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Viksit Engineering Ltd Interim / Quarterly Report 2026

May 30, 2026

64201_rns_2026-05-30_daa02c65-5f91-4faa-9f83-c4a51c36b7e7.pdf

Interim / Quarterly Report

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VILSIT

CIN: L99999MH1983PLC029321

Viksit Engineering Limited

Regd. Office: Room No. 1-2, Kapadia Chambers, 51,

Masjid Bunder (E) Mumbai - (MH.) -

  • 400 009

E-mail: [email protected], Website: www.viksitengineering.com

Date: May 30, 2026

To,a

BSE Limited

Phiroze Jeejeeboy Towers

Dalal Street

Mumbai - 400001.

Scrip Code: 506196

Sub: Newspaper advertisement in connection with the Board Meeting held on 28 May 2026 for publication of Audited Financial Results for the Quarter and Financial Year ended March 31, 2026.

Dear Sir/Ma’am,

Pursuant to Regulation 30 and 47 of the SEBI (Listing Obligations and Disclosure Requirements) Regulation, 2015, please find enclosed copies of the Audited Financial Results of the Company for the quarter and financial year ended March 31, 2026, published in newspaper namely Business Standard (English) and Pratahkal (Marathi) on May 30, 2026.

You are requested to take the above information on your record.

Thanking you.

Yours Faithfully,

For Viksit Engineering Limited

Animesh Sharma

Address: Digitally signed by Animesh Sharma
Date: 2026.05.30
13:33:21 +05'30'

Animesh Sharma
Whole-Time Director
DIN: 10905825

Encl: As above


Business Standard MUMBAI | SATURDAY, 30 MAY 2026

Daries agro limited

Registered & Corporate Office: Arles House, Plot No. 24, Diaries, Goverall (E), Mumbai - 489 040.

EIN: L8080689156@PLCEHANG

Extract of Audited Financial Results for the Quarter and End of End of 31st Month, 2026

PARTICULARS Consolidated Financial Results Mandatory Financial Results Consolidated Mandatory
Quarter Ended Quarter Ended Year Ended Year Ended
31-Mar-2026 31-Dec-2026 31-Mar-2027 31-Mar-2026 31-Mar-2027 31-Dec-2027 31-Mar-2026 31-Mar-2027 31-Dec-2027 31-Mar-2026 31-Dec-2027 31-Mar-2027
(4,657.13) (314,443.67) (4,657.13) (4,657.13) (314,443.67) (314,443.67) (4,657.13) (4,657.13) (4,657.13) (4,657.13) (4,657.13) (4,657.13)
Income from Operations 34,008.90 33,839.56 77,717.70 20,449.60 24,804.40 16,005.40 36,698.20 40,455.30 41,794.32 77,820.27 16,005.40 16,005.40
Less: - Discounts / Rebates -2,358.16 3,703.56 4,456.32 2,270.30 2,709.31 4,418.59 21,832.20 19,217.80 21,381.11 16,807.84 16,807.84 16,807.84
Less: - Discounts / Debt 10,521.77 20,342.60 10,754.89 17,077.30 24,677.30 13,852.50 28,222.50 24,222.50 24,222.50 16,777.50 24,222.50 24,222.50
Net Profit (1) / Less (-) for the period (before Tax, Exceptional and/or Extraordinary Items) (800.74) 2,303.58 (498.97) (404.22) 1,810.48 (642.57) 5,025.50 4,435.75 5,345.33 4,110.58 4,110.58 4,110.58
Net Profit (2) / Less (-) for the period after Tax (441.91) 1,723.63 (346.43) (347.86) 1,429.07 (461.06) 4,285.36 3,402.28 3,837.15 3,224.99 3,224.99 3,224.99
Other Comprehensive Income for the period (Competing Profit / (Less) for the period (after tax) and Other Comprehensive Income (after tax)) (441.91) 1,723.63 (346.43) (347.86) 1,429.07 (461.06) 4,285.36 3,402.28 3,837.15 3,224.99 3,224.99 3,224.99
Equity Share Capital Equity (Sales of Rs. 12/- Each) 1,930.43 1,358.43 1,350.43 1,350.43 1,350.43 1,350.43 1,350.43 1,350.43 1,350.43 1,350.43 1,350.43 1,350.43
Revenue (excluding Production Relevance) at Head of Stocks 32,138.70 27,657.49 27,657.49 29,916.53 28,150.64 26,150.64 32,138.70 27,657.49 28,816.53 26,150.64 26,150.64 26,150.64

Notes for the Quarter and Year Ended on 31st March, 2026:

1 Statement of Assets and Liabilities

PARTICULARS Consolidated Mandatory
Year Ended % of Ended Year Ended % of Ended Year Ended % of Ended
31-04-2026 31-04-2026 31-04-2026 31-04-2026 31-04-2026 31-04-2026
(4,657.13) (4,657.13) (4,657.13) (4,657.13) (4,657.13) (4,657.13)
  1. Statement of Cash Flows
A. Assets Non Current Assets (a) Property, Plant and equipments (b) RfD FPL (c) Capital of the Asset (d) Multiple assets (e) Capital of the Asset (f) Other current assets (g) Current Investment (h) Debt (i) Debt (j) Debt (k) Debt (l) Debt (f) Debt (g) Debt (h) Debt 1,9,721.10 4,624.10 3,939.10 3,939.10 3,939.10 3,939.10 3,939.10 3,939.10 3,939.10 3,939.10 3,939.10 40,344.10 3,142.10 3,142.10 3,142.10 3,142.10 3,142.10 3,142.10 3,142.10 3,142.10 3,142.10 1,7,721.10 3,142.10 3,142.10 3,142.10 3,142.10 3,142.10 3,142.10 3,142.10 3,142.10 1,7,721.10 3,142.10 3,142.10 3,142.10 3,142.10 3,142.10 3,142.10 3,142.10 40,344.10 3,142.10 3,142.10 3,142.10 3,142.10 3,142.10 3,142.10 40,344.10 3,142.10 3,142.10 3,142.10 3,142.10
Current Assets (a) Inventories (b) Franchises (c) Other Franchise Assets (d) Other Franchise Assets (e) Other Franchise Assets (f) Other Franchise Assets (g) Other Franchise Assets (h) Other Franchise Assets (i) Trade Receivables (ii) Debt (iii) Debt (iv) Debt (v) Debt (vi) Debt 1,8,263.00 1,7,717.40 1,7,647.40 1,7,647.40 1,7,647.40 1,7,647.40 1,7,647.40 1,7,647.40 1,8,263.00 1,7,717.40 1,7,647.40 1,7,647.40 1,7,647.40 1,7,647.40 1,7,647.40 1,8,263.00 1,7,717.40 1,7,647.40 1,7,647.40 1,7,647.40 1,8,263.00 1,7,717.40 1,7,647.40 1,7,647.40 1,8,263.00 1,7,717.40 1,7,647.40 1,7,647.40 1,8,263.00 1,7,717.40 1,7,647.40

B. ASSETS AND LIABILITIES

(1) Equity
(a) Equity share capital
(b) Other equity

B. Share of Equity Consolidated Mandatory
Year Ended % of Ended Year Ended % of Ended Year Ended % of Ended
31-04-2026 31-04-2026 31-04-2026 31-04-2026 31-04-2026 31-04-2026
(4,657.13) (4,657.13) (4,657.13) (4,657.13) (4,657.13) (4,657.13)

(2) Non-Certinating Interest
(1) Equity share capital
(2) Other non-certinating interest
(3) Other non-certinating interest

B. Share of Equity Consolidated Mandatory
Year Ended % of Ended Year Ended % of Ended Year Ended % of Ended
31-04-2026 31-04-2026 31-04-2026 31-04-2026 31-04-2026 31-04-2026
(4,657.13) (4,657.13) (4,657.13) (4,657.13) (4,657.13) (4,657.13)

(3) Non-Certinating Interest
(1) Equity share capital
(2) Other non-certinating interest
(3) Other non-certinating interest1,8,263.00
1,7,717.40
1,7,647.40
1,7,647.40
1,7,647.401,8,263.00
1,7,717.40
1,7,647.40
1,7,647.40
1,7,647.401,8,263.00
1,7,717.40
1,7,647.40
1,7,647.40
1,7,647.40

(4) Debt
(5) Debt
(6) Debt
(7) Debt

B. Debt Consolidated Mandatory
Year Ended % of Ended Year Ended % of Ended Year Ended % of Ended
31-04-2026 31-04-2026 31-04-2026 31-04-2026 31-04-2026 31-04-2026

(4) Debt
(5) Debt
(6) Debt

B. Debt Consolidated Mandatory
Year Ended % of Ended Year Ended % of Ended Year Ended % of Ended
31-04-2026 31-04-2026 31-04-2026 31-04-2026 31-04-2026 31-04-2026

SOURCES OF THE STATE OF INDONESIA

The above statements are part of the Statement of Profit and Loss

1. Capital of the State
2. Capital of the State
3. Capital of the State
4. Capital of the State
5. Capital of the State

1. The above is an extract of the detailed format of Audited Quarterly Financial Results (Note: Exchanges under regulation 31 of the 1979 L being Obligations and Discounts, Requirements) Regulations, 2011. The full format of the Quarterly Financial Results are available on the Stock Exchange websites, www.buendia.com and www.neandia.com and the Company's website, www.emaagro.com.

The results have been prepared in accordance with the Indian Accounting Standards (InAS) to effect under the Company's (InAS) Rules, 2010 and subsequent procedures.

As the Company's business activity falls within a single primary business segment, the disclosure requirements of Accounting Standard (InAS)-100/17 (sending fragments 1 are nonexplicable. The Company's business review is discussed in the following sections. InAS-100/17 is a document showing the business review of the Company's business activity. The document indicates that the Company's business activity is discussed in the following sections.

The above financial data are presented in the following sections:

  1. The above financial data is presented in the following sections:

  2. The above financial data is presented in the following sections:

  3. The above financial data is presented in the following sections:

  4. The above financial data is presented in the following sections:

  5. The above financial data is presented in the following sections:

  6. The above financial data is presented in the following

Place - Mumbai
Date - 30 May 2026
1

VILLAGE OF THE STATE OF INDONESIA
INDIAN TRANSITION
1

VILLAGE OF THE STATE OF INDONESIA
INDIAN TRANSITION
1

VILLAGE OF THE STATE OF INDONESIA
INDIAN TRANSITION
1

VILLAGE OF THE STATE OF INDONESIA
INDIAN TRANSITION
1


माहितीबद्धता

मुंबई, दानियार डि. ३० मे २०२६

श्रीअर बाजारासाठी 'ब्लॉक फ्रायडे'; गुंतवणूकदारांचे ५.१७ लाख कोटी रुपये बुडाले

मुंबई, दि. २९ (एशिनिओ)
१ वर्षांच्या शरीर हाच पोथवार सुरू असलेल्या शांतता व्यक्तीला निर्माण झालेली अधिस्थितता, माहिती गुंतवणूकदारांकडून झालेली मोठ्या प्रमाणातील रिबर्स आणि नफ्याबद्दलच्या छायामुळे आज खासगणे श्रीअर बाजारामधील राबरून झाली. त्यामुळे आजच्या दिवसात गुंतवणूकदारांकडे 'ब्लॉक फ्रायडे' हाचपे दिवसाला सभासार निर्माणा घेणे कायम शक्तिमार्गे मुंबई पीआ बाजारात केलेल्या आणि राष्ट्रीय पीआ बाजाराचा निर्माण या दोन्ही

हात मोटर्सबद्दल २०२६ दिवसां आणि दिवसां ईव्ही लॉन्ड

मुंबई, दि. २९ (एशिनिओ)
१ वर्षांच्या शरीरच्या हात मोटर्सबद्दल २०२६ दिवसांत २०२६ दिवसांमध्ये १५% दिवसां आणि दिवसां ईव्ही अधिस्थितता यांची केली आहेत. त्यावरील दिवसांत अकादेबर गुंतवणूकदारांबद्दल २०२६ दिवसांत श्रीअर बाजारात ५% लाख रुपये दाखवले असते. त्यामुळे आजच्या दिवसांत गुंतवणूकदारांकडे 'ब्लॉक फ्रायडे' हाचपे दिवसाला सभासार निर्माणा घेणे कायम शक्तिमार्गे मुंबई पीआ बाजारात केलेल्या आणि राष्ट्रीय पीआ बाजाराचा निर्माण या दोन्ही

अकादेबर गुंतवणूक

राह्या गतिस्थितीची मोठी पसरत गोंधवली यामुळे गुंतवणूकदारांच्या शांततेने रक्कम १,२७ लाख कोटी रुपयांचे पार झाली. दिवसांतराच्या व्यवहारातील, कॅम्पॅक्चर १.४४ टक्क्यांच्या पसरतीसह आणि निवडी २.५० टक्क्यांच्या पसरतीसह बंद झाला.

यासाठी व्यवहाराचे सुरुवात मिळू शक्यता झाले होते. सुरुवातीच्या खरेदीमुळे कॅम्पॅक्चर २६ हजार २२० अकादेबर पोहोचवणे त्या दिवसांत २०२६ दिवसांत १५% लाख रुपये दाखवून झाली. अखेरच्या व्यवहारात कॅम्पॅक्चर १ हजार १२ अकादेबर पसरतीसह २४ हजार ७४० अकादेबर बंद झाला. सुरुवातीच्या निवडी २५१ अकादेबर पाहतच २३ हजार ५२० टक्के अकादेबर दिवसांत १ दिवसांत १५% लाख रुपये दाखवून झाली.

अकादेबर गुंतवणूक

अकादेबर गुंतवणूकदारांना ५% लाख रुपये दाखवून झाली

यासाठी