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AVADH Sugar Profit Jumps to ₹8.44 Cr

May 12, 2026 2 mins read Firehose Gupta

AVADH SUGAR & ENERGY LTD — Quarter ended 31 March 2026; Year ended 31 March 2026

Sr. No. Particulars Three months ended 31.03.2026 (Refer Note 3) (Audited) Previous Three months ended 31.12.2025 (Unaudited) Corresponding Three months ended 31.03.2025 in the previous year (Refer Note 3) (Audited) Year ended 31.03.2026 (Audited) Previous Year ended 31.03.2025 (Audited)
1. Income
(a) Revenue from Operations 67,061.33 63,814.71 67,878.07 2,69,351.81 2,63,559.08
(b) Other Income 172.32 101.11 (65.98) 505.65 380.52
Total Income 67,233.65 63,915.82 67,812.09 2,69,857.46 2,63,939.60
2. Expenses
(a) Cost of raw materials consumed 1,12,737.39 79,303.28 1,03,842.19 2,11,384.18 1,90,709.67
(b) Purchases of stock-in-trade 770.73 541.49 878.82 1,831.22 2,044.82
(c) Change in inventories of finished goods, work-in-progress and stock-in-trade (69,273.66) (31,721.69) (61,997.71) (2,112.77) 10,026.38
(d) Employee benefits expense 3,656.64 3,385.76 3,509.38 12,225.20 11,393.23
(e) Finance costs 2,126.67 1,090.83 2,400.58 7,411.47 8,578.67
(f) Depreciation and amortisation expense 1,569.66 1,590.71 1,471.46 6,154.13 5,812.75
(g) Other expenses 7,209.60 6,768.06 6,718.06 23,912.13 21,783.56
Total Expenses 58,797.03 60,958.44 56,822.78 2,60,805.56 2,50,349.08
3. Profit before exceptional items and tax (1-2) 8,436.62 2,957.38 10,989.31 9,051.90 13,590.52
4. Exceptional items (Refer Note 4) 89.42 (299.68) (210.26)
5. Profit before tax (3+4) 8,526.04 2,657.70 10,989.31 8,841.64 13,590.52
6. Tax expense:
(i) Current tax 1,493.21 53.90 1,907.33 1,547.11 2,361.85
(ii) Deferred tax 1,471.60 934.09 1,914.31 1,564.00 2,435.16
Total tax expense 2,964.81 987.99 3,821.64 3,111.11 4,797.01
7. Net Profit after tax (5-6) 5,561.23 1,669.71 7,167.67 5,730.53 8,793.51
8. Other Comprehensive Income / (Loss)
(i) Items that will not be reclassified to profit or loss (including gain/(loss) on equity investments) (278.38) (647.22) (715.68) (1,647.83) 767.90
(ii) Income tax relating to items that will not be reclassified to profit or loss 52.22 94.68 121.03 252.96 (280.25)
Total Other Comprehensive Income / (Loss) (226.16) (552.54) (594.65) (1,394.87) 487.65
9. Total Comprehensive Income [comprising net profit and other comprehensive income / (loss)] (7+8) 5,335.07 1,117.17 6,573.02 4,335.66 9,281.16
10. Paid-up Equity Share Capital (Face value per share ₹ 10) 2,001.84 2,001.84 2,001.84 2,001.84 2,001.84
11. Other Equity 1,10,444.21 1,08,110.39
12. Earnings per equity share (of ₹ 10 each) (in ₹):
Basic and Diluted 27.78 * 8.35 * 35.81 * 28.63 43.93
Sr. No. Particulars Three months ended 31.03.2026 (Refer Note 3) (Audited) Previous Three months ended 31.12.2025 (Unaudited) Corresponding Three months ended 31.03.2025 in the previous year (Refer Note 3) (Audited) Year ended 31.03.2026 (Audited) Previous Year ended 31.03.2025 (Audited)
1. Segment Revenue
(a) Sugar 72,475.22 67,684.65 71,201.49 2,57,151.05 2,55,737.12
(b) Distillery 11,598.78 12,884.04 14,127.24 52,962.09 48,488.73
(c) Co-generation 10,490.43 8,042.09 9,827.62 22,673.61 18,952.38
(d) Others 689.87 517.06 731.28 1,622.88 1,767.10
Total Segment Revenue 95,254.30 89,127.84 95,887.63 3,34,409.63 3,24,945.33
Less: Inter Segment revenue 28,192.97 25,313.13 28,009.56 65,057.82 61,386.25
Total Revenue from Operations 67,061.33 63,814.71 67,878.07 2,69,351.81 2,63,559.08
2. Segment Results
(a) Sugar 7,782.14 2,724.41 10,601.71 10,184.22 16,037.13
(b) Distillery 1,318.21 (102.51) 1,901.94 4,200.50 6,320.02
(c) Co-generation 2,010.08 1,508.61 1,427.51 3,447.17 1,464.82
(d) Others 15.29 10.05 16.40 29.91 32.08
Total segment profit before finance costs, tax and unallocable items 11,125.72 4,140.56 13,947.56 17,861.80 23,854.05
Less:
(i) Finance costs 2,126.67 1,090.83 2,400.58 7,411.47 8,578.67
(ii) Other unallocable expenditure (net of unallocable income) 473.01 392.03 557.67 1,608.69 1,684.86
Profit before tax 8,526.04 2,657.70 10,989.31 8,841.64 13,590.52
3. Segment Assets
(a) Sugar 2,17,687.34 1,52,875.58 2,11,627.07 2,17,687.34 2,11,627.07
(b) Distillery 28,237.29 23,492.01 31,266.44 28,237.29 31,266.44
(c) Co-generation 31,823.01 31,855.43 33,478.78 31,823.01 33,478.78
(d) Others 54.25 65.43 32.10 54.25 32.10
(e) Unallocable Assets 10,218.38 11,724.20 11,584.11 10,218.38 11,584.11
Total Segment Assets 2,88,020.27 2,20,012.65 2,87,988.50 2,88,020.27 2,87,988.50
4. Segment Liabilities
(a) Sugar 21,523.03 27,831.40 28,291.30 21,523.03 28,291.30
(b) Distillery 1,023.00 1,118.44 1,238.01 1,023.00 1,238.01
(c) Co-generation 298.14 297.03 274.06 298.14 274.06
(d) Others 1.22 1.45 1.02 1.22 1.02
Unallocable Liabilities 1,52,728.83 83,653.35 1,48,071.88 1,52,728.83 1,48,071.88
Total Segment Liabilities 1,75,574.22 1,12,901.67 1,77,876.27 1,75,574.22 1,77,876.27
Sr. No. Particulars As at 31.03.2026 (Audited) As at 31.03.2025 (Audited)
1. ASSETS
Non-Current Assets
(a) Property, Plant and Equipment 1,26,867.10 1,22,104.51
(b) Capital Work-In-Progress 294.23 1,226.98
(c) Intangible Assets 17.55 21.97
(d) Financial Assets
  (i) Investments 7,177.68 8,839.94
  (ii) Other Financial Assets 195.90 151.17
(e) Other Non – Current Assets 1,114.35 1,522.08
Total Non-Current Assets 1,35,666.81 1,33,866.65
Current Assets
(a) Inventories 1,43,286.17 1,45,458.49
(b) Biological Assets other than bearer plants 24.40 25.14
(c) Financial Assets
  (i) Trade Receivables 5,892.88 5,617.03
  (ii) Cash and Cash Equivalents 190.57 352.86
  (iii) Bank Balances other than (ii) above 162.46 141.70
  (iv) Loans 58.77 48.53
  (v) Other Financial Assets 247.87 338.94
(d) Current Tax Assets (net) 1,323.06 791.67
(e) Other Current Assets 1,167.28 1,347.49
Total Current Assets 1,52,353.46 1,54,121.85
TOTAL ASSETS 2,88,020.27 2,87,988.50
2. EQUITY AND LIABILITIES
EQUITY
(a) Equity Share Capital 2,001.84 2,001.84
(b) Other Equity 1,10,444.21 1,08,110.39
Total Equity 1,12,446.05 1