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Shadowfax Q1 FY26 Profit Jumps to Rs 55.27 Crore

May 14, 2026 4 mins read Firehose Gupta

Shadowfax Technologies Limited — quarter and year ended 31 March 2026

Audited standalone financial results (quarter and year ended 31 March 2026)

Sl. No Particulars March 31, 2026 (Audited) (Refer Note 9) December 31, 2025 (Unaudited) March 31, 2025 (Audited) (Refer Note 8) March 31, 2026 (Audited) March 31, 2025 (Audited)
1 Revenue from operations 1,205.81 1,128.14 694.50 4,080.35 2,467.20
Other Income 15.92 6.46 6.96 36.61 29.54
Total Income 1,221.73 1,134.60 701.47 4,116.96 2,496.74
2 Expenses
Employee benefits expense 104.16 98.98 70.84 357.44 259.46
Finance costs 6.13 5.32 4.77 18.38 14.30
Depreciation and amortisation expense 33.19 29.67 23.28 108.24 64.16
Other expenses 1,022.98 964.10 612.65 3,517.72 2,152.61
Total Expenses 1,166.46 1,098.07 711.54 4,001.78 2,490.53
3 Profit/(loss) before tax (1-2) 55.27 36.53 (10.08) 115.18 6.21
4 Tax expense
Current tax
Deferred tax
5 Profit/(loss) for the period/year (3-4) 55.27 36.53 (10.08) 115.18 6.21
6 Other comprehensive income
Items that will not be reclassified subsequently to profit or loss
– Actuarial loss on remeasurement of defined employee benefit plans 0.44 (0.01) 0.47 0.12 0.52
7 Total comprehensive income for the period/year (5+6) 55.71 36.52 (9.61) 115.30 6.73
8 Paid up equity share capital (Face value of Rs 10/- each) 582.27 497.49 151.79 582.27 151.79
9 Other equity 1,166.43 248.06
10 Earnings per share (of Rs. 10 each) (not annualised except for year ended 31 March 2025 and 31 March 2026 )
(a) Basic 0.98 0.72 (0.20) 2.29 0.13
(b) Diluted 0.96 0.71 (0.20) 2.25 0.13

Standalone balance sheet (audited)

Particulars Amount in Rs. Crores except data per share As at 31 March 2026 (Audited) As at 31 March 2025 (Audited)
Assets
Non-current assets
Property, plant and equipment 247.24 114.98
Right-of-use assets 227.40 112.88
Intangible assets 45.79 34.62
Financial assets
  Investments 50.83 45.31
  Other financial assets 12.88 8.76
  Other bank balances 540.04
Income tax assets 33.72 8.19
Other non-current assets 13.36 14.88
Total non-current assets 1,171.26 339.62
Current assets
Financial assets
  Investments 353.72 328.56
  Trade receivables 498.85 311.81
  Cash and cash equivalents 280.03 154.39
  Bank balances other than cash and cash equivalents 216.68 29.29
  Other bank balances 176.37
  Loans 2.98 2.76
  Other financial assets 86.27 36.78
Other current assets 2.25 5.82
Total current assets 1,617.15 869.41
Total assets 2,788.41 1,209.03
Equity and liabilities
Equity
Equity share capital 582.27 151.79
Instruments entirely equity in nature 260.48
Other equity 1,166.43 248.06
Total equity 1,748.70 660.33
Liabilities
Non-current liabilities
Financial liabilities
  Lease liabilities 169.78 75.67
  Other financial liabilities 2.67
Provisions 15.69 10.83
Total non-current liabilities 185.47 89.17
Current liabilities
Financial liabilities
  Borrowings 5.74
  Lease liabilities 64.18 40.97
  Trade payables
– Total outstanding dues of micro enterprises and small enterprises; and 0.75 7.21
– Total outstanding dues of creditors other than micro enterprises and small enterprises 361.21 196.56
  Other financial liabilities 301.59 178.06
Other current liabilities 122.63 28.21
Provisions 3.88 2.79
Total current liabilities 854.24 459.53
Total equity and liabilities 2,788.41 1,209.03

Standalone cash flows (audited)

Description For the year ended 31 March 2026 (Audited) For the year ended 31 March 2025 (Audited)
A. Cash flow from operating activities
Profit before tax 115.18 6.21
Adjustments:
Depreciation and amortisation expense 108.24 64.16
Interest on borrowings 0.31 2.70
Interest on lease liabilities 18.07 11.60
Interest income on financial assets carried at amortised cost (14.30) (2.56)
Interest income on income tax refund (0.11) (3.28)
Loss allowances for doubtful debts 1.60 2.14
Gain on sale and re-measurement of mutual fund investments measured at FVTPL (19.41) (22.60)
Gain on fair valuation of derivative liability (0.66)
Share based payment expense 21.88 32.12
Operating cash flow before working capital changes 230.80 90.49
Working capital changes:
(Increase) in trade receivables (188.64) (130.32)
(Increase) in other financial assets and other assets (54.49) (27.07)
Increase in trade payables 158.20 58.55
Increase in provisions and other liabilities 222.02 44.25
Cash generated from operating activities before taxes 367.89 35.90
Income tax refund / (paid) (25.53) 14.19
Net cash generated from operating activities (A) 342.36 50.09
B. Cash flow from investing activities
Purchase of property, plant and equipment and intangible assets (184.33) (84.48)
Mutual fund redemptions 1,501.25 1,129.11
Mutual fund investments (1,507.00) (1,122.60)
Investment in bank deposits (903.80) (7.47)
Payment made to acquire stake in subsidiary (5.69) (45.31)
Inter-Corporate Loans (2.76)
Interest received 12.79 5.21
Net cash used in investing activities (B) (1,086.78) (128.30)
C. Cash flow from financing activities
Repayment of borrowings (5.74) (25.76)
Payment of principal portion of lease liabilities (57.01) (28.04)
Payment of interest portion of lease liabilities (18.07) (11.60)
Proceeds from issue of equity shares 80.70 0.06
Proceeds from premium on issue of equity shares 919.35
Proceeds from issue of instruments entirely equity in nature 206.60
Share issue expenses (6.97)
Transaction cost relating to initial public offer on fresh issue (48.85)
Interest on borrowings (0.31) (2.69)
Net cash generated from financing activities (C) 870.07 131.60
Net increase in cash and cash equivalents (A+B+C) 125.64 53.39
Cash and cash equivalents at the beginning of the year 154.39 101.00
Cash and cash equivalents at the end of the year 280.03 154.39

Consolidated financial results (quarter and year ended 31 March 2026)

Sl. No Particulars March 31, 2026 (Audited) December 31, 2025 (Unaudited) March 31, 2025 (Audited) March 31, 2026 (Audited) March 31, 2025 (Audited)
1 Revenue from operations 1,237.09 1,159.71 712.43 4,202.44 2,485.13
Other Income 15.51 6.48 6.94 36.15 29.52
Total Income 1,252.60 1,166.19 719.37 4,238.59 2,514.65
2 Expenses
Employee benefits expense 112.05 108.61 76.96 392.50 265.58
Finance costs 6.45 5.82 4.88 19.88 14.41
Depreciation and amortisation expense 35.25 32.26 24.36 117.37 65.24
Other expenses 1,043.99 984.64 623.41 3,598.10 2,163.36
Total Expenses 1,197.74 1,131.33 729.60 4,127.85 2,508.59
3 Profit/(loss) before tax (1-2) 54.86 34.86 (10.23) 110.74 6.06
4 Tax expense
Current tax
Deferred tax (0.97) (0.37) (0.97) (0.37)
5 Profit/(loss) for the period/year (3-4) 55.83 34.86 (9.86) 111.71 6.43
6 Other comprehensive income
Items that will not be reclassified subsequently to profit or loss
– Actuarial loss on remeasurement of defined employee benefit plans (0.07) (0.01) 0.36 (0.38) 0.41
7 Total comprehensive income for the period/year (5+6) 55.76 34.85 (9.50) 111.33 6.84
8 Paid up equity share capital (Face value of Rs 10/- each) 582.27 497.49 151.79 582.27 151.79
9 Other equity 1,162.57 248.15
10 Earnings per share (of Rs. 10 each) (not annualised except for year ended 31 March 2025 and 31 March 2026)
(a) Basic 0.95 0.69 (0.20) 2.22 0.13
(b) Diluted 0.94 0.67 (0.20) 2.18 0.13

Consolidated balance sheet (audited)

Particulars As at 31 March 2026 (Audited) As at 31 March 2025 (Audited)
Assets
Non-current assets
Property, plant and equipment 248.97 116.68
Right-of-use assets 239.65 121.22
Goodwill 40.06 40.06
Intangible assets 59.00 51.28
Financial assets
Other financial assets 14.84 11.35
Other bank balances 542.05
Income tax assets 35.66 9.92
Other non-current assets 13.62 14.88
Deferred tax assets (net) 2.56 1.59
Total non-current assets 1,196.41 366.99
Current assets
Financial assets
Investments 353.72 328.56
Trade receivables 513.95 329.06
Cash and cash equivalents 284.22 161.99
Bank balances other than cash and cash equivalents 218.09 29.29
Other bank balances 176.37
Other financial assets 87.60 36.79
Other current assets