Ksb Pumps Company LimitedPSX: KSBP

Financial Results for the Quarter Ended 2025-06-30

· Issued by Ksb Pumps Company Limited

The General Manager

Pakistan Stock Exchange Limited

Stock Exchange Building Stock Exchange Road Karachi.

FORM - 7

>L+/25/ABA-36

August 19, 2025

RE: FINANCIAL RESULTS FOR THE HALF YEAR ENDED 30.06.2025

Dear Sir,

We are pleased to inform you that the Board of Directors of KSB Pumps Company Limited (the Company) in their meeting held on Tuesday, 19* August 2025 at 1130 hours at Works, Hasanabdal has approved the condensed interim financial statements (un-audited) of the Company for the half year ended June 30, 2025 and recommended the following:

  1. Interim Cash Dividend

  2. Bonus Shares

  3. Rights Shares

  4. Any Other Entitlement / Corporate Action

  5. Any Other Price Sensitive Information

Nil Nil Nil Nil Nil

  • The Financial Results of the Company for the captioned quarter are enclosed as Annexure ‘Al to A4’ to this letter.

  • The Quarterly Report of the Company for the quarter ended June 30, 2025 will be transmitted through PUCARS separately, within the specified time and shall also be made available on Company's website www.ksb.com,pk.

Thanking you

Yours faithfully

for KSB PUMPS COMPANY LIMITED

FAIS RMAN KHAN

Company Secretary

CC: The Executive Director

Enforcement and Monitoring Division

Securities and Exchange Commission of Pakistan 8* Floor, Jinnah Avenue, NIC Building,

Bluea Area, Islamabad.

KSB PUMPS COMPANY LIMITED

Registered Office:16/2, SirAga Khan Road, Lahore, Pakistan • Tel. +9242111572 786, +92 42 36304173-4 Fax +92 42 36366192 - Email: info@ksb.com.pk- https:// ksb.com/en-pk

Works: Hazara Road. Hassanabdal, Pakistan - Tel. +92 57 252O236 - Fax +92 57 252023-7 Email: info@Mb.com.pk • https://www.ksb.com/en-pk

'A 1

KSB Pumps Company Limited

Condensed Interim Statement of Financial Position (Umudited)

EQUITt’ ANu MABiLITlE8

202S 2024

(Us-nndikd) (Audited)

38 4lnc 31 December

2o25 2024

147,94S

Authorised capital

l,93J.3BI

45,000,000(2024:45,000,9tItt}odinaryahams of Rs J0och

g

I3,?04

Dun lo priwidmt farul

CONTfNC£NClMANDCQNMt”J1UgNTE

o

Trade debts infected C‹»iimct clots

1,629,Sg7

1,796,843

1,g1S,874

745,421

354,127

465,t26

444,d35

524,574

Inor»c tax rccoveablc

KSB Putnps Company Limited

Condensed Interim Statement of Profit or Loss And

01 April In

01 April to

01 Jena

to

01 January M

307mie 36Z3

30/um 2024

30 Jaoe 20Z5

30 J•zs 20Z4

Salas

2,437,717

Grsss prof"rt

Fioatxcoat

2 492

481 5

(US&tt0) (M,2l0)

(t25,602) {27Z,P76}

4Z,188

(7619}

{242,L90)

(I5A096}

{l,t25}

38,932

(2t 237}

(6&s23j

1S7,6gB

(I33.0P7j

-MAdsssnTxr

-WsdTex

(2Q

(t¿x)

(2,229}

(2Q

(23,$33}

(5.PS7j

Earais$• psrsbcre • (bcdc & diñxted}

t3,5t8 37J'74

93,410

(169,J28)

KSB Pumps Company Limited

Condensed Interim Statement of Changes in Equity (Linaudited)

Reserves

Capital Reserve Revenue Referee

3Gsze Prsaiaat Geaaral Reserve

132,000

3,273

l,882,3Y3 (169/28)

2,014,373

(169,528)

(!66,255) t,zI2,84

Right Issue of ordinaryShana

Balasoe as at 1 January 20Z5

Transfer to generaJreserve

•+.feIIn•<>rhr/•rt•/

Balazsce ae gt 30 Jnoe 2025 - p•cydJied

177,000

t¿70,0b0

J,770,00g 1,947,000

t4f,079) (41,079)

222,536 222,536 232,536

56,281 3 3

l53,560 1S3,56fi J53,S60

KSB Pumps Company Limited

Condensed Interim Statement of Cash Flows (Unaudited)

for tiresix-months periadended 30 June 2025

01 January 01 January

30 June 10 June

2025 2024

{Ropees izz tboueaad)

424,066

Finance costs paid

(7,6i9}

(2t8,t32)

Levy and tanes Paid

(90,753)

(36,620)

Payment to wor£tPs profit participation fund

-

(660)

Employees' tetirensent and othe benefits paid

{td,307}

Net oiurease) f denreaae ia tong tecin teams end deposits

2,4t9

Net cash(med in) f generated from operating activities

154,766

progress and Intangihle assets

Proceeds from sale of pniparty, plant md equipment

Net eRsh used in investing activities

Q7, }

(20,090}

{26,09G)

6,006

8,145

Dividend paid

Net cash uaed in financing activities

Net (decrease)/ increase in cash and cash equivalents lash and cash equivalents at the beginning of the period Cash and cesh equivalents at the end of the period

- (104)

(80,J39) 134,572

524,574 (1,517,623) 444,43S (1,383,051)

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