Active Infrastructures Limited

Active Infrastructures Limited - real estate and construction in Nagpur, Maharashtra, India. FY 2026 financials & compliance.
CIN L45200MH2007PLC174506 Incorporated 26 September 2007 ROC Nagpur HQ Nagpur, Maharashtra, India
Active Listed Public Limited Company real estate and construction
Data last updated
Market Cap
₹272 Cr
ACTIVEINFR-SM · NSE
Share Price
₹172.50
-4.83% today
Revenue
₹96.57 Cr
FY 2025-26 · +7.6% YoY
EBITDA
₹16.13 Cr
Margin 16.7%
Net Profit
₹10.22 Cr
FY 2025-26 · +7.9% YoY
P/E (TTM)
26.7x
P/B 2.3x
ROE
8.8%
ROCE 9.8%
Debt / Equity
0.59
Interest cover 25.9x

About Active Infrastructures Limited

Data last updated:

Active Infrastructures Limited is a public limited company based in Nagpur, Maharashtra, India, a subsidiary of Shradha Infraprojects Limited. It operates in the real estate development and construction segment of the real estate and construction sector. It was incorporated on 26 September 2007 and has been in existence for over 19 years.

The company is registered with the Registrar of Companies (ROC), Nagpur, under CIN L45200MH2007PLC174506. Its GSTIN is 27AAGCA5935M1Z9 (Maharashtra). The company holds 4 GST registrations, all of them active. It is a listed company.

The company has an authorised share capital of ₹12.4 Cr and a paid-up capital of ₹7.51 Cr. It is led by directors including Nitesh Vinayakumar Sanklecha (Managing Director) and Gaurav Balkrishna Sharma.

Its last annual general meeting (AGM) was held on 25 July 2025, and its latest financial statements are for the year ended 31 March 2025. The registered office is at Nagpur, Maharashtra.

As per the latest consolidated financials for FY 2025-26, the company reported a revenue of ₹96.57 Cr, a growth of 7.6% compared to the previous year. For the same year it recorded a net profit of ₹10.22 Cr (net margin 10.6%) and EBITDA of ₹16.13 Cr (EBITDA margin 16.7%). The net worth stands at ₹120.46 Cr (up 7.8% YoY). Total assets are valued at ₹206.46 Cr (up 19.2% YoY).

Its group structure includes 2 subsidiaries.

As per MCA filings, the company has open charges of ₹46.55 Cr and satisfied charges of ₹56.17 Cr on record.

The current compliance status is marked as compliant by the Registrar of Companies.

Company Details of Active Infrastructures Limited
CIN L45200MH2007PLC174506
Registration Number 174506
Incorporation Date 26 September 2007
ROC Nagpur
Listing Status Listed
Company Status Active
Date of Last AGM 25 July 2025
Date of Balance Sheet 31 March 2025
Parent Company Shradha Infraprojects Limited
Compliance Status Active Compliant
Contact Details
  • Email
    Locked
  • Telephone
    Locked
  • Website
    Locked
  • Social Media
    Locked
  • Registered Address
    Riaan Tower 10th Floor Mangalwari Road, Sadar, Nagpur, Maharashtra, India – 440001
  • Industry
    Real Estate and Construction, Real Estate Builders & Developers
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Financials, compliance, directors, charges, ownership and filings for Active Infrastructures Limited in one report.

Financials from 2015 Directors & ownership Charges & compliance

CIN History of Active Infrastructures Limited

Active Infrastructures has 2 previous CINs, indicating changes in the company's corporate structure or registration details. The current CIN is L45200MH2007PLC174506, which is the unique identifier assigned by the Registrar of Companies.

CINStatus
L45200MH2007PLC174506Current
U45200MH2007PTC174506Previous
U45200MH2007PLC174506Previous

Business Activity of Active Infrastructures Limited

Active Infrastructures operates primarily in multiple sectors including construction, real estate, and trade. 3 business activities are registered with the MCA.

Main Activity Group CodeDescription of Main ActivityBusiness Activity CodeDescription of Business ActivityTurnover Percentage
LockedConstructionLockedBuildingsLocked
LockedReal EstateLockedReal estate activities with own or leased propertyLocked
LockedTradeLockedWholesale TradingLocked
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Activity codes and each activity's share of turnover are in the company report.

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  • Detailed activity codes
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Auditor Details of Active Infrastructures Limited

Active Infrastructures Limited is audited by P N GUPTA for the financial year 2023.

NameStatusAppointment DateCessation Date
P N GUPTALockedLockedLocked
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Complete auditor history

Appointment and cessation dates and past auditor changes are in the company report.

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Board of Directors of Active Infrastructures Limited

Active Infrastructures has 6 current directors and 16 former directors. Current directors are listed first, with their designation and appointment date.

Current Directors
NameDesignationAppointment DateTenureStatus
Gaurav Balkrishna SharmaDirector01 Jun 20242 Years 4 MonthsCurrent
Akshay Bharat ThakkarDirector01 Jun 20242 Years 4 MonthsCurrent
Shreyash Sunil RaisoniDirector18 May 20215 Years 4 MonthsCurrent
Asha SampathDirector11 Nov 20205 Years 10 MonthsCurrent
Chandrakant WaikarDirector01 Jun 20242 Years 4 MonthsCurrent
Nitesh Vinayakumar SanklechaManaging Director01 Jun 20242 Years 4 MonthsCurrent

Financials of Active Infrastructures Limited FY 2025-26 filings available

Active Infrastructures Limited reported revenue of ₹96.57 Cr (up 7.6% YoY) for FY 2025-26.

Financial Highlights

FY 2025-26 · Consolidated
Revenue
₹96.57 Cr
+7.6% YoY
EBITDA
₹16.13 Cr
-31.7% YoY
Profit After Tax
₹10.22 Cr
+7.9% YoY
Net Worth
₹120 Cr
+7.8% YoY
Total Assets
₹206 Cr
+19.2% YoY
Total Debt
₹80.23 Cr
+43.7% YoY

Revenue vs Net Profit ₹ Cr

Margin trends

Financial summary ₹ Cr

MetricsFY 2025-26FY 2024-25FY 2023-24FY 2022-23FY 2021-22
Income statement
Revenue96.5789.7697.1889.401.10
Revenue growth+7.6%-7.6%+8.7%+8027.3%-
EBITDA16.1323.6217.4213.070.11
EBITDA margin+16.7%+26.3%+17.9%+14.6%+10.0%
Profit before tax14.7317.4312.4313.200.11
Net profit10.229.477.459.770.08
Net profit margin+10.6%+10.6%+7.7%+10.9%+7.3%
EPS (₹)6.816.326.9514.590.13
Balance sheet
Total assets20617394.1588.13120
Net worth12011227.3818.3011.04
Total debt80.2355.8364.7669.30109
Cash & bank22.5762.191.370.040.01
Net working capital13614061.2078.97118
Cash flow
Cash from operations(24.51)4.4831.8818.22(2.49)
Cash from investing(48.41)(5.82)(27.03)(7.24)(1.22)
Cash from financing19.5962.76(4.75)(10.94)3.71
ParticularsSep 2024Jun 2024
Revenue7.2926.38
Other income0.160.07
EBITDA2.065.87
EBITDA margin+28.3%+22.3%
Depreciation0.840.81
Interest0.050.00
Profit before tax1.335.13
Tax(0.38)1.30
Net profit1.713.83
EPS (₹)0.003.31
MetricsFY 2025-26FY 2024-25FY 2023-24FY 2022-23FY 2021-22
Income statement
Revenue41.8336.0758.8683.491.10
Revenue growth+16.0%-38.7%-29.5%+7490.0%-
EBITDA10.697.0610.2412.920.12
EBITDA margin+25.6%+19.6%+17.4%+15.5%+10.9%
Profit before tax13.437.5110.2812.930.13
Net profit10.035.707.629.670.10
Net profit margin+24.0%+15.8%+13.0%+11.6%+9.1%
EPS (₹)6.733.797.1114.440.13
Balance sheet
Total assets11511353.5980.14120
Net worth11510625.8218.2011.04
Total debt0.006.9927.3061.57109
Cash & bank21.9961.280.030.010.01
Net working capital10710949.1777.86118
Cash flow
Cash from operations(24.66)7.2436.9965.14(2.05)
Cash from investing(19.62)(0.87)(2.59)(2.20)(1.22)
Cash from financing(8.61)54.55(34.38)(62.93)3.26

Financial Statements

Figures in ₹ Cr; negatives in brackets. Updated 05 Oct 2026
ParticularsSep 2024Jun 2024
Revenue7.2926.38
Other income0.160.07
EBITDA2.065.87
EBITDA margin+28.3%+22.3%
Depreciation0.840.81
Interest0.050.00
Profit before tax1.335.13
Tax(0.38)1.30
Net profit1.713.83
EPS (₹)0.003.31
ParticularsFY 2025-26FY 2024-25FY 2023-24FY 2022-23FY 2021-22
Revenue96.5789.7697.1889.401.10
Revenue growth+7.6%-7.6%+8.7%+8027.3%-
Other income4.980.740.250.190.00
Total expenses80.4466.1479.7676.330.99
Employee cost0.210.030.000.000.00
EBITDA16.1323.6217.4213.070.11
EBITDA margin+16.7%+26.3%+17.9%+14.6%+10.0%
Depreciation2.973.723.380.040.00
Interest3.413.211.860.020.00
Profit before tax14.7317.4312.4313.200.11
Tax4.434.353.623.330.03
Net profit10.229.477.459.770.08
Net profit margin+10.6%+10.6%+7.7%+10.9%+7.3%
EPS (₹)6.816.326.9514.590.13
ParticularsFY 2025-26FY 2024-25FY 2023-24FY 2022-23FY 2021-22
Equity & liabilities
Share capital7.517.515.360.670.67
Reserves & surplus11310422.0217.6310.37
Shareholders' funds (net worth)12011227.3818.3011.04
Minority interest5.125.071.460.150.00
Secured loans60.3523.6019.878.124.73
Unsecured loans19.8832.2344.8961.18104
Total debt80.2355.8364.7669.30109
Total liabilities20617394.1588.13120
Assets
Gross block61.5439.5136.199.341.90
Net block49.7530.6631.268.031.39
Capital work in progress18.730.000.000.000.00
Investments1.101.251.251.151.15
Inventories60.9441.1248.6182.07124
Sundry debtors49.9452.1021.385.860.00
Cash & bank balances22.5762.191.370.040.01
Loans & advances35.896.203.271.550.08
Total current assets16916274.6389.52124
Total current liabilities33.4921.1213.4310.555.88
Net working capital13614061.2078.97118
Total assets20617394.1588.13120
ParticularsFY 2025-26FY 2024-25FY 2023-24FY 2022-23FY 2021-22
Opening cash61.560.150.040.010.01
Net cash from operating activities(24.51)4.4831.8818.22(2.49)
Net cash from investing activities(48.41)(5.82)(27.03)(7.24)(1.22)
Net cash from financing activities19.5962.76(4.75)(10.94)3.71
Net change in cash(53.33)61.420.110.030.00
Closing cash22.5762.191.370.040.01
ParticularsFY 2025-26FY 2024-25FY 2023-24FY 2022-23FY 2021-22
Growth
Sales growth+7.6%-7.6%+8.7%+8027.3%-
EBITDA growth-31.7%+35.6%+33.3%--
PBT growth-15.5%+40.2%-5.8%-+9997.0%
Net income growth+7.9%+27.1%-23.8%--
Revenue CAGR (3Y)+2.6%+333.7%---
EBITDA CAGR (3Y)+7.3%+498.8%---
Profitability & leverage
Net income margin+10.7%+14.6%+9.1%+11.0%+7.3%
Return on capital employed+9.8%+15.8%+15.8%+12.7%+0.1%
Return on net worth+8.9%+18.8%+38.6%+67.3%+0.7%
Debt / equity0.590.872.936.089.89
Long-term debt / equity0.170.090.290.200.06
Interest cover25.9116.1313.250.150.00
Efficiency & per share
Fixed asset turnover1.912.374.2715.910.58
Inventory turnover1.892.001.490.870.01
Debtors turnover1.892.447.1430.510.00
EPS (₹)6.816.326.9514.590.13
Dividend per share (₹)0.501.001.750.000.00
Book value per share (₹)80.2274.4325.5527.3316.48
ParticularsFY 2025-26FY 2024-25FY 2023-24FY 2022-23FY 2021-22
Revenue41.8336.0758.8683.491.10
Revenue growth+16.0%-38.7%-29.5%+7490.0%-
Other income3.140.560.150.020.01
Total expenses31.1429.0148.6270.570.98
Employee cost0.700.030.000.000.00
EBITDA10.697.0610.2412.920.12
EBITDA margin+25.6%+19.6%+17.4%+15.5%+10.9%
Depreciation0.170.000.000.000.00
Interest0.230.110.110.010.00
Profit before tax13.437.5110.2812.930.13
Tax3.341.832.663.260.03
Net profit10.035.707.629.670.10
Net profit margin+24.0%+15.8%+13.0%+11.6%+9.1%
EPS (₹)6.733.797.1114.440.13
ParticularsFY 2025-26FY 2024-25FY 2023-24FY 2022-23FY 2021-22
Equity & liabilities
Share capital7.517.515.360.670.67
Reserves & surplus10798.8920.4617.5310.37
Shareholders' funds (net worth)11510625.8218.2011.04
Secured loans0.002.604.590.504.28
Unsecured loans0.004.3922.7161.07105
Total debt0.006.9927.3061.57109
Total liabilities11511353.5980.14120
Assets
Gross block2.071.951.921.901.90
Net block0.630.680.851.071.39
Capital work in progress0.000.000.000.000.00
Investments7.413.563.551.201.15
Inventories51.4740.8148.4379.56124
Sundry debtors13.2912.730.330.410.00
Cash & bank balances21.9961.280.030.010.01
Loans & advances32.703.942.632.190.08
Total current assets11911951.4282.17124
Total current liabilities12.469.622.254.315.88
Net working capital10710949.1777.86118
Total assets11511353.5980.14120
ParticularsFY 2025-26FY 2024-25FY 2023-24FY 2022-23FY 2021-22
Opening cash60.950.030.010.010.01
Net cash from operating activities(24.66)7.2436.9965.14(2.05)
Net cash from investing activities(19.62)(0.87)(2.59)(2.20)(1.22)
Net cash from financing activities(8.61)54.55(34.38)(62.93)3.26
Net change in cash(52.89)60.920.020.000.00
Closing cash21.9961.280.030.010.01
ParticularsFY 2025-26FY 2024-25FY 2023-24FY 2022-23FY 2021-22
Growth
Sales growth+16.0%-38.7%-29.5%+7490.0%-
EBITDA growth+51.4%-31.1%-20.7%--
PBT growth+78.8%-27.0%-20.5%+9846.2%+9997.0%
Net income growth+76.0%-25.2%-21.2%+9570.0%-
Revenue CAGR (3Y)-20.6%+220.1%---
EBITDA CAGR (3Y)-6.1%+288.9%---
Profitability & leverage
Net income margin+24.1%+15.8%+13.0%+11.6%+9.1%
Return on capital employed+12.0%+9.1%+15.5%+12.9%+0.1%
Return on net worth+9.1%+8.6%+34.6%+66.1%+0.8%
Debt / equity0.030.262.025.849.89
Long-term debt / equity0.000.000.020.040.06
Interest cover2.191.561.070.080.00
Efficiency & per share
Fixed asset turnover20.8118.6430.8243.940.58
Inventory turnover0.910.810.920.820.01
Debtors turnover3.225.52159.08407.270.00
EPS (₹)6.733.797.1114.440.13
Dividend per share (₹)0.501.001.750.000.00
Book value per share (₹)76.5770.8624.0927.1816.49
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Shareholding Pattern of Active Infrastructures Limited

Shareholding for the quarter ended Sep 2026: promoters hold 73.30%, foreign institutional investors hold 2.70%, domestic institutional investors hold 0.00% and retail and other public shareholders hold 24.00%.

Promoters: 73.30%FII (Foreign Institutional): 2.70%Retail & Others: 24.00%
Sep 2026
QUARTER
73.30% Promoters
2.70% FII (Foreign Institutional)
24.00% Retail & Others
Promoter holding - history
Now 73.30% · Sep 2026High 73.30% · Jun 2026Low 71.40% · Dec 2025
70%71.3%72.5%73.8%75%Dec 2025Mar 2026Jun 2026Sep 2026Dec 2025: 71.40%Mar 2026: 72.40%Jun 2026: 73.30%Sep 2026: 73.30%73.30%71.40%73.30%
Shareholding trend - last 6 quarters
Sep 2026Jun 2026Mar 2026Dec 2025
Promoters73.30%73.30%72.40%71.40%
Public26.70%26.70%27.60%28.60%

Group Structure of Active Infrastructures Limited

Active Infrastructures has 2 subsidiary companies. This group structure data is as of FY 2023. The table lists each entity with its relationship and holding.

2
Subsidiary companies
Key Subsidiaries
Company NameCINShares Held
Achievers Ventures Private LimitedU45100MH2015PTC265186-
Digvijay Shradha Infrastructure Private LimitedU45309MH2022PTC384273-

Showing major subsidiaries. Total: 2.

Charges & Borrowings of Active Infrastructures Limited

Open charges
₹46.55 Cr
Satisfied charges
₹56.17 Cr
Breakdown by lending institutions
Others₹46.55 Cr
Latest charge details
DateLenderAmountStatus
09 Mar 2024Others₹15 CrOpen
30 Sep 2023Others₹15 CrOpen
22 Nov 2022Others₹16.55 CrOpen
10 Feb 2022Others₹18.59 LakhSatisfied
18 Apr 2021Hdfc Bank Limited₹39.1 LakhSatisfied

Total charge records: 11 View all charges

Employees and EPFO Compliance at Active Infrastructures Limited

Employment history and EPFO contributions of people linked to Active Infrastructures.

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GST Compliance of Active Infrastructures Limited

Active Infrastructures has 4 GST registrations: 4 active.

Total GSTINs
4
Active
4
GSTINStateStatusRegistered on
27AAGCA5935M1Z9MaharashtraActive01 Jul 2017
27AADCG3438J1ZIMaharashtraActive27 Nov 2018
27AAGCA5935M2Z8MaharashtraActive16 Jun 2025
23AAGCA5935M1ZHMadhya PradeshActive31 Jul 2024
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GST registrations and filing compliance

State-wise GST registrations, return filing status and HSN or SAC codes are in the company report.

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Credit Ratings, Litigation & Regulatory Alerts for Active Infrastructures Limited

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MSME Payment Delays by Active Infrastructures Limited

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Subsidiaries & Group Companies of Active Infrastructures Limited

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MCA Filings & Documents of Active Infrastructures Limited

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MCA filings and documents

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Recent Activity on Active Infrastructures Limited

Activity
25 Jul 2025
Active Infrastructures Limited last Annual general meeting of members was held on 25 Jul 2025 as per latest MCA records.
Activity
31 Mar 2025
Active Infrastructures Limited has filed its annual Financial statements for the year ended 31 Mar 2025 with Roc Nagpur.
Directors
10 Sep 2024
Gautam Ramesh Jain was appointed as a Cfo on 10 Sep 2024 & has been associated with this company since 2 years 26 days.
Directors
10 Sep 2024
Aanchal Tembhre was appointed as a Company Secretary on 10 Sep 2024 & has been associated with this company since 2 years 26 days.
Charges
06 Aug 2024
A charge registered on 18 Apr 2021 via Charge ID 100443556 with Hdfc Bank Limited was fully satisfied on 06 Aug 2024.
Charges
06 Aug 2024
A charge registered on 18 Apr 2021 via Charge ID 100443571 with Hdfc Bank Limited was fully satisfied on 06 Aug 2024.

Frequently Asked Questions about Active Infrastructures Limited

Active Infrastructures is an active public limited company based in Nagpur, Maharashtra, India. The company works in real estate builders and developers, within the real estate and construction industry. It was incorporated on 26 September 2007 (19+ years old) and is registered under CIN L45200MH2007PLC174506.

Active Infrastructures reported revenue of ₹96.57 Cr for FY 2025-26 (up 7.6% YoY) based on consolidated financials.

Active Infrastructures has 6 current directors:

The GSTIN of Active Infrastructures is 27AAGCA5935M1Z9, registered in Maharashtra. The company has 4 GST registrations in all, of which 4 are active. Other active GSTINs include 27AADCG3438J1ZI (Maharashtra), 27AAGCA5935M2Z8 (Maharashtra), 23AAGCA5935M1ZH (Madhya Pradesh).

The CIN (Corporate Identification Number) of Active Infrastructures is L45200MH2007PLC174506. It is issued by the Ministry of Corporate Affairs under the Companies Act, 2013, and uniquely identifies the company in India.

Yes, Active Infrastructures is a listed company.

Active Infrastructures was incorporated on 26 September 2007, making it 19+ years old. It is registered with the Registrar of Companies, Nagpur.

The registered office of Active Infrastructures is at Riaan Tower 10th Floor Mangalwari Road, Sadar, Nagpur, Maharashtra, India – 440001.

Active Infrastructures has an authorised share capital of ₹12.4 Cr and a paid-up capital of ₹7.51 Cr.

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