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Axtel Industries Q1 FY26: Profit jumps to ₹1,479 crore

May 7, 2026 4 mins read Firehose Gupta

Axtel Industries Limited — Quarter and year ended 31-03-2026 (Date: 07-05-2026)

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Sr. No. Particulars Quarter Ended 31-03-2026 (Audited) * Quarter Ended 31-12-2025 (Unaudited) Quarter Ended 31-03-2025 (Audited) Year Ended 31-03-2026 (Audited) Previous Year 31-03-2025 (Audited)
1 Income From Operation
Sales/Income from Operations 7,057.37 5,863.11 3,760.88 22,376.69 17,855.87
Other Income 102.17 143.88 137.24 592.94 466.54
Total Income 7,159.54 6,006.99 3,898.12 22,969.63 18,322.42
2 Expenditure
Cost Of Material consumed 2,665.74 2,284.65 1,742.57 9,194.07 7,708.88
Purchase of Stock in trade
Change in inventories of finished goods, WIP, Stock in trade 273.36 298.48 (11.19) 290.05 1,075.24
Employee Benefits Expenses 1,179.87 1,113.55 975.78 4,305.84 4,041.16
Finance Costs 10.75 9.26 28.33 25.18 67.98
Depreciation 128.46 134.69 111.56 496.64 387.92
Other expense 1,421.98 1,083.58 602.05 4,517.45 2,647.96
Total Expense 5,680.15 4,924.21 3,449.11 18,829.23 15,929.15
3 Profit (+) / Loss (-) from ordinary activities after Finance costs but before exceptional items (1 (-) 2) 1,479.39 1,082.78 449.01 4,140.40 2,393.27
4 Exceptional items
5 Profit (+) /Loss (-) before tax (3 (-) 4) 1,479.39 1,082.78 449.01 4,140.40 2,393.27
6 Tax Expense
Current tax 330.10 260.53 (30.05) 972.42 593.69
Deferred tax 32.92 24.32 3.07 52.02 (2.94)
Total Tax Expense 363.02 284.85 (26.98) 1,024.45 590.75
7 Profit (+) / Loss (-) for the period from continuing operations (5 (-) 6) 1,116.37 797.93 475.99 3,115.95 1,802.52
8 Profit (+) / Loss (-) from discontinued operations
9 Tax expense of discontinued operations
10 Profit (+) / Loss (-) from discontinued operations (after tax) (8 (-) 9)
11 Profit (+) / Loss (-) for the period (7 (-) 11) 1,116.37 797.93 475.99 3,115.95 1,802.52
12 Other comprehensive Income 26.94 (9.38) 6.69 (1.18) (37.50)
Sr. No. Particulars Quarter Ended 31-03-2026 (Audited) * Quarter Ended 31-12-2025 (Unaudited) Quarter Ended 31-03-2025 (Audited) Year Ended 31-03-2026 (Audited) Previous Year 31-03-2025 (Audited)
13 Total Comprehensive Incomes (11 (+) 12) 1,143.31 788.55 482.68 3,114.77 1,765.01
14 Paid up equity share capital (Face value Rs.10 per share) 1,615.48 1,615.48 1,615.48 1,615.48 1,615.48
15 Earning per share (For continuing operation)
Basic – Rs. 6.91 4.94 2.95 19.29 11.16
Diluted – Rs. 6.91 4.94 2.95 19.29 11.16
16 Earning per share (For discontinued operation)
Basic – Rs.
Diluted – Rs.
17 Earning per share (For discontinued & continuing operations)
Basic – Rs. 6.91 4.94 2.95 19.29 11.16
Diluted – Rs. 6.91 4.94 2.95 19.29 11.16
Sr. No. Particulars As At 31-03-2026 (Audited) As At 31-03-2025 (Audited)
1 Asset
Non-current Assets: 3,686.09 3,450.44
(a) Property, Plant and Equipment 3,089.99 2,761.20
(b) Capital work-in-progress 34.87 84.27
(c) Investment Property
(d) Goodwill
(e) Other Intangible assets 48.29 38.22
(f) Intangible assets under development
(g) Biological Assets other than bearer plants
(h) Financial Assets
(i) Investments
(ii) Trade receivables
(iii) Loans & Advance 322.54 331.72
(iv) Others 2.23 3.71
(i) Deferred Tax Assets (Net) 174.24 225.87
(j) Other non-current assets 13.93 5.44
Current Assets: 17,877.44 15,404.09
(a) Inventories 3,312.68 3,736.70
(b) Financial Assets
(i) Investments 8,127.98 5,719.63
(ii) Trade receivables 4,513.43 3,259.93
(iii) Cash and cash equivalents 1,646.61 2,240.22
(iv) Bank balances other than (iii) above
(v) Loans & Advances 2.77
(vi) Others Financial Assets 44.94 14.32
(c) Current Tax Assets (Net) (27.37) 69.59
(d) Other current assets 259.18 360.94
Total Assets 21,563.53 18,854.53
2 Equity and Liabilities
Sr. No. Particulars 31-03-2026 (Audited) 31-03-2025 (Audited)
Equity: 12,465.07 12,258.16
(a) Equity Share capital 1,615.48 1,615.48
(b) Other Equity 10,849.59 10,642.68
Liabilities:
Non-current Liabilities: 561.78 408.62
(a) Financial Liabilities
_ (i) Borrowings_
_ (ii) Trade payables_
_ (iii) Other financial liabilities (Other than those specified in item (b). to be specified)_
(b) Provisions 561.78 408.62
(c) Deferred tax liabilities (Net)
(d) Other non-current liabilities
Current Liabilities: 8,536.69 6,187.74
(a) Financial Liabilities
_ (i) Borrowings_
_ (ii) Trade payables_
(A) Dues to MSME Enterprise 1,987.94 1,648.71
(B) Dues to Other Than MSME Enterprise 1,256.76 776.91
_ (iii) Other financial liabilities (Other than those specified in item C)_ 1,145.99 681.75
(c) Current Liabilities (Net) 4,146.00 3,020.85
(d) Provisions 59.52
Total Equity and Liabilities 21,563.53 18,854.53
No. Description
1 Previous period figures have been regrouped wherever considered necessary to conform to the current period.
2 The above result as reviewed by the Audit committee, has been approved at the meeting of the Board of Directors of the Company held on 07-05-2026.
Sr. No. Particulars As On 31-03-2026 (Audited) As On 31-03-2025 (Audited)
1 Cash flows from operating activities:
A Profit before taxation – continuing operations 4,140.398 2,393.268
B Adjustments For:
Depreciation and amortization expense 496.637 387.921
Loss/gain on sale/W-off of Property Plant and Equipments /MF (0.073) (1.901)
Loss/Gain on Current Fin-Assets measured at FVTPL 59.478 (192.865)
Loss/Gain on Sale of MFs (463.072) (132.313)
Interest received (23.746) (18.438)
Finance Costs 25.178 67.980
Exceptional/Extra Ordinary Items – Keyman Insurance
Net Exchange differences
94.403 110.384
C Operating profit before working capital changes (A+B) 4,234.801 2,503.651
D Changes in Working Capital:
(Increase)/decrease in trade and other receivables (1,080.459) 1,568.792
(Increase)/decrease in inventories 424.015 1,476.473
Increase/(decrease) in trade payables and other Liabilities 2,500.519 (1,751.236)
1,844.075 1,294.029
E Cash generated from operations (C+D) 6,078.876 3,797.680
F Income taxes paid/refund (Net) 972.420 593.694
G Cash flow before extraordinary item (E-F) 5,106.455 3,203.987
H Proceeds from extraordinary item
I Net cash from operating activities (G+H) 5,106.455 3,203.987
2 Cash flows from investing activities:
Purchase of property, plant and equipment (including Capital Work in Process) (786.087) (697.792)
Proceeds from sale of property, plant and equipment 0.073 2.298
Sale/(Purchase) of Investments (net) (2,004.757) (1,872.416)
Interest received 23.746 18.438
Net cash from investing activities (2,767.025) (2,549.472)
3 Cash flows from financing activities:
Proceeds from Issuance of Equity Share capital
Proceeds from long term borrowings
Proceeds / (Repayment) of short term borrowings
Interest and Finance cost paid (25.178) (67.980)
Dividend paid and DDT (2,907.864) (807.740)
Net cash from financing activities (2,933.042) (875.720)
Sr. No. Particulars As On 31-03-2026 (Audited) As On 31-03-2025 (Audited)
4 Net increase/(decrease) in cash and cash equivalents (1+2+3) (593.612) (221.206)
5 Cash and cash equivalents at beginning of reporting period 2,240.217 2,461.423
6 Cash and cash equivalents at end of reporting period (4+5) 1,646.605 2,240.217
Sr. No. Particulars Amount on 31-03-2026 Amount on 31-03-2025
1 Cash on hand and bank balances 1,646.605 2,240.217
2 Short term investments
3 Cash and cash equivalents as reported (1+2) 1,646.605 2,240.217
4 Effect on exchange rate changes
5 Cash and cash equivalents as restated (3+4) 1,646.605 2,240.217