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Stovec Industries Q1 FY26 Profit Jumps to ₹16.63 Crore

May 7, 2026 2 mins read Firehose Gupta

Stovec Industries Limited — quarter ended March 31, 2026 (first quarter; period ended March 31, 2026)

Sr. No. Particulars Quarter ended 31/03/2026 Unaudited 31/12/2025 Unaudited (Refer Note 3) 31/03/2025 Unaudited Year ended 31/12/2025 Audited
I Revenue from operations 466.90 514.19 490.56 1,981.11
II Other Income 7.17 9.98 12.73 51.64
III Total Income (I + II) 474.07 524.17 503.29 2,032.75
IV Expenses
a) Cost of material consumed 236.63 181.33 286.75 959.42
b) Purchase of stock-in-trade 27.50 22.06 29.90 125.63
c) Changes in Inventories of work-in-progress, stock-in-trade and finished goods (15.55) 75.19 (58.21) (29.08)
d) Employee benefits expense 84.08 87.66 81.57 349.15
e) Finance costs 0.21 0.21
f) Depreciation and amortisation expense 13.24 13.53 15.47 57.56
g) Other expenses 107.59 142.59 113.27 478.34
Total Expenses 453.49 522.57 468.75 1,941.23
V Profit Before Tax (III – IV) 20.58 1.60 34.54 91.52
VI Tax expense
a) Current tax 8.34 7.11 12.11 36.76
b) Deferred tax (4.39) (7.15) (3.36) (14.22)
Total Tax expense 3.95 (0.04) 8.75 22.54
VII Profit for the period (V – VI) 16.63 1.64 25.79 68.98
VIII Other Comprehensive Income
Items that will not be reclassified to profit or loss :
(i) Remeasurements gain / (loss) on post-employment benefit plan 3.00 3.91 (2.33) (1.10)
(ii) Tax relating to above item (0.75) (0.98) 0.59 0.28
Other comprehensive income (net of tax) 2.25 2.93 (1.74) (0.82)
IX Total Comprehensive Income (VII + VIII) 18.88 4.57 24.05 68.16
X Paid – up equity share capital @ ₹ 10 face value 20.88 20.88 20.88 20.88
XI Other equity (excluding revaluation reserves) 1,296.91
XII Earnings per share of ₹ 10 each (not annualised):
a) Basic (₹) 7.96 0.79 12.35 33.04
b) Diluted (₹) 7.96 0.79 12.35 33.04
Particulars Quarter ended 31/03/2026 (Unaudited) Quarter ended 31/12/2025 (Unaudited – Refer Note 3) Year ended 31/03/2026 (Unaudited) Year ended 31/12/2025 (Audited)
Segment Revenue (Sales and Other Operating income)
– Textile Machinery and Consumables 441.60 490.26 474.50 1,888.78
– Graphics Consumables 25.30 23.93 16.06 92.33
Total segment revenue 466.90 514.19 490.56 1,981.11
Segment Results (Profit before Finance Costs and Tax)
– Textile Machinery and Consumables 46.02 33.65 57.58 184.00
– Graphics Consumables 11.81 11.13 8.91 43.76
Total Segment Results 57.83 44.78 66.49 227.76
Less : Finance costs 0.21 0.21
Less : Unallocable Expenditure Net of Unallocable Other Income 37.25 42.97 31.95 136.03
Profit Before Tax 20.58 1.60 34.54 91.52
Segment Assets
– Textile Machinery and Consumables 1,205.20 1,134.28 1,106.58 1,134.28
– Graphics Consumables 25.12 25.34 19.99 25.34
Total Segment Assets 1,230.32 1,159.62 1,126.67 1,159.62
– Others / Unallocable 585.04 516.64 561.27 516.64
Total Assets 1,815.36 1,676.26 1,687.84 1,676.26
Segment Liabilities
– Textile Machinery and Consumables 387.21 301.50 326.09 301.50
– Graphics Consumables 4.07 5.39 3.97 5.39
Total Segment Liabilities 391.28 306.89 330.06 306.89
– Others / Unallocable 87.41 51.58 84.10 51.58
Total Liabilities 478.69 358.47 414.16 358.47