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PDS Limited Q4 FY26: Revenue, profit, and segment mix

May 15, 2026 3 mins read Firehose Gupta

PDS Limited — Quarter and year ended 31 March 2026 (reported on 15 May 2026)

PDS Limited
(CIN: L18101MH2011PLC388088)
Regd. and Corporate Office: Unit No. 1031, 1032, Solitaire Corporate Park Andheri Ghatkopar Link Road, Andheri East Mumbai 400093, Maharashtra, India.
Tel: +91-22-41441110; Website: www.pdsltd.com, E-mail: investors@pdsltd.com


STATEMENT OF FINANCIAL RESULTS FOR THE QUARTER AND YEAR ENDED 31 MARCH 2026

Sl. No. Particulars Consolidated Quarter ended Consolidated Year Ended Standalone Quarter ended Standalone Year Ended
31 March 2026 (Audited) 31 March 2026 (Audited) 31 March 2026 (Audited) 31 March 2026 (Audited)
31 December 2025 (Unaudited) 31 March 2025 (Audited) (Restated) 31 December 2025 (Unaudited) 31 March 2025 (Audited) (Restated)
31 March 2025 (Unaudited) (Restated) 31 March 2025 (Audited) (Restated)
I Revenue from operations 351,902.84 1,311,008.17 7,142.19 25,740.74
II Other income 2,846.26 9,965.34 4,170.05 5,868.59
III Total income 354,749.10 1,320,973.51 11,312.24 31,609.33
IV Expenses
a) Cost of material consumed 13,947.41 63,635.75
b) Purchase of stock in trade 269,396.00 985,381.00 4,100.92 14,282.90
c) Changes in inventories of finished goods, work in progress and stock in trade (3,304.65) (8,058.22)
d) Employee benefits expense 34,707.87 131,716.97 1,530.20 6,545.86
e) Finance costs 3,417.38 14,647.81 153.97 609.40
f) Depreciation and amortization expense 3,627.26 13,089.54 167.41 653.03
g) Other expenses 24,948.54 99,833.48 2,700.18 6,220.72
Total expenses 346,739.81 1,300,246.33 8,652.68 28,311.91
V Profit before share of profit/(loss) in associates and joint ventures 8,009.29 20,727.18 2,659.56 3,297.42
VI Share of (loss)/profit of associates and joint ventures (178.78) (181.69)
VII Profit before tax 7,830.51 20,545.49 2,659.56 3,297.42
VIII Tax expense
a) Current tax 1,200.19 5,434.53 94.84 312.30
b) Deferred tax (579.93) (2,651.43) (162.89) (217.73)
Total tax expense 620.26 2,783.10 (68.05) 94.57
IX Profit for the period/year 7,210.25 17,762.39 2,727.61 3,202.85
X Other comprehensive income/ (loss) for the period/year
(a) Items that will not be reclassified to profit or loss (2,622.90) (3,820.30) 10.48 60.83
(b) Income tax relating to items that will not be reclassified to profit or loss (2.64) (15.31) (2.64)
(c) Items that will be reclassified to profit or loss 6,564.65 17,764.26
(d) Income tax relating to items that will be reclassified to profit or loss
Total other comprehensive income/ (loss) for the period/year 3,939.11 13,928.65 7.84 45.52
XI Total comprehensive income for the period/year 11,149.36 31,691.04 2,735.45 3,248.37
XII Total comprehensive income for the period/year attributable to
– Owners of the Company 8,753.67 23,961.59
– Non-controlling interest 2,395.69 7,729.45
XIII Profit for the period/year attributable to
– Owners of the Company 4,904.92 11,169.17
– Non-controlling interest 2,305.33 6,593.22
XIV Other comprehensive income/(loss) for the period/year attributable to
– Owners of the Company 3,848.75 12,792.42
– Non-controlling interest 90.36 1,136.23
XV Other equity 173,535.16 158,645.89
XVI Paid-up equity share capital 2,824.38* 2,824.38* 2,824.38* 2,821.91*
(Face value of ₹2 each)
XVII Earnings per share (in ₹)
(of ₹2 each) (not annualised):
(a) Basic 3.47 7.91 1.93 2.27
(b) Diluted 3.46 7.87 1.92 2.26

Annexure-I – Statement of Consolidated Segment wise Revenue, Results, Assets and Liabilities

Reportable – Business segment Quarter ended 31 March 2026 (Audited) % Quarter ended 31 December 2025 (Unaudited) % Quarter ended 31 March 2025 (Audited) (Restated) % Year Ended 31 March 2026 (Audited) % Year Ended 31 March 2025 (Audited) (Restated) %
Segment revenue
Sourcing 336,125.78 91.38 298,214.48 91.98 344,394.45 93.03 1,239,879.35 92.29 1,219,983.57 93.88
Manufacturing 31,715.24 8.62 25,994.69 8.02 25,676.85 6.94 103,407.15 7.70 78,836.40 6.07
Others 10.28 0.00 0.71 0.00 143.10 0.04 118.26 0.01 637.43 0.05
Total 367,851.30 100.00 324,209.88 100.00 370,214.40 100.00 1,343,404.76 100.00 1,299,457.40 100.00
Less: Inter-segment revenue 15,948.46 6,963.86 17,637.47 32,396.59 41,658.55
Net segment revenue 351,902.84 100.00 317,246.02 100.00 352,576.93 100.00 1,311,008.17 100.00 1,257,798.85 100.00
Segment results
Sourcing 4,350.83 54.32 5,166.59 112.96 8,485.75 94.26 14,063.32 67.87 24,306.15 90.22
Manufacturing 1,240.09 15.48 434.93 9.51 958.60 10.65 3,813.51 18.39 3,252.41 12.07
Others 1,155.09 14.42 (749.84) (16.39) (38.21) (0.42) 1,973.23 9.52 (45.76) (0.16)
Less: Inter-segment loss 1,263.28 15.78 (277.75) (6.08) (403.64) (4.49) 876.42 4.22 (571.87) (2.13)
Segment operating profit (incl. other income) 8,009.29 100.00 4,573.93 100.00 9,002.50 100.00 20,727.18 100.00 26,940.93 100.00
Share of profit/ (loss) of associates and joint ventures (178.78) (140.50) 27.95 (181.69) (91.99)
Less: Tax expenses (including deferred tax) 620.26 728.53 1,053.65 2,783.10 2,711.46
Profit for the period/ year 7,210.25 100.00 3,704.90 100.00 7,976.80 100.00 17,762.39 100.00 24,137.48 100.00
Segment assets
Sourcing 395,638.28 78.95 364,230.96 74.18 374,710.22 78.96 395,638.28 75.14 374,710.22 78.95
Manufacturing 78,516.90 11.27 76,781.14 15.63 53,473.30 11.27 78,516.90 14.92 53,473.30 11.27
Others 52,408.35 9.78 50,057.11 10.19 46,363.81 9.77 52,408.35 9.95 46,363.81 9.78
Total 526,563.53 100.00 491,069.21 100.00 474,547.33 100.00 526,563.53 100.01 474,547.33 100.00
Segment liabilities
Sourcing 307,512.05 95.21 271,356.47 86.79 292,145.12 95.21 307,512.05 90.27 292,145.12 95.21
Manufacturing 27,589.39 3.92 36,471.07 11.67 12,017.86 3.92 27,589.39 8.10 12,017.86 3.92
Others 5,564.30 0.87 4,817.13 1.54 2,658.57 0.87 5,564.30 1.63 2,658.57 0.87
Total 340,665.74 100.00 312,644.67 100.00 306,821.55 100.00 340,665.74 100.00 306,821.55 100.00

STATEMENT OF ASSETS AND LIABILITIES

Particulars Consolidated As at 31 March 2026 (Audited) Consolidated As at 31 March 2025 (Restated) (Audited) (Refer note 7) Standalone As at 31 March 2026 (Audited) Standalone As at 31 March 2025 (Restated) (Audited) (Refer note 7)
ASSETS
(1) Non-current assets
(a) Property, plant and equipment 55,923.13 49,552.35 1,903.77 1,580.75
(b) Capital work in progress 44.79 131.75
(c) Investment properties 2,849.74 2,929.78 2,849.74 2,929.78
(d) Goodwill 19,967.59 10,865.67
(e) Other Intangible assets 7,032.40 6,747.62 159.78 209.76
(f) Investments accounted for using the equity method 12,119.50 11,225.10
(g) Financial assets – Investments 40,238.31 35,239.11 50,602.86 51,620.91
(g) Financial assets – Other financial assets 414.22 706.93 331.00
(h) Deferred tax assets (net) 5,537.67 2,300.92 446.15 147.21
(i) Non-current tax assets 4,861.06 3,342.96 144.88 86.59
(j) Other non-current assets 226.20 309.75
Total non-current assets 149,214.61 123,351.94 56,107.18 56,906.00
(2) Current assets