous period year / conform to the classification of this quarter. LAKSHMI ENGINEERING AND WAREHOUSING LIMITED Coimbatore PATHY 10.08.2026 CHAIRMAN Subbochor Snmvascn Accountants Fmmod 004oa3s ylbw Abhlnav Venkaoesh M No. 263357