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Venky’s Q4 FY26: Profit jumps to ₹10.14 crore

May 14, 2026 4 mins read Firehose Gupta

Venky’s (India) Limited — Quarter and year ended 31st March, 2026

Particulars Quarter Ended 31/03/2026 (Audited) Rs. Quarter Ended 31/12/2025 (Audited) Rs. Quarter Ended 31/03/2025 (Audited) Rs. Year Ended 31/03/2026 (Audited) Rs. Year Ended 31/03/2025 (Audited) Rs.
INCOME
Revenue from operations 1,10,047 96,015 84,316 3,72,732 3,30,699
Other income 1,573 983 1,188 4,761 4,418
TOTAL INCOME (I) 1,11,620 96,998 85,504 3,77,493 3,35,117
EXPENSES
Cost of materials consumed 71,110 64,834 56,772 2,52,059 2,18,496
Purchases of bearer biological assets 1,194 1,632 1,186 5,496 5,162
Purchases of stock-in-trade 7,355 4,303 6,263 24,684 22,686
Changes in inventories of finished goods, work-in-progress, stock-in-trade and biological assets (1,570) (870) 202 (2,389) (2,004)
Employee benefits expense 6,717 6,463 6,115 25,927 23,684
Finance costs 340 431 428 1,704 1,634
Depreciation and amortisation expense 937 926 998 3,710 3,673
Other expenses 12,265 12,665 11,241 47,747 45,515
TOTAL EXPENSES (II) 98,348 90,384 83,205 3,58,938 3,18,846
PROFIT BEFORE TAX (I-II) 13,272 6,614 2,299 18,555 16,271
Less: Tax expense:
– Current tax 3,228 1,421 488 4,649 3,950
– Deferred tax (93) 335 481 (19) 659
– Tax adjustment in respect of earlier period
Sub Total 3,135 1,756 969 4,630 4,609
PROFIT FOR THE PERIOD (A) 10,137 4,858 1,330 13,925 11,662
OTHER COMPREHENSIVE INCOME
Items that will not be reclassified to profit or loss
– Re-measurement gains/(losses) on defined benefit plans (621) (190) (621) (190)
– Less: Income tax (156) (48) (156) (48)
Sub Total (465) (142) (465) (142)
OTHER COMPREHENSIVE INCOME FOR THE PERIOD (B) (465) (142) (465) (142)
TOTAL COMPREHENSIVE INCOME FOR THE PERIOD (A+B) 9,672 4,858 1,188 13,460 11,520
Paid-up equity share capital (Face Value of ₹ 10/- each) 1,409 1,409 1,409 1,409 1,409
Other equity 1,58,200 1,46,149
Earnings per share (Nominal Value of Share: ₹ 10/- per equity share) (* not annualised)
(a) Basic 71.96 34.48 9.44 98.85 82.78
(b) Diluted 71.96 34.48 9.44 98.85 82.78
Particulars Quarter Ended 31/03/2026 (Audited) Rs. Quarter Ended 31/12/2025 (Audited) Rs. Quarter Ended 31/03/2025 (Audited) Rs. Year Ended 31/03/2026 (Audited) Rs. Year Ended 31/03/2025 (Audited) Rs.
1 SEGMENT REVENUE
a. Poultry and Poultry Products 55,236 50,118 47,124 1,89,675 1,92,796
b. Animal Health Products 10,595 9,747 8,750 39,164 33,931
c. Oilseed 47,651 39,073 30,741 1,55,414 1,14,075
Total 1,13,482 98,938 86,615 3,84,253 3,40,802
Less: Inter-segment Revenue 3,435 2,923 2,299 11,521 10,103
Revenue From Operations 1,10,047 96,015 84,316 3,72,732 3,30,699
2 SEGMENT RESULTS
Profit before tax and interest
a. Poultry and Poultry Products 8,079 4,864 412 6,546 9,951
b. Animal Health Products 3,113 2,347 1,777 9,899 7,235
c. Oilseed 2,518 897 574 5,438 1,914
Total 13,710 8,108 2,763 21,883 19,100
Less:
(i) Interest 340 431 428 1,704 1,634
(ii) Other unallocable expenditure net of unallocable income 98 1,063 36 1,624 1,195
Total Profit Before Tax 13,272 6,614 2,299 18,555 16,271
3 SEGMENT ASSETS
a. Poultry and Poultry Products 85,333 86,235 82,366 85,333 82,366
b. Animal Health Products 23,336 24,995 24,288 23,336 24,288
c. Oilseed 75,830 71,201 67,876 75,830 67,876
Total 1,84,499 1,82,431 1,74,530 1,84,499 1,74,530
d. Unallocable assets 46,367 36,601 32,503 46,367 32,503
Total Assets 2,30,866 2,19,032 2,07,033 2,30,866 2,07,033
4 SEGMENT LIABILITIES
a. Poultry and Poultry Products 29,390 32,210 26,912 29,390 26,912
b. Animal Health Products 5,933 3,699 4,850 5,933 4,850
c. Oilseed 13,644 11,370 5,280 13,644 5,280
Total 48,967 47,279 37,042 48,967 37,042
d. Unallocable Liabilities 22,290 21,817 22,433 22,290 22,433
Total Liabilities 71,257 69,096 59,475 71,257 59,475
Particulars As at 31 Mar 2026 (Audited) Rs. As at 31 Mar 2025 (Audited) Rs.
ASSETS
Non-current Assets
Property, Plant and Equipment 63,265 63,086
Capital work-in-progress 856 789
Right of use assets 315 393
Goodwill 1,010 1,010
Other Intangible assets 51 3
Financial Assets
– Other financial assets 19,969 4,339
Income tax assets (Net) 522 522
Other non-current assets 3,049 2,640
Total Non-current Assets (a) 89,037 72,782
Current Assets
Inventories 32,901 24,788
Biological assets 22,331 21,111
Financial assets
– Investments 21,334 12,157
– Trade receivables 54,404 55,381
– Cash and cash equivalents 6,216 1,488
– Bank balances other than cash and cash equivalents 2,877 17,377
– Other financial assets 511 941
Other current assets 1,255 1,008
Total Current Assets (b) 1,41,829 1,34,251
Total Assets (a+b) 2,30,866 2,07,033
EQUITY AND LIABILITIES
Equity
Equity Share capital 1,409 1,409
Other Equity 1,58,200 1,46,149
Total Equity (a) 1,59,609 1,47,558
Liabilities
Non-current liabilities
Financial liabilities
– Borrowings 950
– Lease liabilities 226 313
– Other financial liabilities 27 49
Provisions 2,373 2,059
Deferred tax liabilities (Net) 3,775 3,950
Other non current liabilities 46 51
Total Non-current liabilities (b) 7,397 6,422
Current Liabilities
Financial liabilities
– Borrowings 15,327 16,514
– Lease liabilities 148 139
– Trade payables
Total outstanding dues of micro enterprises and small enterprises 2,969 3,145
Total outstanding dues of creditors other than micro enterprises and small enterprises 30,287 23,652
– Other financial liabilities 5,272 3,236
Other current liabilities 8,341 5,121
Provisions 567 403
Current tax liabilities (net) 949 843
Total Current liabilities (c) 63,860 53,053
Total Equity and Liabilities (a+b+c) 2,30,866 2,07,033
Particulars Year Ended 31/03/2026 (Audited) Rs. Year Ended 31/03/2025 (Audited) Rs.
A. CASH FLOWS FROM OPERATING ACTIVITIES
Profit before tax 18,555 16,271
Adjustments for:
– Depreciation and amortization expense 3,710 3,673
– Interest income (1,689) (1,399)
– Finance cost 1,704 1,634
– Government grant amortized in statement of profit and loss (5) (5)
– Fair value changes in biological assets (1,888) (823)
– Loss on property, plant & equipment sold/ discarded (net) 14 20
– Fair Value adjustment/Gain on sale of current investments (net) (870) (880)
– Provision for credit impaired debts and advances (6) (216)
– Profit on lease modification (6)
– Loss/ (Gain) on unrealised foreign exchange 1.00 (67)
Operating profit before changes in assets and liabilities 19,526 18,202
Changes in assets and liabilities
– Inventories (8,113) (7,620)
– Biological assets 669 (146)
– Trade receivables & other financial assets 464 14,035
– Non financial assets (685) (429)
– Trade payables and other financial liabilities 8,737 (14,073)
– Non financial liabilities and provisions 3,078 274
Cash generated from operations 23,676 10,244
Direct taxes paid (net of refunds) (4,544) (3,624)
NET CASH GENERATED BY OPERATING ACTIVITIES 19,132 6,620
B. CASH FLOWS FROM INVESTING ACTIVITIES
Proceeds from sale of property, plant & equipment 32 71
Payments towards acquisition of property, plant & equipment and Intangible assets (4,113) (4,583)
Proceeds/(Payments) towards sales/purchases in mutual funds (net) (8,307) (768)
Interest received 1,551 1,453
NET CASH (USED IN) INVESTING ACTIVITIES (10,837) (3,827)
C. CASH FLOWS FROM FINANCING ACTIVITIES
Repayment of long-term borrowings 1,533
Repayment of long-term borrowings (184)
Proceeds from/(Repayment) of short-term borrowings (net) (1,587) (237)
Lease liability paid (181) (242)
Finance cost paid (1,723) (1,562)
Dividend paid (1,425) (973)
NET CASH (USED IN) FINANCING ACTIVITIES (3,567) (3,014)
NET INCREASE/ (DECREASE) IN CASH AND CASH EQUIVALENTS 4,728 (221)
CASH AND CASH EQUIVALENTS AT THE BEGINNING OF THE YEAR 1,488 1,710
CASH AND CASH EQUIVALENTS AT THE END OF THE YEAR 6,216 1,488