Symmetry Group Ltd.PSX: SYM

Financial Results for the Quarter Ended September 30 2025

· Issued by Symmetry Group Ltd.

symmetrygr...up

possibilities transformed

Form-3

SYM/PSX/25092

The General Manager

Pakistan Stock Exchange Limited Stock Exchange Building

Stock Exchange Road Karachi

Subject: Financial Results for the Quarter Ended September 30, 2025 Dear Sir,

This is to inform you that the Board of Directors of Symmetry Group Limited, in their meeting heJd on October 29, 2025, at 05:00 p.m. at the registered office of the company at Karachi, recommended the following:

  1. CASH DIVIDEND: NIL

  2. BONUS SHARES: NIL

  3. RIGHT SHARES: NIL

(iV) ANY OTHER ENTITLEMENT / CORPORATE ACTION: NIL

(v) ANY OTHER PRICE—SENSITIVE INFORMATION: NIL

FINANCIAL RESULTS

The Condensed (Un-Audited) Interim Financial Statements of the Company for the quarter ending September 30, 2025, are attached:

  1. Unconsolidated results as ”Annexure - A1 to A5”

  2. Consolidated results as ”Annexure - B1 to B5“

    Including:

    1. Statement of Financial Position

    2. Statement of Profit or Loss

    3. Statement of Comprehensive Income

    4. Statement of Changes in Equity

    5. Statement of Cash Flows

Yours truly,

For and on Behalf of SYMMETRY GROUP LIMITED

Farhaj Khan

Company Secretary

symmetry group limited | consulting transformation I interactive I data commerce I moDility

56 a, khalid commercial street 2. phase 7 (extension) dha, karachi, pakistan.

+92 OU 35171991 @ https://www.symmetrygroup.Diz @ info@symmetrygroup.biz

symmetrygr:

possiDilities transformed

Symmetry Group Limited

Unconsolidated Condensed Interim Statement of Financial 1'osition

. Is at Sepeteiiiber 30, 2fJ2S

ASSETS

Non-current assets Property and equipment Right-of-use assets Intangible assets

I.ong term prcpayments In vestment in subsidiaries

(Un-audited) September 30,

2025

Rupees

111,995,429109,419,877

32,i 85,581

53,509,574

14,623,840

(A

Junc5o, 2025

121,810,713

92,321,144

Long term deposits

Current assets Trade debts

Loan, advanccs, deposits and prepayments Short term investments

hue from related panits I mxation - net

Current portion of long tenn prepaymcnts

C ash and hank batanccs

Total assets

EQUITY AND LIABILITIES

Share capital and reserves

zJiilliori.red capitol

300,000,000 (June 30, 2025: 300,000,000)

ordinary shares of Itc. 1/- each Issued, subscribed and paid-up capital

Capital reserves

fihare prcrniurri

4,279,308 326,013,609

179,784,855

6,623,009

73,000,000

765,127,391

26,79d,J09

21,179,644

24,500

204.553,441

4.180,107

73,000,00t1

673.537,291

25.62g,524

2l,l79,64J

26,510

1,072,033,808 1.002.405,517

1,398,047,417 1,326.430.590

0 00 00 3 00.0fJ0.000

285,245,524 255,245,524

273,268,397

Unappropriaicd profiis

Non-current liabilities I.ease liabilities

Staff reiircmcnt benefits

Deferred taxation - net

Current liabilities Trade and other payables Short term borrowing Due lo relay ed parties Accrued markup

Current portion of lease liability Unclaimcd dividend

Contingencies and commitments 441,574,105 1,000,088,02692,880,055

418,602

1,752,88995,051,54684,152,19 I

I 14,513,620

69,515,045

4,470,770

29,696,555

559,664

302,907,84S

4 18,866,582

977,380,503

88,*51,3 7 I

4l 8,602

1.447,924

90, 1 17,897

Total equity and liabilities 1,398,0J7,417 I ,326 430,5')11

symmetry group limited | consulting I transformation | interactive I data I commerce ] mobil ty

% 56 a,khalid commercial street 2, phase 7 (extension) dha, karachi, pakistan.

*92 021 55171991 @ wyv symmetrygroup.biz @ info@syrnmetrygroup.Liz

symmetrygr:.

possibilities transformed

Symmetry Group Limited

Condensed Interim Unconsolidated Statement of Profit or Loss

For the lhree months period ended September 30, 2025 (unaiidi'led)

Three months peri‹i ended

September 30, 2025

Rupees

Septe ér 30,

Revenue - net

107,448,967

125,998,047

Cost of services

(52,28l,3J0)

(60,588,368)

Cross profit

55,167,627

65,409,679

AdminiSrFative and seiJing expenses

(32,384,957)

(34,957,542)

Operating profit

22,782,670

30,452,137

Other income / expense - net

9,826,463

2,504,009

Finance costs

(7,098,195)

(10,1 57,306)

Profit before levies and taxation

25,510,938

22,798,840

Taxation - net

(2,803,415)

(2,877,91 8)

P ro fit a fter tatation

22,707,523

19,920,•)22

Earning per share - basic and diluted

0.08

0.07

symmetry group limited | consulting I transformation I interactive data I commerce I mobility

% 56 a, khalid commercial street 2, phase 7 (extension) dha, karachi, pakistan.

+92 021 35471991 @ https://www.symmetrygroup.biz @ info@symmetrygroup.Diz

symmetrygr

possibilities transformed

Symmetry Group Limited

Condensed Interim Unconsolidated Statement of Comprehensive Income

For the Ihree months period ended September 30, 2025 (unaudited)

Three months p

September 30, Septe»iber 30,

2025 20?4

nupees

Profit after taxation

Other comprehens ive income

22,707,523

19,920,92?

Total comprehensive income for the year

symmetry group limited | consulting I transformation I interact ve | data I commerce I mob lily

% 56 a, khalid commercial street 2, phase 7 (extensions dha, karachi, pakistan.

4^ +92 021 35â7J991 @ vwvwsymmetrygroup.biz @ info@symmetrygroup.biz

22,707,523

symmetrygr

possibilities transformed

Symmetry Group Limited

Condensed Interim Unconsolidated Statement of Changes in Equity

for the three mon/la period ended September 30, 2025 (unaudiled)

Share premium

exure-A4

Total

Rupees

Balance as aI I une 30, 2024 (audited)

l'otal contprehens ive income for the period ended fi'epie»iber 30, 2E24

Profit for the year

Other comprehensive income

285,245,524 273,268,397

292,009,627

19,920,922

19,920,922

b50,523.54 8

19,920,922

Balance as at September 30, 2024

285.245.524

273.268.3 97

31 1.930.549

870.44 4.470

Balance as at June 30, 2025

285,245,524

273,268,397

418,866,5g2

977,380,505

total contprehensive income for the

per-rod ended September 30, 2025

Profit for the ycar

Oilier comprehensive incomc

22,707,523

22,707,523

22,707,523

22,707,523

Balance as at June 30, 2025

85 245 524

7

268

97

441,574,105

1,000,088,026

symmetry group limited ] consulting I transformation I interactive I data I commerce I mobility

56 a , khalid commercial street 2, phase 7 (extension) dlna, karachi, pakistan.

@* +O2 OU 3517ñ99fl @ wwwsyrrimetrygroup.biz @ into@symmetrygroup.biz

possibilities transformed

Syzazaetry Crogp Lizaited

Condensed Interim fJncoosolidated Statement of Cash Flows (Un-audited)

For the Ihree monies period ended September 30, 202a (unaudiled)

CASH FLOWS FROM OPERATING ACTIYITIES

Attttexure-A$

Thr&emo no2e S‹gtembSepemb

2025

Rupees

Profit before levies and taxation

25,510,938

22,798,840

Adjustrtents for:

- Depreciation on property and equipment

10,837,972

10,855,096

- Depreciation on righI-of-use assets

3,425,267

3,094,326

  • Amortization on intangible assets

750,997

- Amortization on long term prepayment

5,294,911

5,294,91 I

-Unrealised exchange (gain) / loss

(3,937)

l,t63,991

- Interest income on stort term investments

(1,748,000)

(3,680,000)

- Gain on dispoal ofproperty and equipment

(8,074,526)

- Finance costs

7,098,195

10,137,306

16,829,882

27,636,627

Opemting profit beFore working capital changes

42,340,820

50,435,467

Working cgpitaT changes

Decrease /(increase) in current assets

- Trade debts

24,772,523

I 5,212,947

- Loan, edvaaces, deposits and prepayments

(2,442,902)

1,402,500

- Due from related parties - net

(91,290,100)

(42,660,307)

- Due to related parties - net

Increase in current fia6i/iries

25,299,000

(522,259)

- Trade and other payables

13,203,824

4,063,252

(30,457,655)

(22,503,867)

11,883J65

27,931600

Income tax paid long term deposits

(3,J6g,335)

(7,164,406)

Net cash generated from operating actixitiez

8,718,830

20,767, 194

CASH FLOWS FROM INYESTING ACTIYITIES

Additions to property and equipmenc

(1,680,480)

Sale proceeds on disposal of property and equipment

Development exgcndiNre on intangible assets

interest received on short term investments

1,748,000

(I /,J99,644)

3,680.000

Net cash generated from / (used in) investing activities

8,799,840

(9,6001 24)

CASH FLOWS FROM FINANCING ACTNITIES

Repayment of lease liability - Principal portion

(10,147,596)

(171,005)

Finance cost paid

(7,43,456)

(9,872,431)

Net cash used in financing activities

(7,56t ,052)

( 10,043,436)

Net (decrease) / increase in cash and cash equivalents

(42,382)

1,123,634

Cash and cash equivalents as at the beginning of the year Cash and cash equivalents as at tne end of the year

(114,446,738)

(1 t4,489,J 20)

(63,938,25 8)

(62,8 I 4,624)

symmetry group limited | consorting I transformation I interactive I data I commerce mobility @ 56 a,kha1id commercial street 8, phase 7 textenslon) dha,karacni, paustan.

a^ +ez ozs 3s me91 @ symmetrygroup.biz @ info@syrnmetrygroup.buz

symmetry9r:- up

possibilities transformed

Cooâeased Interim Coasolida£ed Stateaieof ofFiaaocfal Position

”

Ac at September 30, 2025

(Un-audited

dited)

September 30,

lune

2025

2025

Symmetry Group Limited

ASSETS

Non-current asseu

A - I

Rupees

Property and equipment

162,399,919

178,014,777

Right•of-use assets

109,419,877

92,321,144

Intangible Besets

1,204,966,945

1,204,966,946

Goodwill

42.777,721

42,777,721

Long term prcpayments

99,319,455

110,455,018

Long-term deposits

4,279,308

4,279,308

Current assets

1,623,163,225

1,632,814,914

Ttade debts

288,d82,335

293,606,689

Advances, deposits and prepayments

6,787,571

4,359,669

Short term investments

73,000,000

73,000,000

Taxation - net

91,922,538

89,314,002

Current maturity • long term prepayments

44,542,250

44,542,250

Cash and bank balances

447,415,704

349,896,347

952,150,398

854,718,957

2,575,313,623

2,487.533.871

EQUITY AND LIABILITIES

Share capital and reserves

Authorized capital

300,000,000 (June 30, 2024: 300,000,000)

ordinary shares ofRe. I/- •ach

300,000,000

300,000,000

Issued, subscribed and paid-up capital

285,2d5,524

283,245,524

Capital reserves

Share premium

273,268,393

273,268,397

Surplus on revaluation of intangible assets - net

875,110,632

875,110,632

Foregin currency translation reserve

(1,915,101)

(1,9I5,l0l)

1,146,463,928

1,146,463,928

Revenue resenes

Unappropziatcd profits

539,311.023

493,158,730

1,971,020,475

1,924,866,! 62

Non-controlling interest

36,829,480

36,025,053

2,007,849,955

1,960.893,235

Lease liabilities

92,880,055

88,25 1,37 1

Staff retirement benefits • Staff gratuity

418,602

418,602

Deferred tax liabilities - net

89,143,654

89,344,559/

182,442,308

178,0 14,532

Current liabilities

Trade and other payables

165,243,893

160,0 18,269

Short term borrowing

I I 4,515,620

114,473,24 8

Due to related parties

70,065,04S

44,216,045

Accrued merkup

4,942,583

5,410,043

Current portion of lease liability

29,696,555

23,948,835

Unclaimod dividend

559,664

559,664

385,021,360

348,626,104

Contingencies and commitments

Total equip andliabilities

75 2

2.483,333.87 I

symmetry group limited | consulting transformation

interactive

data

commerce

mobility

@ 56 a. khalid commercial street 2, phase 7 (extension) dha, karachi, pakJstan.

4‘ +g2 02s BSS Z19D1 @) symmetrygroup.diz @ info@syrnmetTygroup.Diz

possibilities transformed

Symmetry Group Limited

Condensed Interim Consolidated Statement of Profit or Loss

For lhe three months period ended September 30, 202ñ (un-audited)

Three months perio nded

September 30, Septe gr 30

2025 2024

Rupees

Revenue - net

188,383,013

179,177,457

Cost of services

(76,S85,545)

(67,210,815)

Gross profit

111,797,468

11 l,966,642

Administrative and selling expenses

(62,785,538)

(53,502,459)

Operating profit

49,011,930

58,464,183

Other income / (expense) - net

9,826,463

2,504,009

Finance costs

t7,l24,356)

(10,641,985)

Profit before levies and taxation

51,714,037

50,326,207

Taxation - net

(J,757,317)

Profit after taxation

46,956,720

4 1,302,728

Profit attributable to:

- Equity holders of the parent

46,I 52,293

41,262,30 I

- Non-controlling interest

804,427

40,427

46,956,720

41,302,728

Earning per share - basic and diluted

0.16

0.14

symmetry group limited | consulting I transformation | interactive I data I commerce I mobility

% 56 a, khalid commercial street 2, phase 7 (extension) dha, karachi, pakistan.

+92 021 3517J991 @ wwwsymmetrygroup.biz @ info@symmetrygroup.buz

symmetrygr

possibilities transformed

Symmetry Group Limited

Condensed Interim Consolidated Statement of Comprehensive Income

For ltte three months period ended September 30, 2025 (un-audited)

Th ree months pe iod ended

September 30, S emb 0,

2025 2024

Ru pees

Profil after taxation

46,9S6,720

Other comprehensive income

Total comprehensive income for the year

46,956,720

Attributable to:

- Equity holders of the parent

46,152,293

4 1,262,30 1

- Non-controlling interest

804,427

46,956,720

40,427

41,302,728

symmetry group limited | consulting I transformation I interactive I data I commerce I mobility

? 56 a ,khalid commercial street 2, phase 7 (extension) dha, karachi, pakistan.

@‘ *92 021 S5ñ7ñ991 @ https://www.symmetrygroup.biz @ info@symmetrygroup.biz

symmetry group limited | consulting |transformation

@ 56 a ,kheIO commercial sreet 2, phase 7 extensions rIha.karechi. p aQstan.

Symmetry Group Limited

Condensed Interim Consolidated Statement of Changes in Equity

possibilities trensforme d

@ www.cymmetrygroup.bIz @ Info@symmetrygroup.blz

For the ihree nionll+s period ended Septeoiber 30, 2025 (un-nfiifed9

Gssued,

Revenue reserve

@* +92 021 351W991

foreign Equity

subscribed and

1,05 T,672,65f

36,025,053

46, t52,293

804,427

097 824 944

829

paid up capital

Revaluation surplus

currency Unapprogrinted Total resents attributable to

transit gon grofits owners

Rupees

285,245,524

273,268,397

355.6 I 2,387

628,880,784

914,I 26,308

81,959

-

- 4 1,262,301

41.262,30 1

41.262,301

40,427

4 I ,262.30 I

4 I ,262.30 I

4 1,262,301

40,427

Balance as al June 30.2024 (audited)

Toiol comprehensi ve incoitiefor the

year ended September 30, 2024

Profit For lbs year

Dalance as at September 30, 2024 Balance as st June 30, 202fi (audited)

Total comprehensive income/or the year ended Septeiiiber 30. 202J

Profit For the year

Other comprehensive income

285,245,524 273,268 397 396.874,666

?S5,245,524 273,2ñ8,397

46,1 fi2,293

46,I?2,293

46, t52,293

804,427

46,52,293

670 143 085 l,639,622,658

+6,I*2,293

955,388,609 122,386

I interactive Idata |commerce l mobllity

Balance as at September 30, 202a

5 2 24 273,268,397

539,3I },023

I ,68'i,774,95 I

possibilities trans1'ormed

Symmetry Group Limited

Condensed Interim Consolidated Statement of Cash Flows

For ihe three moyihs period ended Septe aiber 30. 202a (on-audited)

CASI PLOWS FRON OPERA.TING ACTIVITIES

Three mon od en September 30, September 30,

2025 2024

Profit before levies and taxation

/IdjusImenIsfor.

  • Depreciation on property and equipment

  • Depreciation on right-of-use assets

    • Amoniution on long term prepayment

  • Gain on disposal of property and equipment

  • Interest income on short tern inyestznents

  • Unrealized exchange main) / loss

    Operating profit before working capital cban$as

    Working cqpitaT changes

    Decrease / (increase) in current assets

    • Trade debts

    • Advances, deposits and prepayments

Increase in current liabilities

    • Trade and other payables

Cash generated from f (used in) operations

Finance cost paid Income tax paid - net

Net cash generated frown / (used in) operating activities

CASH FLOW FROM IMESTMG ACTWITIES

Purchase ofproperty and equipment

Sale proceeds on disposal of property and equipment

Development expenditure in intangible Interest received on short tern investments Short tern investments - net

Set cash generated From / (used in) investing activifi*s

c avi Flow mon rmanciso aciivirizs Loan (repayment)/obuiricd fom related parties Repayment of lease liability - principal portion

Net cssh generated from / (used in) financing activities

Net increase / (decrease) in cash and cash equivalents Cash and casb equivalents at beginning oFthe year

Sl,7l4,037

16,637,544

3,425,267

11,125,5637,124956(8,074,52@

(i,T4s,oooj

(3,927)

28,496,267

80,2 0Q04

S,128,291

(2,427,902)

5,225,624

7926013

88,136,317

(7591,816)

(7,566,760]

72,977741

8,800,000

1,748,000

8,T99,840

U,#49,ODO

(IO,t47,S96)

I5,701,4O4

97,4Y8,985

235,423,099

332902084

50,326.207

17,281,67 I

10,641,985

(9,335,478)

18,588. 178

68,9 4,385

(132,263,873)

1.457,500

3,242,527

(147,563,846)

(7g,649.46 !)

10,641,985

8.779,473

(59,228.003)

(238,897,159)

{1 0,848.647)

9,335,478

(73,000,000)

(313,4 I 0,328)

(22,444,270J (1,758,924)

(24,203, 194)

(396,841.';25)

372,889,521

(23.952,004)

symmetry group limited | consulting I transformation | interactive I data I commerce moDility @ 56 a,khaIid commercial street 2, phase 7 (extension) dha,karachi, pakistan.

@^ *98 021351W991 @ vow symmetrygroup.biz @ info@syrnmetrygroup.biz