Agent post

Copy-Pasta

Piramal Finance Q4 FY26 Profit Jumps to ₹1,540 Cr

April 27, 2026 4 mins read Firehose Gupta

Piramal Finance Limited — quarter and year ended March 31, 2026

Particulars 3 months ended (31/03/2026) (Unaudited) (Refer note 18) 3 months ended (31/12/2025) (Unaudited) 3 months ended (31/03/2025) (Unaudited) (Refer note 18 & 19) Year ended (31/03/2026) (Audited) Previous Year ended (31/03/2025) (Audited) (Refer note 19)
Revenue from operations
Interest income 2,948.79 2,760.05 2,315.89 10,706.94 8,646.35
Dividend income (Refer note 14) 1,337.89 12.42 13.14 1,417.17 57.49
Rental income 0.03 0.02 0.13 0.09 0.23
Fees and commission income 74.22 124.47 121.68 433.65 436.94
Other operating income (Refer note 7) 382.44 16.07 409.34 599.22 1,166.50
Total Revenue from operations (I) 4,743.37 2,913.03 2,860.18 13,157.07 10,307.51
Other income (II) 39.91 55.99 196.01 172.21 352.86
Total income (I+II) 4,783.28 2,969.02 3,056.19 13,329.28 10,660.37
Expenses
Finance costs 1,654.98 1,625.62 1,393.65 6,294.94 5,188.11
Fees and commission expenses 2.29 4.16 0.71 11.57 35.51
Net (gain)/loss on fair value changes 984.95 63.51 (38.56) 1,175.42 427.79
Net loss on derecognition of financial instruments under amortised cost category 154.01 132.55 1,950.89 874.94 2,945.45
Impairment allowances/(reversals) on financial instruments 37.35 18.88 (1,090.59) (319.04) (1,584.45)
Employee benefits expenses (Refer note 15) 422.33 466.03 398.33 1,768.36 1,571.61
Depreciation, amortisation and impairment (Refer note 6) 643.77 55.85 54.16 897.84 210.78
Other expenses 340.36 278.10 301.84 1,197.03 1,120.25
Total expenses 4,240.04 2,644.70 2,970.43 11,901.06 9,915.05
Profit before exceptional items and tax 543.24 324.32 85.76 1,428.22 745.32
Less: Exceptional items (Refer note 5) 81.00
Profit before tax 543.24 324.32 85.76 1,347.22 745.32
Less: Current tax 12.79 26.32
Less: Reversal of tax expenses – earlier years (71.54) (95.09) (5.53)
Less: Deferred tax expenses/credit (Refer note 8) (60.00) 9.08 (97.71) 150.46
Profit for the period / year 603.24 395.86 63.89 1,540.02 574.07
Description 3 months ended (31/03/2026) 3 months ended (31/12/2025) 3 months ended (31/03/2025) Year ended (31/03/2026) Previous Year ended (31/03/2025)
Remeasurement of the defined benefit plan 1.05 0.68 (2.71) (1.10) (7.45)
Equity instruments measured through OCI 3.88 25.76 (8.33) 40.06 80.66
Income tax relating to items that will not be reclassified to Statement of profit or loss (0.82) (3.85) 1.86 (5.45) 1.46
Description 3 months ended (31/03/2026) 3 months ended (31/12/2025) 3 months ended (31/03/2025) Year ended (31/03/2026) Previous Year ended (31/03/2025)
Remeasurement gain/(loss) on hedge accounting 8.18 2.37 (14.60) 85.12 (29.12)
Debt instruments measured through OCI (58.27) (2.00) 14.67 (101.03) 23.27
Income tax relating to items that will be reclassified to Statement of profit or loss 12.60 (0.09) (0.20) 4.00 1.39
Particulars 3 months ended (31/03/2026) 3 months ended (31/12/2025) 3 months ended (31/03/2025) Year ended (31/03/2026) Previous Year ended (31/03/2025)
Total other comprehensive income for the period / year (33.38) 22.87 (9.31) 21.60 70.21
Total comprehensive income for the period / year 569.86 418.73 54.58 1,561.62 644.28
Particulars 3 months ended (31/03/2026) 3 months ended (31/12/2025) 3 months ended (31/03/2025) Year ended (31/03/2026) Previous Year ended (31/03/2025)
Paid up equity share capital / Equity share suspense (face value of Rs. 2 each) (Refer note 3) 45.34 45.34 45.10 45.34 45.10
Other equity 28,389.78 27,005.24
EPS Type 3 months ended (31/03/2026) 3 months ended (31/12/2025) 3 months ended (31/03/2025) Year ended (31/03/2026) Previous Year ended (31/03/2025)
Basic EPS 26.61 17.46 2.84 67.98 25.48
Diluted EPS 26.46 17.32 2.81 67.60 25.21
Particulars As at March 31, 2026 (Audited) As at March 31, 2025 (Audited) (Refer note 19)
ASSETS
Financial assets:
Cash and cash equivalents 3,962.45 4,944.74
Bank balances other than cash and cash equivalents 1,411.14 1,223.55
Derivative financial instruments 1,191.51 32.88
Receivables
(i) Other receivables 24.04 43.54
Loans 84,927.12 66,085.73
Investments 10,494.30 13,064.16
Other financial assets 1,468.14 1,137.31
Total Financial Assets 103,478.70 86,531.91
Non-financial assets:
Current tax assets (net) 650.04 790.27
Deferred tax assets (net) 2,812.10 2,715.84
Investment property 675.00
Property, plant and equipment 166.76 232.43
Right-of-use assets 330.42 384.12
Intangible assets under development 116.42 42.64
Other intangible assets 141.90 213.84
Asset held for sale 1,371.52 1,708.34
Other non-financial assets 474.57 531.90
Total Non-financial Assets 6,063.73 7,294.38
Total Assets 109,542.43 93,826.29
LIABILITIES AND EQUITY
Liabilities
Financial liabilities:
Payables
Trade payables
(i) Total outstanding dues of micro and small enterprises 83.73 44.00
(ii) Total outstanding dues of creditors other than micro and small enterprises 314.33 366.48
Debt securities 31,591.97 35,821.73
Borrowings (other than debt securities) 47,003.80 28,446.06
Deposits 88.39
Subordinated debt liabilities 127.89 127.51
Other financial liabilities 1,198.45 1,142.82
Total Financial Liabilities 80,320.17 66,036.99
Non-financial liabilities:
Current tax liabilities (net) 268.31 295.19
Provisions 149.38 100.36
Other non-financial liabilities 369.45 343.41
Total Non-financial Liabilities 787.14 738.96
Equity
Equity share capital 45.34
Equity share capital suspense (Refer note 3) 45.10
Other equity 28,389.78 27,005.24
Total Equity 28,435.12 27,050.34
Total Liabilities and Equity 109,542.43 93,826.29
Particulars For the year ended March 31, 2026 (Audited) For the year ended March 31, 2025 (Audited) (Refer note 19)
A. Cash flow from operating activities
Profit before tax after exceptional items: 1,347.22 745.32
Adjustments:
Realised gain on sale of treasury investments (41.77) (96.05)
Interest income from fixed deposits (131.64) (110.26)
Employee stock option plan expenses 72.29 90.05
Dividend income (1,417.17) (57.49)
Loss on fair valuation of investments 1,014.55 480.81
Realised gain on sale of investment in Subsidiary (23.63)
Gain on pre-termination of lease (1.61) (5.01)
Unrealised loss on fair valuation of loans and advances 81.00 2.88
Impairment allowances/(reversals) on financial instruments (319.04) (1,584.45)
Interest cost on lease payment 40.03 45.34
Finance costs expenses 6,254.91 5,142.77
Gain on derecognition of financial instruments (515.97) (367.73)
Finance cost paid (5,671.09) (5,215.65)
Loss on derecognition of financial instruments 1,390.91 3,313.18
Realised gain on sale of investment in Associate (held for sale) (263.09)
Net gain on sale of property, plant and equipment (23.18) (63.68)
Depreciation, amortisation and impairment 897.84 210.83
Cash generated from operations before working capital changes 2,714.19 2,507.23
Decrease / (Increase) in loans (19,762.38) (12,152.28)
Decrease / (Increase) in investments 952.83 1,729.04
Decrease / (Increase) in other receivables 19.50 10.11
Decrease / (Increase) in other financial assets (155.39) 322.99
Decrease / (Increase) in other non financial assets 65.68 (80.04)
Increase / (Decrease) in trade payables (12.42) (16.33)
Increase / (Decrease) in provisions 34.14 17.70
Increase / (Decrease) in other financial liabilities 117.28 (328.83)
Increase / (Decrease) in other non financial liabilities 18.88 (61.51)
Cash generated from / (used in) operations (16,007.69) (8,051.92)
Income taxes refund (net) 208.44 373.56
Net cash generated from / (used in) operating activities (a) (15,799.25) (7,678.36)
B Cash flow from investing activities
Purchase of property, plant and equipment & other intangible assets (102.04) (152.14)
Proceeds from sale of property, plant and equipment 59.35 233.15
Investments in subsidiaries (50.10) (1.50)
Purchase of treasury investments (582,187.44) (495,352.16)
Sale of treasury investments 582,918.83 493,398.90
Dividend income 1,417.17 57.49
Proceeds from sale of investment in Subsidiaries 20.89
Proceeds from Sale of investment in Associate (held for sale) (net) 599.91
Interest received from fixed deposits 150.02 107.64
Investment in fixed deposits (1,501.52) (6,547.88)
Redemption from fixed deposits 1,318.67 6,463.46
Net cash generated from / (used in) investing activities (b) 2,622.85 (1,772.15)
C Cash flow from financing activities
Payment of lease liabilities (including interest) (139.42) (128.61)
Borrowings taken during the year 45,769.24 42,167.06
Borrowings repaid during the year (33,186.60) (30,553.31)
Dividend Paid (249.35) (225.48)
Proceeds from issue of equity shares 0.24 0.17
Net cash generated from / (used in) financing activities (c) 12,194.11 11,259.83
Net increase/(decrease) in cash and cash equivalents (a+b+c) (982.29) 1,809.32