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OM INFRA LIMITED
(FormerlyknownasOMMETALSINFRAPROJECTSLIMITED)
CIN:L27203RJ1971PLC003414
Regd.Office:3rdFloor,A-Block,OmTower,ChurchRoad,M.l.Road,Jaipur-302001
TelM-91-141-2996468
Website:www.ommetals.comE-MailId:lnfog>ommetals.com
Date:11thAugust,2026
CorporateServiceDepartment, ListingDepartment,
BombayStockExchange, NationalStockExchangeofIndiaLimited
PhirozeJeejeebhyTowers, Exchange Plaza, C-l Block G Bandra Kurla
DalaiStreet,Mumbai-400001 Complex,
FaxNo.022- Bandra(E),Mumbai
22723121/3027/2039/2061/2041 FaxNo.022-
26598237/38;66418126
DearSir,
Sub:Un-auditedFinancialResultsforthequarterended30u>lune2026
Withreference to the above captionedsubject,we wouldliketoinformyouthatattheBoardMeetingheld
todayon11thAugust,2026,theBoardhasinter-aliaconsidered,approvedandtakenonrecordthestandalone
andConsolidatedUn-auditedFinancialResultsforthequarterended30thJune,2026.
Accordingly,weareenclosingherewiththecopyofapprovedun-auditedfinancialresultsalongwithcopyof
LimitedReviewReportissuedbyStatutoryAuditorsoftheCompanyfortheQuarterended30thJune,2026.
Further,theBoardMeetingcommencedat4:30P.M.andconcludedat4:52.P.M.
Kindlytakethesameonyourrecords.
ThankingYou
Yoursfaithfully
ForOmInfraLimited
SunilKothari
Vice-Chairman
DIN:00220940
OMINFRALIMITED
(ForrowVknown OMMEFAI*>INFRAPROIEC1SLIMlFf:D}
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1SIN-INE239D01028 StockCode-BSE-531092
SYMBOL-NSE-OMINFRAL
StatementofUnauditedStandaloneFinancialResultsforthequarterended30thJune2026
PARTI
STANDALONE
QUARTERENDED_ YEARENDED
Quarterended Quarterended Quarterended Yearended
S.No. PARTICULARS 30/06/2026 31/03/2026 30/06/2025 3-1/03/2026
Unaudited Unaudited Unaudited Audited
ill (2) I?) (41
1 Income
RevenuefromOperations 1207081 1572364 997770 46B4238
OtherIncome 26561 44631 506.86 162767
TotalIncome 12336.42 16169.95 10484.56 48470.05
2 Expenses
(alCos!ofmaterialsconsumed 489386 446176 491981 1870112
(b)Purchasesolstock-in-trade 000 3362 899 4261
(c)Changesininventoriesoffinishedgoods,work-in-progressand stock-in-trade
-73199 34430 -56651 -21696
(djEmployeebenefitsexpense 111033 115410 102978 423878
(e)Financecoats 43887 4904? 47144 189915
(QDepreciationendamortisationexpense 106,64 13490 109.91 479.1
(g)Otherexpenses
568633 789160 445312 2098569
11504.04 14510.79 10426.55 46129.49
3 TotalProfitbeforeexceptionalItemsandtax 832.38 1659.16 58.01 2340.56
4 ExceptionalItems
5 TotalProfitbeforeTax 832.38 1659.16 5001 2340.56
7 Taxexpenses
8 CurrentTax 013 16763 -4103 26763
9 Deferredlax -35086 66018 -001 -10755
10 TotalTaxExp. -350.73 827.81 -41.04 160.00
Netmovementinregulatorydeferralaccountbalancesrelatedtoprofitorlossandthe
11 relateddeferredtaxmovement
14 NetProfitLossfortheperiodfromcontinuingoperations 1183.11 831.35 99.06 2180.4B
15 Profit(loss)fromdiscontinuedoperationsbeforetax
16 Taxexpenseofdiscontinuedoperations
17 Netprofit(Joss)fromdiscontinuedoperationaftertax 000 000 000 000
19 Shareofprofit(loss)ofassociatesandJointventuresaccountedforusingequitymethod
21 Totalprofit(loss)forperiod 1183.11 831.35 99.06 2180.48
22 Other it:i' taxes -021 3732 -3828 -32.52
23 TotalComprehensiveIncomefortheperiod 1182,90 868,67 60.78 2147.96
24 Totalprofitorloss,attributableto
Profitorloss,attributabletoownersofparent 1183.11 831.35 99.06 2180.48
Totalprofitorloss,attributabletonon-controllinginterests_
25 TotalComprehensiveincomefortheperiodattributableto _
Comprehensiveincomelortheperiodattributabletoownersofparent 118290 868.67 60.78 214796
ioiaicomprenensiveincometormeperiodattribuiabietoownersofparentnon-
controllinoInterests
26 Detailsofequitysharecapital
Paid-upequitysharecapital 96304 96304 96304 96304
Facevalueofequitysharecapital 1.00 100 100 100
27 Detailsofdebtsecurities
28 ReserveexcludingRevaluationreserve 7968425 7850136 7679944 78501.36
29 Earningspershare _
Earningsperequityshareforcontinuingoperations
Basicearnings(loss)persharefromconlinuingoperations 1.23 i)86 0.06 226
Dilutedearnings(loss)persharefromconlinuingoperations 123 0.66 0.06
Earningsperequitysharefordiscontinuedoperations
Basicoamlnqs(loss)pershamfromdiscontinuedoperations
Dilutedearningsflosslpersharefromdiscontinuedoperations
iaroingsperequityshare
Basicearnings(loss)potsharefromconlinuingariddiscontinuedoperations 123 086 0.06
Dilutedearnings(loss)persharefromcontinuinganddiscontinuedoperations 123 086 006 2:>(cid:127)
30 DebtEquityRatio 002 003 003
31 DebtServiceCoverageRatio 074 025 1.26
32 InterestServiceCoverageRatio 32.‘. 112
33 Disclosureofnotesonfinancialresults
Nolo:
1 mTh ee ea tinb gov he elu dn oa nud 1it 1e /d 08R /e 2s 0u 2l 6ts Tfo hr eQ au ba or vte er Re end sue ld lso hn a3 v0 elh beJ eu nne re2 v0 ie2 w6 eh da bve ytb he ee sn tare tuv ti oe rw ye ad ub dy itoa ru sd oit fc tho em cm oi mtte pe ana yn ,d aa sp rp er qo uv ie red db uy nt dh ee rb Ro ea grd ulao tf ioD nire _3c 3to or fs Sa Et Bth I(e Lir isre tis np gective
obligations&DisclosureRequirements)Regulations2015 TheLimitedReviewReportoftheslatuioryauditorisqualifiedoncertainmailers,
StrongOrderBookVisibility.TheCompanyhasemergedastheL1bidderintwoprojectsInChhaltisgarhandRajasthan,withanaggregateordervalueof
2 approximately?1,050crore.Thoseprojects,comprisingdamandwaterinfrastructureworks,areexpectedtoprovideameaningfuladditiontotheCompany'sorder
bookuponaward
ImprovingExecutionMomontumInJJMProjocla:TitoflowoffundsunderJalJoevanMission(JJM)projectsinRajasthanandUttarPradeshhascommenced,
3 althoughatasomewhatslowerpacethaninitiallyanticipatedWithfundsnowbeingallocatedbyIherespectiveSlateGovernments,executionandprojectprogressare
expectedtogainmomentumfromthecurrentquarteronwards
4 Previousyear/quarterfigureshavebeenrogrouped/roclassiflfld/Ronrfangedwhereevernecessary
ForOmInfraLimited
£~VA. 3
SunilKothari Place: Delhi
Vice-Chairman Date: 11.08.2026
DINNo00220940
SegmentwiseRevenue,ResultsandCapitalEmployed
(Rs.Inlacs)
STANDALONE
QUARTERENDED YEARENDED
S.No. PARTICULARS
Quarterended30/06/2026 Quarterended31/03/2026 Quarterended Yearended
30/06/2025 31/03/2026
Unaudited Unaudited Unaudited Audited
1 SegmentRevenue
[netsale/incomefromeachsegment
shouldbedisclosed)
1 Engineering 11933.37 15926.67 9839.20 46842.38
2 Realestate 137.44 120.21 138.50 323.24
3 Others 0.00 0.00 0.00 0.00
Totalsegmentrevenue 12070.81 16046.88 9977.70 47165.62
Less:Intersegmentrevenue
Revenue from operations 12070.81 16046.88 9977.70 47165.62
2 SegmentResult
Profit(+)/Loss(-)beforetaxandinterest
Fromeachsegment
1 Engineering 1259.570 2197.60 569.34 4424.840
2 Realestate 11.68 -48.02 -39.88 -185.13
3 Others 0.00 0.00 0.00 0.00
TotalProfit before tax 1271.25 2149.58 529.46 4239.71
i.Financecost 438.87 490.42 471.44 1899.15
ii.Otherunallocableexpenditurenetoff
unallocableincome
Profit before tax 832.38 1659.16 58.02 2340.56
(SegmentAssets-Segment
Liabilities)
SegmentAssets
1 Engineering 111206.87 108067.81 107245.97 108067.810
2 Realestate 4188.62 4300.16 4435.12 4300.16
3 Others 0.00 0.00 0.00 0.00
TotalSegmentAsset 115395.49 112367.97 111681.09 112367.97
Un-alloeableAssets
NetSegmentAsset 115395.49 112367.97 111681.09 112367.97
4 SegmentLiabilities
Segmentliabilities
1 Engineering 33543.95 31625.47 32655.50 31625.47
2 Realestate 1204.25 1278.10 1263.12 1278.1
3 Others 0.00 0.00 0.00 0.00
TotalSegmentLiabilities 34748.20 32903.57 33918.62 32903.57
Un-allocableLiabilities
NetSegmentLiabilities 34748.20 32903.57 33918.62 32903.57
Disclosure ofNotesonSegments
ThesegmentreportispreparedinaccordancewiththeIndAccountingStandard-108"OperatingSegments"notifiedbyMinistryof
1CorporateAffairs.
AmountofRs.25000lacsaroundhasbeenisinvetstedinrealestateandnoncoreassetsthroughsubsidaryandassociateswhichis
reflectinginconsolidatedfinancialstatementsandsegmentation.
TheDivisionalfiguresreclassifiedintermsof%oftotaldeploymentofassetsandaccordinglyonlytwosegmentsidentifiedandbalanceis
3 includedinothersegments
SunilKothari Place:NewDelhi
Vice-Chairman Date: 11.08.2026
DINNo00220940
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