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Suditi Industries Q1 FY26 Revenue Rose to ₹3,099.61 Cr

May 13, 2026 4 mins read Firehose Gupta

Suditi Industries Limited — Quarter and year ended 31st March, 2026 (reported on 13th May 2026)

Sr. No. Particulars (Un-audited)
Three months ended 31.03.2026
(Un-audited)
Preceding three months ended 31.12.2025
(Un-audited)
Corresponding three months ended 31.03.2025
(Audited)
Year ended 31.03.2026
(Audited)
Year ended 31.03.2025
1 Revenue from operations (Net) 3,099.61 2,237.86 3,613.03 12,130.70 9,547.68
2 Other Income 85.76 2.16 46.31 206.68 181.79
3 Total Revenue (1+2) 3,185.37 2,240.02 3,659.34 12,337.38 9,729.47
4 Expenses
a) Cost of materials consumed 1,402.15 1,322.66 2,841.18 7,172.97 6,726.22
b) Purchases of stock-in-trade
c) Changes in inventories of finished goods, work-in-progress and stock-in-trade 90.57 (149.06) 42.25 (335.75) 129.57
d) Employee benefits expense 167.55 173.41 104.74 631.01 402.45
e) Finance costs 21.58 12.96 22.56 71.23 63.96
f) Depreciation and amortisation expense 116.06 93.53 85.62 386.34 289.08
g) Other expenses 953.02 619.44 268.37 3,320.86 1,923.94
Total expenses 2,750.93 2,072.94 3,364.72 11,246.66 9,535.22
5 Profit / (Loss) before exceptional and extraordinary items and tax (3-4) 434.44 167.08 294.62 1,090.72 194.25
6 Exceptional items
7 Profit / (Loss) before extraordinary items and tax (5-7) 434.44 167.08 294.62 1,090.72 194.25
8 Extraordinary items
9 Profit / (Loss) before tax (7-8) 434.44 167.08 294.62 1,090.72 194.25
10 Tax expense
(1) Current tax
(2) Deferred tax 45.23 34.49 (135.67) 37.82 (121.99)
11 Profit / (Loss) for the period from continuing operations (after tax) before share of profits of joint ventures and associate (9-10) 389.21 132.59 430.29 1,052.90 316.24
12 Share of Profit / (Loss) of Joint Venture and Associate (0.70) (2.06)
13 Profit after tax and share of Profits / (Loss) of Joint Ventures and Associate (11-12) 389.21 132.59 429.59 1,052.90 314.18
Net profit attributable to:
a) Owners 389.21 132.59 399.60 1,047.77 282.05
b) Non-controlling interest 29.99 5.13 32.13
14 Other Comprehensive Income
(a) Items that will not be reclassified to Profit or Loss (4.24) (8.44) (4.24) (8.44)
(b) Income tax relating to items that will not be reclassified to Profit or Loss 1.07 2.12 1.07 2.12
(c) Items that will be reclassified to Profit or Loss
(d) Income tax relating to items that will be reclassified to Profit or Loss
Total other Comprehensive Income (3.17) (6.32) (3.17) (6.32)
15 Other Comprehensive Income attributable to:
a) Owners (6.27) (3.17) (6.27)
b) Non-controlling interest (0.05) (0.05)
16 Total Comprehensive Income (13+14) 386.04 132.59 423.27 1,049.73 307.86
Total Comprehensive Income attributable to:
a) Owners 386.04 132.59 393.33 1,044.60 275.78
b) Non-controlling interest 29.94 5.13 32.08
17 Paid-up equity share capital (Face Value of Rs.10/- per share) 4,960.70 3,961.63 3,961.63 4,960.70 3,961.63
18 Other Equity 1,227.36 (2,207.94)
19 Earnings per share (EPS) – Rs.10/- per share
a) Basic 0.45 0.33 1.54 2.12 1.13
b) Diluted 0.46 0.31 1.52 2.00 1.11
Particulars (Audited) Standalone (Audited) Consolidated
As at 31/03/2026 31/03/2025 As at 31/03/2026 31/03/2025
A ASSETS
1 Non-current assets
(a) Property, Plant and Equipment 737.85 538.78 726.92 542.98
(b) Right of use assets 432.66 446.03 446.16 461.15
(c) Other Intangible assets 1,827.41 1,919.53 1,827.64 1,919.76
(d) Financial Assets
(i) Investments 87.10 212.00
(ii) Trade receivables
(iii) Loans 240.43 218.79 112.77 91.13
(iv) Others (to be specified) 57.70 15.18 57.70 15.18
(e) Deferred tax assets 128.26 165.68 127.51 171.72
(f) Other non-current assets 0.94
Sub-total – Non-current assets 3,511.41 3,515.99 3,298.70 3,202.86
2 Current assets
(a) Inventories 649.53 359.70 657.14 816.70
(b) Financial Assets
(i) Investments 1.77 2.24 1.77 2.24
(ii) Trade receivables 7,708.96 4,767.86 5,863.13 4,099.60
(iii) Cash and cash equivalents 1,508.69 65.23 1,509.88 99.76
(iv) Bank balances other than (iii) above 1.83 4.17 1.83 4.17
(v) Loans 3.31 1.67 3.31 2.48
(vi) Others (to be specified)
(c) Current Tax Assets (Net) 75.48 162.23 75.48 163.42
(d) Other current assets 488.00 638.98 491.50 805.63
Sub-total – Current assets 10,437.57 6,002.08 8,604.04 5,994.00
TOTAL – ASSETS 13,948.98 9,518.07 11,902.74 9,196.86
B EQUITY AND LIABILITIES
1 Equity
(a) Equity Share Capital 4,960.70 3,961.63 4,960.70 3,961.63
(b) Other Equity 3,306.22 81.55 1,227.36 (2,207.94)
(c) Share warrants application money pending allotment 1,374.60 845.63 1,374.60 845.63
(d) Non-controlling Interest -0.98
Sub-total – Equity 9,641.52 4,888.81 7,562.66 2,598.34
2 Non-current liabilities
(a) Financial Liabilities
(i) Borrowings 206.37 183.60 229.83 207.06
(b) Provisions 63.95 59.32 63.95 65.00
(c) Deferred tax liabilities
(d) Other non-current liabilities 159.40 347.86 159.40 360.61
Sub-total – Non-current liabilities 429.72 590.78 453.18 632.67
3 Current liabilities
(a) Financial Liabilities
(i) Borrowings 454.80 92.35 454.80 575.02
(ii) Trade payables
Micro Enterprises & Small Enterprises 160.35 11.40 160.35 14.01
Others 2,570.10 2,530.90 2,578.91 2,685.03
(iii) Other financial liabilities (other than those specified in item (c), to be specified) 108.87 104.77 108.87 114.18
(b) Other current liabilities 558.54 1,287.40 558.54 2,564.34
(c) Provisions 25.08 11.66 25.43 13.27
Sub-total – Current liabilities 3,877.74 4,038.48 3,886.90 5,965.85
TOTAL – EQUITY AND LIABILITIES 13,948.98 9,518.07 11,902.74 9,196.86
Particulars As at March 31, 2026 As at March 31, 2025
Cash flows from operating activities
Profit before Tax 1,090.72 194.25
Adjustments for:
Finance cost 71.23 63.96
Depreciation and amortisation of non-current assets (continuing and discontinued operations) 386.34 289.08
Share of Profit/(loss) of joint ventures/others (2.06)
Adjustments on acquisition of 50% holding in erstwhile Joint Venture 14.77
Tax adjustment of earlier years (51.93)
Profit on Sale of Machinery (12.68)
Adjustment due to sale of shares of subsidiary 131.68
Impairment loss, net of reversals on financial assets 0.47 0.09
Operating cash flow before movement in working capital 1,630.59 545.32
Movements in working capital:
(Increase)/decrease in trade and other receivables (1,764.35) (2,101.28)
(Increase)/decrease in inventories 159.55 80.50
(Increase)/decrease in other assets 402.07 (572.55)
Increase/ (Decrease) in Provisions 11.10 8.56
Increase/ (Decrease) in trade payables 40.23 434.28
Increase/ (Decrease) in Other Current/Financial Liabilities (excl Deferred Revenue) (2,015.36) (757.05)
Cash generated from/(used in) operations (1,536.17) (2,362.22)
Income Taxes Paid
Net cash generated by/(used in) operating activities (1,536.17) (2,362.22)
Cash flows from investing activities