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REC - Quaterly Results

29 Apr 2026 Evaluate
Net sales declined -5.10%  to  Rs. 143860.10 million from Rs. 151594.40 millions.Net profit declined -20.63% to Rs. 33623.00 millions from Rs. 42362.00 millions.Operating profit for the quarter ended March 2026 decreased to 133354.90 millions as compared to 141610.10 millions of corresponding quarter ended March 2025.


(Rs. in Million)


  Quarter ended Year to Date Year ended
  202603 202503 % Var 202603 202503 % Var 202603 202503 % Var
Sales 143860.10 151594.40 -5.10 591399.60 559111.20 5.77 591399.60 559111.20 5.77
Other Income 202.90 147.10 37.93 472.60 685.00 -31.01 472.60 685.00 -31.01
PBIDT 133354.90 141610.10 -5.83 569811.00 540191.50 5.48 569811.00 540191.50 5.48
Interest 89316.50 87699.30 1.84 362412.90 341349.80 6.17 362412.90 341349.80 6.17
PBDT 44038.40 53910.80 -18.31 207398.10 198841.70 4.30 207398.10 198841.70 4.30
Depreciation 67.50 64.10 5.30 266.20 243.90 9.14 266.20 243.90 9.14
PBT 43970.90 53846.70 -18.34 207131.90 198597.80 4.30 207131.90 198597.80 4.30
TAX 10347.90 11484.70 -9.90 44309.30 41465.70 6.86 44309.30 41465.70 6.86
Deferred Tax 5188.30 1394.30 272.11 7127.40 1350.30 427.84 7127.40 1350.30 427.84
PAT 33623.00 42362.00 -20.63 162822.60 157132.10 3.62 162822.60 157132.10 3.62
Equity 26332.20 26332.20 0.00 26332.20 26332.20 0.00 26332.20 26332.20 0.00
PBIDTM(%) 92.70 93.41 -0.77 96.35 96.62 -0.28 96.35 96.62 -0.28
Peers
Company Name CMP
Power Finance Corpn. 344.40
REC 308.00
NHIT 171.00
Satin Creditcare Net 214.80
IFCI 76.96
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