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Dwarikesh Sugar Q4 FY26: Revenue up, net profit rises

May 14, 2026 3 mins read Firehose Gupta

DWARIKESH SUGAR INDUSTRIES LIMITED — Quarter ended March 31, 2026 (Audited) and Year ended March 31, 2026 (Audited)

Sr. No. Particulars Quarter ended March 31, 2026 Audited* December 31, 2025 Unaudited March 31, 2025 Audited* Year ended March 31, 2026 Audited Year ended March 31, 2025 Audited
I Income
i Revenue from operations 42,542.55 32,511.58 45,885.06 1,40,191.92 1,35,888.34
ii Other Income 131.12 303.96 21.77 715.40 543.95
III Total Income (I+II) 42,673.67 32,815.54 45,906.83 1,40,909.32 1,36,532.29
IV Expenses
(a) Cost of materials consumed 54,882.23 45,649.98 57,257.85 1,02,711.45 1,03,149.97
(b) Purchases of stock-in-trade 216.28 55.27 218.93 850.49 795.44
(c) Changes in inventories of finished goods and work-in-progress (26,184.58) (23,189.68) (27,853.34) 6,324.88 (655.03)
(d) Employee benefit expenses 2,750.29 3,310.32 2,846.02 11,198.35 11,043.94
(e) Finance cost 619.35 143.31 767.90 1,477.24 1,852.28
(f) Depreciation and amortisation expenses (1.44) 1,245.18 1,189.09 3,673.75 4,892.75
(g) Other expenses 2,221.48 2,921.91 2,717.05 10,420.92 10,206.89
Total expenses (IV) 34,503.61 30,136.29 37,143.49 1,36,657.08 1,31,286.24
V Profit/(loss) before exceptional items and tax (III – IV) 8,170.06 2,679.25 8,763.34 4,252.24 5,246.05
VI Exceptional Items
VII Profit/(loss) after exceptional items and before tax (V+VI) 8,170.06 2,679.25 8,763.34 4,252.24 5,246.05
VIII Tax expense
– Current tax 999.72 959.30 999.72 959.30
– Income tax adjustment 16.82 16.82 0.50
– Deferred tax 1,429.39 1,118.93 3,171.04 151.90 1,952.68
Total Tax Expense 2,429.11 1,135.75 4,130.34 1,168.44 2,912.48
IX Net Profit/(loss) after tax for the period/year (VII – VIII) 5,740.95 1,543.50 4,633.00 3,083.80 2,333.57
X Other Comprehensive Income/(loss)
(i) Items that will not be reclassified to profit or loss 102.79 (58.38) 102.79 (58.38)
(ii) Income tax relating to items that will not be reclassified to profit or loss (25.44) 14.67 (25.44) 14.67
Total other comprehensive income/(loss), net of taxes 77.35 (43.71) 77.35 (43.71)
XI Total comprehensive income/(loss) for the period (IX+X) 5,818.30 1,543.50 4,589.29 3,161.15 2,289.86
XII Paid up equity share capital (Face value of ₹ 1 each) 1,853.01 1,853.01 1,853.01 1,853.01 1,853.01
XIII Reserves (excluding Revaluation Reserve) as shown in the Audited Balance Sheet 81,018.39 78,768.63
XIV Earnings Per Share: (of ₹ 1 each) (not annualised)
(a) Basic (₹) 3.10 0.83 2.50 1.66 1.26
(b) Diluted (₹) 3.10 0.83 2.50 1.66 1.26
Sr. No Particulars Quarter ended March 31, 2026 Audited* Quarter ended December 31, 2025 Unaudited Quarter ended March 31, 2025 Audited* Year ended March 31, 2026 Audited* Year ended March 31, 2025 Audited
1 Segment Revenue
a) Sugar 39,721.77 31,991.69 44,014.51 1,27,726.06 1,25,923.45
b) Distillery 13,195.62 7,683.68 18,956.27 34,245.03 38,303.44
Total 52,917.39 39,675.37 62,970.78 1,61,971.09 1,64,226.89
Less: Inter Segment Revenue
Sugar 10,374.84 7,163.79 17,085.72 21,777.17 28,338.55
Income from operations 42,542.55 32,511.58 45,885.06 1,40,193.92 1,35,888.34
2 Segment Results
Profit/(Loss) before tax, interest and exceptional items from each segment
a) Sugar 6,598.35 2,301.06 6,875.90 3,076.55 4,976.85
b) Distillery 2,334.17 469.02 3,139.50 1,278.25 3,150.42
Total 8,932.52 2,770.08 10,015.40 6,354.80 8,127.27
Add: Exceptional Item
Less: Interest 619.35 143.31 767.90 1,477.24 1,852.28
Other Unallocable expenditure net off Unallocable income 143.11 (52.48) 484.16 625.32 1,028.94
Total Profit/(Loss) Before Tax 8,170.06 2,679.25 8,763.34 4,252.24 5,246.05
3 Segment Assets
a) Sugar 91,222.48 67,670.52 96,027.48 91,222.48 96,027.48
b) Distillery 35,976.41 35,551.06 41,016.52 35,976.41 41,016.52
Total segment assets 1,27,198.89 1,03,221.58 1,37,044.00 1,27,198.89 1,37,044.00
Add: Unallocable corporate assets 2,571.83 1,884.95 9,242.56 2,571.83 9,242.56
Total assets 1,29,770.72 1,16,106.53 1,46,286.56 1,29,770.72 1,46,286.56
Segment Liabilities
a) Sugar 7,123.03 15,296.02 9,109.42 7,123.03 9,109.42
b) Distillery 151.41 218.56 288.48 151.41 288.48
Total Segment Liabilities 7,274.44 15,514.58 9,397.90 7,274.44 9,397.90
Add: Unallocable corporate liabilities 39,624.88 23,551.77 56,267.02 39,624.88 36,267.02
Total Liabilities 46,899.32 39,066.35 65,664.92 46,899.32 65,664.92
Sr. No. Particulars As at March 31, 2026 Audited As at March 31, 2025 Audited
I. ASSETS
(1) Non-current assets
(a) Property, plant and equipment 52,577.83 54,343.72
(b) Right-of-use assets 228.81 352.74
(c) Capital work-in-progress
(d) Intangible assets
(e) Financial assets
(i) Investments 35.58 31.59
(ii) Loan 218.26 212.69
(iii) Others 1.74 6.83
(f) Income tax assets (net) 703.67 711.61
(g) Other non-current assets 53,765.89 55,659.18
(2) Current assets
(a) Inventories 67,783.37 75,065.91
(b) Financial assets
(i) Investments 21.25 23.20
(ii) Trade receivables 4,988.31 5,837.27
(iii) Cash and cash equivalents 1,308.64 8,201.92
(iv) Bank balances other than (iii) above 252.87 94.80
(v) Others 347.16 345.84
(c) Other current assets 1,303.23 1,058.44
(d) Current tax assets (net) 76,004.83 90,627.38
TOTAL ASSETS 1,29,770.72 1,46,286.56
II. Equity and liabilities
(1) Equity
(a) Equity share capital 1,853.01 1,853.01
(b) Other equity 81,018.39 78,768.63
82,871.40 80,621.64
(2) Liabilities
(i) Non-current liabilities
(a) Financial liabilities
(i) Borrowings 5,557.95 9,263.25
(ii) Lease liabilities 142.88 222.70
(iii) Other financial liabilities 114.76 106.54
(b) Provisions 3,078.13 3,101.16
(c) Other non-current liabilities 168.82 182.06
(d) Deferred tax liability (net) 5,268.88 5,091.54
14,331.42 17,967.25
(ii) Current liabilities
(a) Financial liabilities
(i) Borrowings 27,812.02 41,057.40
(ii) Lease liabilities 133.04 180.04
(iii) Trade payables
– Total outstanding dues of the micro enterprises and small enterprises 23.34 127.85
– Others 1,005.29 3,050.60
(iv) Other financial liabilities 1,479.83 1,574.03
(b) Other current liabilities 790.11 880.93
(c) Provisions 1,024.08 656.05
(d) Current tax liabilities (net) 300.19 170.77
32,567.