ScoutQuest5 Oct 2026
LCC Projects544918Quarterly results

LCC Projects Q1 FY27: revenue falls 15% to ₹8,026 mn on execution disruptions; order book rises to ₹83,878 mn

Q1 FY27 revenue down 15% to ₹8,026 mn and PAT down 16% to ₹658 mn; FY26 revenue up 23% to ₹36,003 mn.

8,026 (₹ In Mn)
FY2636,003 (₹ In Mn)Q1 FY278,026 (₹ In Mn)
Revenue from operations: 36,003 (₹ In Mn) (FY26) and 8,026 (₹ In Mn) (Q1 FY27).
Q1 FY27 Revenue
₹8,026 mn, down 15% from ₹9,455 mn
Q1 FY27 PAT
₹658 mn, down 16%
EBITDA Margin
14.9% vs 13.5%
FY26 Revenue and PAT
Revenue up 23% to ₹36,003 mn; PAT up 28% to ₹2,864 mn
Order Book
₹83,878 mn on June 30, 2026 vs ₹79,532 mn on March 31, 2026

📉 Q1 FY27 revenue from operations fell 15% to ₹8,026 mn from ₹9,455 mn, and PAT fell 16% to ₹658 mn, though EBITDA margin rose to 14.9% from 13.5%. For FY26, revenue grew 23% to ₹36,003 mn and PAT 28% to ₹2,864 mn.

📌 The company attributes the weak quarter to supply-chain disruptions from geopolitical tensions that caused a commercial fuel shortage, plus workmen shortages linked to state elections; management states the situation has since normalised.

📋 The order book stood at ₹83,878 million on June 30, 2026 versus ₹79,532 million on March 31, 2026, with FY27 YTD order booking of ₹22,291 mn and an L1 position worth ₹17,673 million; the company says this supports confidence in growth through FY27.

🏭 The presentation lists plans to expand into Bihar and Goa, diversify into renewable energy, mining, waste-water, desalination, railways and metro, invest in technologies such as SCADA and ERP, and optimise working capital. FY26 operating cash flow was 1,584 against current borrowings of 7,944 (₹ In Mn).

More numbers
  • Order book, June 30, 2026₹83,878 million
  • Order book, March 31, 2026₹79,532 million
  • YTD order booking FY27₹22,291 mn
  • L1 position projects₹17,673 million
  • Revenue from operations, Q1 FY278,026 (₹ In Mn)
  • Revenue growth Y-o-Y, Q1 FY27-15%
  • Profit after tax, Q1 FY27658 (₹ In Mn)
  • EBITDA margin, Q1 FY2714.9%
  • Revenue from operations, FY2636,003 (₹ In Mn)
  • Profit after tax, FY262,864 (₹ In Mn)
  • Net cash from operating activities, FY261,584 (₹ In Mn)
  • Current borrowings, Mar'267,944 (₹ In Mn)
  • RoE, FY2632.24%
Source: BSE · 5 Oct 2026

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