1、Q2 FY 26 Financial Results Quarter endedSeptember 30,Quarter endedJune 30,Quarter endedSeptember 30,Year endedMarch 31,202520252024202520242025AuditedAuditedAuditedAuditedAuditedAuditedRevenue from operations 44,490 42,279 40,986 86,769 80,300 162,990 Other income,net 982 1,042 712 2,024 1,551 3,600
2、 Total Income 45,472 43,321 41,698 88,793 81,851 166,590 ExpensesEmployee benefit expenses 23,438 22,847 21,564 46,284 42,498 85,950 Cost of technical sub-contractors 3,879 3,497 3,190 7,376 6,359 12,937 Travel expenses 539 516 458 1,055 936 1,894 Cost of software packages and others 4,025 3,746 3,9
3、49 7,771 7,404 15,911 Communication expenses 160 144 169 303 316 620 Consultancy and professional charges 480 464 451 943 895 1,655 Depreciation and amortisation expenses 1,182 1,140 1,160 2,323 2,310 4,812 Finance cost 106 105 108 211 214 416 Other expenses 1,434 1,122 1,396 2,557 2,645 4,787 Total
4、 expenses 35,243 33,581 32,445 68,823 63,577 128,982 Profit before tax 10,229 9,740 9,253 19,970 18,274 37,608 Tax expense:Current tax 3,178 3,053 3,146 6,232 6,144 12,130 Deferred tax (324)(237)(409)(562)(760)(1,272)Profit for the period 7,375 6,924 6,516 14,300 12,890 26,750 Other comprehensive in
5、come Items that will not be reclassified subsequently to profit or lossRemeasurement of the net defined benefit liability/asset,net (38)(70)78 (108)98 (92)Equity instruments through other comprehensive income,net (8)35 (9)27 5 19 Items that will be reclassified subsequently to profit or lossFair val
6、ue changes on derivatives designated as cash flow hedges,net -6 (21)6 (24)(24)Exchange differences on translation of foreign operations 862 1,019 560 1,881 456 357 Fair value changes on investments,net (34)123 86 89 126 199 Total other comprehensive income/(loss),net of tax 782 1,113 694 1,895 661 4