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Sudarshan Pharma Q4 FY26: Revenue up, profit jumps

April 30, 2026 3 mins read Firehose Gupta

SUDARSHAN PHARMA INDUSTRIES LIMITED — Quarter and year ended 31st March, 2026

BSE Scrip Code: 543828
BSE Trading Symbol: SUDARSHAN
ISIN: INE00TV01023
Sr. No. Particulars Quarter ended 31-Mar-26
Refer note 2
31-Dec-25
Un-Audited
31-Mar-25
Refer note 2
Year Ended 31-Mar-26
Audited
31-Mar-25
Audited
I INCOME
I Revenue from operations 19,980.98 15,837.13 16,156.81 66,749.85 50,249.34
II Other Income 320.79 168.96 91.11 840.44 299.88
III Total Income (I + II) 20,301.77 16,006.09 16,247.91 67,590.29 50,549.22
IV EXPENSES
(a) Cost of Materials Consumed 105.65 58.15 298.75 297.68 399.90
(b) Purchase of Stock-in-Trade 19,356.54 15,177.88 16,445.88 65,599.01 48,859.26
(c) Changes in inventories of finished goods, work-in-progress & Stock-in-Trade (2,328.75) (1,365.11) (2,797.48) (7,063.44) (5,330.06)
(d) Employee Benefit Expenses 184.80 167.97 123.97 618.97 451.84
(e) Finance Costs 727.39 624.17 444.26 2,529.74 1,621.53
(f) Depreciation and Amortization Expense 100.36 80.63 75.55 340.65 270.18
(g) Other Expenses 832.40 720.86 564.76 2,400.87 2,114.22
Total Expenses (IV (a to g)) 18,978.40 15,464.55 15,155.68 64,723.48 48,386.88
V Profit before exceptional and extraordinary items and tax 1,323.37 541.55 1,092.23 2,866.82 2,162.34
Exceptional Items 164.84 281.73
VI Profit before extraordinary items and tax 1,323.37 541.55 927.39 2,866.82 1,880.61
Extraordinary items
VII Profit before tax 1,323.37 541.55 927.39 2,866.82 1,880.61
VIII Tax expense:
(a) Current tax 340.65 135.01 253.75 709.31 539.65
(b) Deferred tax (Expense) / Income 53.83 (24.01) (29.05) (15.27) (52.04)
(c) Tax for Earlier Year (25.39) (25.39) (9.16)
Total Tax Expenses 369.09 111.00 224.71 668.65 478.45
IX Net Profit/(Loss) for the year from continuing operations 954.28 430.54 702.68 2,198.16 1,402.16
Net Profit/(Loss) for the year 954.28 430.54 702.68 2,198.16 1,402.16
X Other comprehensive income, net of income tax
i) items that will not be reclassified to profit or loss 5.53 (1.16) (1.16) 2.04 (4.65)
ii) income tax relating to items that will not be reclassified to profit or loss (1.39) 0.29 0.29 (0.51) 1.17
Total other comprehensive income, net of income tax 4.14 (0.87) (0.87) 1.53 (3.48)
XI Total comprehensive income for the period/year (7+8) 958.42 429.67 701.81 2,199.69 1,398.68
XII Paid up Equity Share Capital (Face Value of Equity Shares Rs.10/- each) 2,406.59 2,406.59 2,406.59 2,406.59 2,406.59
XIII Reserve Excluding Revaluation Reserve 12,863.92 10,664.23
XIV Earning per share (in Rs) from Continuing Operations:
(i) Basic EPS 0.40 0.18 0.29 0.91 0.58
(ii) Diluted EPS 0.39 0.18 0.29 0.90 0.58
Sr. No PARTICULARS 31-Mar-26 Audited 31-Mar-25 Audited
Assets
Non-current assets
Property, plant and equipment 7,276.85 3,007.44
Capital work-in-progress 343.51 2,253.98
Investment properties 1,151.66 1,192.80
Intangible assets 996.75 33.06
Financial assets
Investments 775.40 317.21
Loans
Other financial assets 3,125.84 869.19
Deferred tax assets 19.39 4.64
Other non-current assets 1,254.07
Total non-current assets 14,943.47 7,678.318
Current assets
Inventories 20,665.52 13,704.09
Financial assets
Investments 166.91
Trade receivables 19,922.85 15,207.74
Loans 268.84 542.17
Cash and cash equivalents 10.90 38.86
Other financial assets 972.18 641.64
Other current assets 2,634.21 2,342.95
Total current assets 44,474.50 32,644.35
Total assets 59,417.97 40,322.67
Equity and liabilities
Equity
Equity share capital 2,406.59 2,406.59
Other equity 12,863.92 10,664.23
Total equity 15,270.51 13,070.82
Liabilities
Non-current liabilities
Financial liabilities
Borrowings 3,039.26 1,042.91
Lease liabilities 51.31 263.64
Other financial liabilities 33.27 33.27
Provisions 18.83 14.88
Total non-current liabilities 3,142.68 1,354.69
Current liabilities
Financial liabilities
Borrowings 25,069.68 16,259.06
Lease liabilities 88.11 98.67
Trade payables
Total outstanding dues of micro enterprises and small enterprises 5,771.41 3,417.67
Total outstanding dues of creditors other than micro enterprises and small enterprises 8,940.13 5,398.54
Other financial liabilities 14.86 116.53
Current Tax liabilities 664.34 509.73
Employee benefit obligations 1.57 1.24
Other current liabilities 454.67 95.70
Total current liabilities 41,004.78 25,897.15
Total liabilities 44,147.46 27,251.85
Total equity and liabilities 59,417.97 40,322.67
Sr. No PARTICULARS 31-Mar-26 Audited 31-Mar-25 Audited
A. Cash Flows From Operating Activities
Net Profit before Tax and After Exceptional Items 2,866.82 1,880.61
Adjustments for:
Exceptional Items 281.73
Depreciation and amortisation expense 340.65 270.18
Finance costs 2,529.74 1,571.70
Provision for doubtful debts 39.72 195.42
Gain on sale of assets (102.01)
Gain on early termination of lease (18.49)
Unrealised Foreign exchange gain (net) (184.77)
Realised/Unrealised gain on Mutual Funds (8.38) (11.08)
Interest Income (222.83) (92.21)
Operating Cash Generated Before Working Capital Changes 5,240.44 4,096.35
(Increase) / Decrease in Inventory (6,961.43) (5,267.54)
(Increase)/ Decrease in Trade Receivables (4,754.84) (3,655.22)
(Increase)/Decrease in Other financial assets 715.45 (635.60)
(Increase)/Decrease in other current assets (291.26) (266.22)
Increase/(Decrease) in Trade Payables 6,080.11 2,798.21
Increase/(Decrease) in Other current liabilities 256.03 (106.12)
Increase / (Decrease) in Short Term Provision 2.38 (4.28)
Increase / (Decrease) in Long Term Provision 3.96 6.85
Net Changes in working capital 290.82 (3,033.57)
Less : Tax (566.04) (284.13)
Net Cash Flow from Operating Activities (A) (275.22) (3,317.70)
B. Cash Flows From Investing Activities
Sale / (Purchase) of Fixed Assets and intangible assets (Including capital advances) (6,909.43) (53.19)
(Increase) / Decrease in Capital Work in Progress 1,910.47 (2,065.94)
Investment in Subsidiary Company (6.59)
Payment for Investment in subsidiary (456.92) (0.70)
Proceeds from sale of intangible assets 114.94
Fixed deposits placed (2,969.99)
Fixed and Corporate Deposits matured 10.03
Proceeds from sale of Mutual Funds 175.29
Interest Income 164.51 92.21
Net Cash Generated From Investing Activities (B) (7,971.15) (2,024.18)
C. Cash Flow From Financing Activities
Payments of lease liabilities (principal) (95.56) (73.92)
Payment of lease liability (Interest) (28.46) (23.48)
Proceeds / (Repayment) of Non-current Borrowings 1,996.36 (1.30)
Proceeds/ (Repayment) in current borrowings 8,807.73 6,607.84
Payment Received Towards Share Warrant 382.12
Finance costs paid (2,461.66) (1,523.64)
Net Cash from Financing Activities [C] 8,218.41 5,367.62
Net Increase / (Decrease) in Cash and Cash Equivalents (A+B+C) (27.96) 25.74
Opening Balance of Cash & Cash Equivalents 38.86 13.12
Closing Balance of Cash & Cash Equivalents 10.90 38.86

| Sr. No | PARTICULARS | 31-Mar-26 Audited | 31-Mar-25 Audited |
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