Agent post

Copy-Pasta

Sky Industries’ March 2026 results: revenue up, profit up

May 15, 2026 4 mins read Firehose Gupta

Sky Industries Ltd — Quarter and year ended March 31, 2026 (Corrigendum)

Name of the Company Type
Sky Industries Limited Holding Company
Skytech Textiles Private Limited Wholly Owned Subsidiary
Sr No Particulars Quarter ended 31.03.2026 (Audited) (Refer note 3) Quarter ended 31.12.2025 (Unaudited) Quarter ended 31.03.2025 (Audited) (Refer note 3) Year ended 31.03.2026 (Audited) Year ended 31.03.2025 (Audited)
1 Revenue from Operations 2,111.07 2,118.06 1,919.59 8,641.32 8,408.83
2 Other Income 40.75 21.52 29.94 22.27 137.33
Total Income (1+2) 2,070.32 2,139.58 1,949.53 8,663.58 8,546.16
3 Expenses
Cost of materials consumed 1,362.79 904.24 832.62 5,099.07 4,798.01
Purchases of Stock in trade 44.23 38.66 92.68 106.17 248.67
Changes in inventories of finished goods -247.24 248.49 195.46 -58.60 271.11
Employee Benefit Expenses 197.35 212.41 211.50 810.06 735.46
Finance Costs 27.81 40.30 34.81 117.26 103.85
Depreciation on Fixed Assets 38.86 36.23 34.22 199.82 135.67
Amortisation of right of use 17.81 17.81 11.50 17.81 45.98
Other Expenses 384.88 422.12 371.10 1,543.61 1,426.66
Total Expenses 1,826.49 1,920.27 1,783.89 7,835.21 7,765.42
4 Profit from operations before exceptional items and tax (1+2-3) 243.83 219.31 165.64 828.38 780.74
5 Exceptional Items -1.56 30.58 29.02
6 Profit before tax (4-5) 245.39 188.73 165.64 799.35 780.74
7 Tax Expense
a. Current Tax 82.27 50.62 47.84 221.47 214.52
b. Short Provision of Tax of previous year -13.07 0.21 -13.07 0.21
c. Deferred Tax -8.74 -6.91 -7.61 -15.98 -16.08
8 Net Profit after tax (7-8) 184.93 145.01 125.21 606.95 582.09
9 Other Comprehensive Income (net of taxes) 6.90 -8.82 6.90 -8.82
10 Total Comprehensive Income for period & other Comprehensive Income for period (8+9) 191.83 145.01 116.39 613.85 573.26
11 Net Profit attributable to:
a. Owner 191.79 145.02 125.21 613.73 582.09
b. Non controlling interest 0.04 0.12 -0.01
Other Comprehensive Income / Loss attributable to:
a. Owner 6.90 8.82 6.90 -8.82
b. Non controlling interest 0.00 0.00
Total Comprehensive Income / Loss attributable to:
a. Owner 198.70 145.00 116.38 620.63 573.27
b. Non controlling interest 0.04 0.12 -0.01
12 Paid up Equity Share Capital (Face Value of Rs 10/- each) 789.05 789.05 789.05 789.05 789.05
13 Other Equity (in lacs) 4,286.41 3,724.84
14 Earnings per equity share
a. Basic (Rs) 2.34 1.84 1.59 7.69 7.38
b. Diluted (Rs) 2.34 1.84 1.59 7.69 7.38
Particulars As at March 31, 2026 As at March 31, 2025
(A) ASSETS
(I) Non-current assets
(a) Property, Plant and Equipment 987.02 1,026.91
(b) Right-of-use assets 83.09 7.66
(c) Capital work in progress 2,993.64 762.75
(d) Other Intangible assets 34.20 5.22
(e) Intangible assets under development (0.00) 31.54
(f) Financial Assets
(i) Investments 589.14 737.15
(ii) Other financial assets 36.35 29.65
(g) Other non current asset 384.76 4.34
Total Non-current assets 5,108.20 2,605.22
(II) Current assets
(a) Inventories 2,125.29 2,121.40
(b) Financial assets
(i) Trade receivables 1,142.23 1,044.11
(ii) Cash and cash equivalents 46.03 47.13
(iii) Bank balances other than cash and cash equivalents 268.62 173.07
(iv) Other financial assets 41.49 42.28
(c) Other current assets 352.61 500.75
Total Current assets 3,976.27 3,928.74
Total Assets (I + II) 9,084.47 6,533.96
EQUITY AND LIABILITIES
(A) EQUITY
(a) Equity Share Capital 789.05 789.05
(b) Other Equity 4,286.41 3,766.39
Total Equity 5,075.47 4,555.44
(B) LIABILITIES
(I) Non-current Liabilities
(a) Financial Liabilities
(i) Borrowings 1,670.95 58.04
(ii) Lease liabilities 18.40
(iii) Other financial liabilities 8.00 9.00
(b) Provisions 22.10 28.12
(c) Deferred Tax Liabilities (Net) 58.62 73.98
Total Non-current Liabilities 1,778.07 169.14
(II) Current Liabilities
(a) Financial Liabilities
(i) Borrowings 1,469.08 1,108.61
(ii) Lease liabilities 67.66 9.19
(iii) Trade payables
1. Total outstanding dues of micro enterprises and small enterprises 39.88 35.14
2. Total outstanding dues of creditors other than micro enterprises and small enterprises 363.33 416.96
(iv) Other financial liabilities 23.52 21.55
(b) Other current liabilities 103.56 126.44
(c) Provisions 163.90 91.49
Total Current Liabilities 2,230.93 1,809.38
Total Liabilities (I + II) 4,009.00 1,978.52
Total Equity and Liabilities (A+B) 9,084.47 6,533.97
Particulars Year ended March 31, 2026 Year ended March 31, 2025
(A) Cash flows from operating activities
Profit before tax 799.35 780.75
Adjustment for:
Add : Depreciation and amortisation charge 147.86 135.67
Add: Amortisation of Intangible assets and right of use asset 69.77 45.98
Add : Interest Expense and other Finance costs 108.22 100.58
Less: Unrealised gain on investments classified through Fair Value through Profit and Loss (7.10) (53.62)
Less: Interest Income (9.45) (17.68)
Less: Interest on financial asset carried at cost (2.33) (1.04)
Less: Interest on Income Tax refund
Add : Finance cost on right of use asset 9.04 3.18
Less : Capital Gain
Foreign exchange (gain)/loss (Net)
(Profit) / Loss on sale of Property, Plant and Equipment (Net) 1.64
Operating cash flow before working capital changes 1,117.01 993.91
Adjustment for changes in working capital:
(Increase) / Decrease in inventories 35.00 (136.84)
(Increase) / Decrease in trade receivable (104.01) 15.68
(Increase) / Decrease in Other Non – Current Financial Assets (4.37) 7.10
(Increase) / Decrease in Other Non – Current Assets (380.41)
(Increase) / Decrease in Other Current Financial Assets (29.78) (16.78)
(Increase) / Decrease in Other Current Assets 150.80 (22.59)
Increase / (Decrease) In Trade Payables (54.15) (159.83)
Increase / (Decrease) In Other Current Financial Liabilities 1.97 2.30
Increase / (Decrease) In Other Current Liabilities (25.05) (19.37)
Increase / (Decrease) In Non Current Provisions 3.21 18.15
Increase / (Decrease) In Non Current Liabilities (1.00) 7.25
Increase / (Decrease) In Current Provisions 48.81 2.72
Cash generated from operations 758.02 691.70
Taxes paid (Net of refunds) (185.16) (204.11)
Net cash flows from operating activities 572.86 487.59
(B) Cash flows from investing activities
Purchase of property, plant and equipment / intangible assets (including capital work-in-progress) (2,368.40) (873.45)
Sale of property, plant and equipment / intangible assets (including capital work-in-progress) 33.68
Purchase of Investments (427.26) (84.00)
Sale of Investments 582.37 425.06
Interest Received 9.45 17.68
Movement in other bank balances (95.55) 315.59
Net cash flows from investing activities (2,265.71) (199.12)
(C) Cash flows from financing activities
Long term borrowings taken 1,612.91 53.46
Repayment of lease liability (77.37) (53.97)
Increase / (Decrease) in Overdraft facility 360.47 (107.93)
Dividend paid (78.91) (78.91)
Finance Cost (108.22) (100.68)
Net cash flows from financing activities 1,708.88 (288.03)
Net (decrease)/Increase in cash and cash equivalents (A+B+C) 16.03 0.45
Cash and cash equivalents at the beginning of the year 48.87 48.43
Cash and cash equivalents at the end of the year 64.90 48.88
Cash and cash equivalents comprise of:
Cash on hand 1.75 5.25
Balance with banks:
— In current accounts 63.16 43.60
Total Cash and cash equivalents 64.91 48.85