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TVS Holdings Q4 FY26: Revenue jumps, profit surges

May 13, 2026 4 mins read Firehose Gupta

TVS Holdings Limited — year ended 31st March 2026 (quarter ended 31st March 2026)

S.No. Particulars Quarter Ended 31.03.2026 (1) Quarter Ended 31.12.2025 (2) (Unaudited) Quarter Ended 31.03.2025 (3) Year Ended 31.03.2026 (4) (Audited) Year Ended 31.03.2025 (5) (Audited)
1 Income
Interest income 0.02 0.02 5.58 2.19 9.01
Dividend income 286.54 238.78 286.54 238.78
Net gain on Sale / Fair Valuation of Investments 0.53 0.39 5.20 107.45
Sale of goods & services 59.32 57.54 50.36 222.41 282.06
Other operating revenue
Revenue From Operations 346.41 57.95 294.72 516.34 637.30
Other income 5.66 0.25 6.73
Total Income 346.41 57.95 300.38 516.59 644.03
2 Expenditure
Finance Costs 21.97 20.95 19.31 84.94 62.96
Cost of materials consumed
Purchases of Stock-in-trade 97.03
Changes in inventories of finished goods, work-in-progress and Stock-in-Trade 0.62
Employee Benefit Expenses 4.39 4.44 4.42 17.26 17.62
Depreciation and Amortization Expenses 0.57 0.53 0.55 2.17 2.44
Other Expenses 7.24 7.88 12.06 38.80 53.27
Total Expenditure 34.17 33.80 36.34 143.17 233.94
3 Profit from Ordinary Activities before Exceptional items (1-2) 312.24 24.15 264.04 373.42 410.09
4 Exceptional Items – Gain / (Loss) (0.32) (0.32)
5 Profit from Ordinary Activities before tax (3+4) 312.24 23.83 264.04 373.10 410.09
6 Tax expense
a) Current tax 43.21 2.74 162.49 50.51 198.97
b) Deferred tax 0.13 (0.11) (140.03) 0.29 (141.04)
Total tax expense 43.34 2.63 22.46 50.80 57.93
7 Profit for the Period (5-6) 268.90 21.20 241.58 322.30 352.16
8 Other Comprehensive Income (net of tax)
a) Items that will not be reclassified to profit or loss 0.35 (0.44) (1.36) (5.01) (2.43)
b) Items that will be reclassified to profit or loss
Total Other Comprehensive Income 0.35 (0.44) (1.36) (5.01) (2.43)
9 Total Comprehensive Income for the period (7+8) 269.25 20.76 240.22 317.29 349.73
10 Paid up equity share capital (Face value of Rs.5/- each) 10.12 10.12 10.12 10.12 10.12
11 Reserves excluding revaluation reserve 1,744.31 1,601.02
12 Earnings Per Share (EPS)(Face value of Rs.5/- each)(not annualised)
(i) Basic (in Rs.) 132.91 10.48 119.40 159.30 174.06
(ii) Diluted (in Rs.) 132.91 10.48 119.40 159.30 174.06
Particulars As at 31.03.2026 As at 31.03.2025
ASSETS
1 Financial Assets
(a) Cash and Cash Equivalents 6.46 222.08
(b) Bank Balances other than (a) above 178.57 96.19
(c) Receivables
i) Trade Receivables 12.12 13.59
(d) Investments 3,002.17 2,267.50
(e) Other Financial Assets 260.25 2.94
Total 3,459.57 2,602.30
2 Non-Financial Assets
(a) Current Tax Assets (Net) 3.21
(b) Deferred Tax Assets (Net) 148.53 147.80
(c) Property, Plant and Equipment 8.85 9.83
(d) Capital work in progress 2.28 3.75
(e) Other Intangible Assets 0.02
(f) Other Non-Financial Assets 2.39 2.38
Total 165.26 163.78
Total Assets 3,624.83 2,766.08
LIABILITIES AND EQUITY
LIABILITIES
1 Financial Liabilities
(a) Payables
I. Trade Payables
i) Total outstanding dues of micro enterprises and small enterprises
ii) Total outstanding dues of creditors other than micro enterprises and small enterprises
(b) Debt Securities 1,593.08 943.81
(c) Other Financial Liabilities 247.23 153.03
Total 1,840.31 1,096.84
2 Non-Financial Liabilities
(a) Current Tax Liabilities (Net) 12.63
(b) Provisions 20.12 20.92
(c) Other Non-Financial Liabilities 9.97 24.55
Total 30.09 58.10
3 EQUITY
(a) Equity Share capital 10.12 10.12
(b) Other Equity 1,744.31 1,601.02
Total 1,754.43 1,611.14
Total Liabilities and Equity 3,624.83 2,766.08
Particulars Year Ended 31.03.2026 Year Ended 31.03.2025
CASH FLOW FROM OPERATING ACTIVITIES
Profit before tax 373.10 410.09
Add: Depreciation and amortisation for the year 2.17 2.44
Interest on Lease Liabilities 0.28
Loss on sale of property, plant and equipment 0.01 (5.66)
Other Non-Cash items (0.51)
Net gain on Sale / Fair Valuation of Investments (5.20) (107.45)
(3.25) (110.67)
Operating profit before working capital changes 369.85 299.42
Adjustments for:
Decrease/(Increase) in Inventories 6.94
Decrease/(Increase) in Trade Receivables 1.47 11.10
Decrease/(Increase) in Other financial assets (257.33) (0.79)
Decrease/(Increase) in Other non-financial assets (0.27) 10.10
Increase/(Decrease) in Trade Payables (84.94)
Increase/(Decrease) Other financial liabilities (5.02) 52.60
Increase/(Decrease) in Provisions (3.26) (0.87)
Increase/(Decrease) in Other non financial liabilities 3.00 (6.95)
(261.41) (12.81)
Cash generated from operations 108.44 286.61
Direct taxes paid (net of refund received) (66.35) (181.30)
Net Cash generated from / (used in) operating activities (A) 42.09 105.31
CASH FLOW FROM INVESTING ACTIVITIES
Additions to property, plant and equipment (1.50) (4.50)
Proceeds from Sale of property, plant and equipment 1.79 6.90
Purchase of investments (738.42) (684.91)
Proceeds from Sale of investments 6.16 491.88
Net Cash generated from / (used in) investing activities (B) (731.97) (190.63)
CASH FLOW FROM FINANCING ACTIVITIES
Net Borrowings Availed / (repaid) 650.00 400.17
Dividend Paid (174.00) (188.16)
Repayment of lease liabilities (1.74) (0.93)
Net Cash generated from / (used in) financing activities (C) 474.26 211.08
NET INCREASE / (DECREASE) IN CASH AND CASH EQUIVALENTS (A+B+C) (215.62) 125.76
Cash and cash equivalents at the beginning of the year 222.08 96.32
Cash and cash equivalents at the end of the year 6.46 222.08
S.No Particulars As at March 31, 2026 (Audited) As at March 31, 2025 (Audited)
ASSETS
1 Financial Assets
(a) Cash and Cash Equivalents 4,621.38 4,707.03
(b) Bank Balances other than (a) above 781.56 428.08
(c) Receivables
i) Trade Receivables 2,684.78 1,749.53
(d) Investments 1,105.93 1,149.59
(e) Investments accounted using equity method 110.58 170.20
(f) Loans 36,138.04 31,312.83
(g) Other Financial Assets 954.86 552.80
Total Financial Assets 46,397.13 40,070.06
2 Non-Financial Assets
(a) Inventories 2,459.20 2,416.58
(b) Current Tax Assets (Net) 25.95 31.45
(c) Deferred Tax Assets (Net) 976.18 856.94
(d) Investment Properties 145.65 141.38
(e) Property, Plant and Equipment 6,136.48 5,558.54
(f) Right of Use Asset held for surrender 466.96
(g) Capital work in progress 975.83 667.53
(h) Other Intangible Assets 1,753.72 1,379.55
(i) Intangibles under development 1,098.67 814.69
(j) Goodwill 439.90 439.90
(k) Other Non-Financial Assets 3,132.00 1,804.59
Total Non-Financial Assets 17,610.54 14,111.15
Total Assets 64,007.67 54,181.21
LIABILITIES AND EQUITY
1 LIABILITIES
Financial Liabilities
(a) Trade Payables
i) Total outstanding dues of micro enterprises and small enterprises 151.21 45.51
ii) Total outstanding dues of creditors other than micro enterprises and small enterprises 9,814.07 7,620.19
(b) Debt Securities 4,902.94 3,569.20
(c) Borrowings other than debt securities 28,038.91 26,649.52
(d) Subordinated Liabilities 3,214.49 2,269.31
(e) Other Financial Liabilities 2,474.46 1,728.32
Total Financial Liabilities 48,596.08 41,882.05
2 Non-Financial Liabilities