RDB Real Estate Constructions (RRECL)

BSE: ₹154.00
Stock Performance
Corporate Announcements
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Quarterly Financials

Consolidated Standalone
Particulars Dec 2024 Mar 2025 Jun 2025 Sep 2025 Dec 2025 Mar 2026
Revenue from Operations 9.93 32.36 19.85 18.67 16.12 179.49
YOY Revenue Growth % - - - - 62.28% 454.61%
Other Income 0.71 5.13 3.74 -0.69 5.24 0.60
Total Income 10.65 37.49 23.59 17.99 21.36 180.09
Total Expenses + 9.58 44.74 22.41 18.71 23.20 183.27
Cost of Materials Consumed 8.40 22.48 14.08 8.70 1.31 94.19
Employee Benefit Expense 0.19 0.84 0.89 0.92 0.89 1.71
Other Expenses 4.35 11.03 7.76 9.65 8.76 26.56
Operating Profit 0.35 -12.37 -2.56 -0.04 -7.09 -3.78
OPM % 3.6% -38.2% -12.9% -0.2% -44% -2.1%
Profit Before Tax + 1.07 -7.24 1.18 -0.72 -1.85 -3.18
Tax Expense 0.98 -1.29 0.84 -0.09 1.75 1.80
Tax % 91.8% - 71.1% - - -
Profit After Tax 0.09 -5.95 0.34 -0.64 -3.59 -4.97
EPS (Basic) 0.05 -3.44 0.35 -0.37 -2.08 -2.08

Yearly Financial Results

Consolidated Standalone
Particulars Mar 2026 Mar 2025
Revenue from Operations 234.13 83.96
YOY Revenue Growth % 178.87% -
Other Income 8.90 13.20
Total Income 243.03 97.16
Total Expenses + 247.59 93.62
Cost of Materials Consumed 118.27 64.61
Employee Benefit Expense 4.41 1.39
Other Expenses 52.73 28.21
Operating Profit -13.46 -9.66
OPM % -5.8% -11.5%
Profit Before Exceptional -4.57 3.54
Exceptional Items 0.00 0.00
Profit Before Tax + -4.57 3.54
Tax Expense 4.29 1.70
Tax % - 48.1%
Profit After Tax -8.86 1.84
EPS (Basic) 0.83 1.06

Balance Sheet

Particulars Mar 2026 Mar 2025
ASSETS
Non-Current Assets + 309.61 407.89
Property, Plant & Equipment 53.59 32.23
Capital Work in Progress 0.13 161.76
Non-Current Investments 10.59 11.84
Goodwill 0.00 0.00
Other Intangible Assets 0.19 21.48
Current Assets + 1,168.99 761.50
Inventories 970.19 709.21
Trade Receivables 30.88 16.32
Cash and Cash Equivalents 26.50 13.91
Current Investments 0.00 0.00
LIABILITIES & EQUITY
Total Equity 265.60 154.59
Equity Share Capital 26.31 17.28
Other Equity 222.33 124.05
Non-Current Liabilities 419.58 377.27
Current Liabilities 793.41 637.52
Total Liabilities 1,213.00 1,014.80

Cash Flow Statement

Particulars Mar 2026 Mar 2025
Cash from Operating Activities -38.91 138.35
Cash from Investing Activities 0.19 -36.76
Cash from Financing Activities 51.31 -98.43
Net Increase/Decrease in Cash 26.50 3.16