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Sasken Q4 FY26: Revenue jumps, profit after tax at ₹2,900.19m

May 8, 2026 4 mins read Firehose Gupta

Sasken Technologies Limited — Quarter and year ended March 31, 2026

Sl. No. Particulars Quarter ended March 31, 2026 December 31, 2025 March 31, 2025 Year ended March 31, 2026 Year ended March 31, 2025
I Revenue from operations 33,402.41 25,012.54 14,801.10 111,316.84 55,091.38
II Other income 1,533.20 605.45 990.19 3,870.42 5,583.50
III Total income (I+II) 34,935.61 25,617.99 15,791.29 115,187.26 60,674.88
IV EXPENSES
Cost of materials consumed 8,493.28 2,899.78 23,734.49
Changes in inventories of finished goods and work-in-progress 63.62 (218.99) (232.57)
Employee benefits expense 17,039.49 15,779.24 11,531.44 63,117.87 42,952.15
Finance costs 75.11 117.18 71.39 400.42 277.36
Depreciation and amortization expense 1,031.82 1,028.09 361.81 3,900.24 1,396.38
Other expenses 4,489.54 3,989.89 2,561.56 15,853.73 9,848.16
Total expenses (IV) 31,192.86 23,595.19 14,526.20 106,774.18 54,474.05
V Profit before exceptional items and tax (III- IV) 3,742.75 2,022.80 1,265.09 8,413.08 6,200.83
VI Exceptional items (refer note 5) 830.80 830.80
VII Profit before tax (V-VI) 3,742.75 1,192.00 1,265.09 7,582.28 6,200.83
VIII Tax expense:
(1) Current tax 753.62 443.68 338.43 2,590.02 1,154.72
(2) Deferred tax 88.94 (165.64) (223.93) (872.31) (4.84)
Total Tax expense (VIII) 842.56 278.04 114.50 1,717.71 1,149.88
IX Profit after tax (VII-VIII) 2,900.19 913.96 1,150.59 5,864.57 5,050.95
X Other comprehensive income (OCI)
A) Items that will not be subsequently reclassified to profit or loss:
(i) Remeasurement of defined benefit plans (657.36) 80.17 (290.14) (617.11) (29.30)
(ii) Equity instruments through other comprehensive income (36.46) (33.81) 44.19 161.00 130.33
(iii) Income tax relating to items that will not be subsequently reclassified to profit or loss 195.80 (24.08) 62.61 115.85 (22.68)
B) Items that will be subsequently reclassified to profit or loss:
(i) Effective portion of gain / (loss) on hedging instruments on cash flow hedges (600.74) 141.14 (18.32) (740.20) (159.70)
(ii) Debt instruments through other comprehensive income (47.76) (7.95) (83.74) (8.18) 262.17
(iii) Exchange differences in translating financial statements of foreign operations 3,223.55 1,150.77 20.96 5,585.70 23.66
(iv) Income tax relating to items that will be reclassified to profit or loss 156.48 (27.12) 27.66 184.55 37.28
XI Total comprehensive income (IX+X) (comprising profit and other comprehensive income) 5,133.70 2,193.08 913.81 10,546.18 5,292.71
Profit attributable to:
Owners of the company 2,698.90 775.02 1,102.57 5,392.97 5,028.26
Non-controlling interests 201.29 138.94 48.02 471.60 22.69
2,900.19 913.96 1,150.59 5,864.57 5,050.95
Total comprehensive income attributable to:
Owners of the company 4,927.11 2,053.07 865.94 10,067.40 5,270.55
Non-controlling interests 206.59 140.01 47.87 478.79 22.16
5,133.70 2,193.08 913.81 10,546.19 5,292.71
XII Paid up equity share capital (face value: Rs 10 per share) 1,518.65 1,514.28 1,512.16 1,518.65 1,512.16
XIII Other equity* 83,956.37 77,252.49
XIV Earnings per equity share**
(1) Basic 17.79 5.12 7.29 35.61 33.30
(2) Diluted 17.72 5.09 7.25 35.43 33.04
Particulars As at March 31, 2026 As at March 31, 2025
ASSETS
(1) Non-current assets
Property, plant and equipment 4,384.12 3,514.80
Right of use Assets 2,614.94 2,454.12
Capital work-in-progress 7.48 70.41
Goodwill 19,996.71 1,004.72
Intangible assets 8,312.97 648.66
Financial assets
(i) Investments 19,681.88 39,317.58
(ii) Other financial assets 615.05 499.05
Deferred tax assets (net) 111.06 425.83
Other tax assets 8,249.39 7,377.46
Other non-current assets 9.39
Total non-current assets 63,982.99 55,312.63
(2) Current assets
Inventories 3,530.74
Financial assets
(i) Investments 8,027.26 19,823.32
(ii) Trade receivables 17,472.72 10,645.98
(iii) Cash and cash equivalents 5,720.93 3,320.15
(iv) Other bank balances 3,958.61 556.18
(v) Unbilled revenue 5,131.32 3,020.37
(vi) Derivative assets 82.27
(vii) Other financial assets 964.32 640.86
Contract assets 4,283.28 991.71
Other current assets 3,537.53 1,441.75
Total current assets 52,626.71 40,522.59
Total assets 116,609.70 95,835.22
EQUITY AND LIABILITIES
Equity
Share capital 1,518.65 1,512.16
Other equity 83,956.37 77,252.49
Total equity attributable to equity holders of the Company 85,475.02 78,764.65
Non-controlling interests 2,046.64 1,567.85
Total equity 87,521.66 80,332.50
LIABILITIES
(1) Non-current liabilities
Financial liabilities
(i) Lease liabilities 2,129.37 2,008.31
(ii) Other financial liabilities 479.69 553.15
Provisions 2,172.66 943.33
Total non-current liabilities 4,781.72 3,504.79
(2) Current liabilities
Financial liabilities
(i) Lease liabilities 682.11 549.86
(i) Trade payables
Outstanding dues to micro and small enterprises 105.08 55.42
Outstanding dues to creditors other than micro and small enterprises 3,303.24 1,494.53
(iii) Other financial liabilities 5,628.27 1,876.87
(iv) Derivative liabilities 817.90 150.13
Deferred revenue 3,957.26 884.25
Other current liabilities 3,688.34 2,489.71
Provisions 2,929.02 2,379.63
Income tax liabilities (net) 3,195.10 2,117.53
Total current liabilities 24,306.32 11,997.93
Total equity and liabilities 116,609.70 95,835.22
Particulars For the year ended March 31, 2026 For the year ended March 31, 2025
Cash flows from operating activities
Profit before tax 7,582.28 6,200.83
Adjustments for:
Depreciation and amortization expense 3,900.24 1,396.38
Dividend income (201.59) (114.75)
Interest income (1,430.67) (1,739.04)
Gain on sale of investments (197.31) (465.60)
Gain on fair value changes of financial assets and liabilities (1,054.16) (3,183.83)
Profit on sale of property, plant and equipment (42.62) (5.17)
ESOP compensation cost 419.45 380.26
Exchange differences on translation of assets and liabilities 2,968.45 (61.16)
Finance charges 400.42 277.36
Write back of unclaimed balances (95.07)
Others 9.84 (5.20)
Operating profit before working capital changes 12,354.33 2,585.01
Changes in assets and liabilities:
Inventories (3,530.74)
Trade receivables, unbilled revenue & contract assets (11,016.45) (4,980.16)
Other financial assets and other assets (914.82) (2,940.46)
Trade payables and deferred revenue 4,352.49 (1,969.04)
Provisions, other financial liabilities and other liabilities (3,804.58) 1,512.09
Cash generated from /(used in) operating activities (2,559.77) (5,792.56)
Income taxes (paid)/refund , net 276.29 76.67
Net cash generated from /(used in) operating activities (A) (2,283.48) (5,715.89)
Cash flows from investing activities
Interest received 1,230.42 1,441.55
Dividend received 201.59 114.75
Proceeds from sale of property, plant and equipment 45.45 12.19
Acquisition of property, plant and equipment (1,271.09) (993.47)
Payments to acquire investments (32,549.28) (50,844.49)
Acquisition of subsidiaries and business net of cash acquired (22,537.61)
Proceeds from sale of investments 65,650.02 58,904.99
Investment in bank deposits (1,527.39) (286.27)
Net cash generated from investing activities (B) 9,242.11 8,349.25
Cash flows from financing activities
Dividend paid (3,782.94) (3,772.89)
Proceeds from equity share capital 6.49 4.36
Lease payments (1,087.40) (875.27)
Net cash used in financing activities (C) (4,863.85) (4,643.80)
Net increase /(decrease) in cash and cash equivalents (A+B+C) 2,094.78 (2,010.45)
Cash and cash equivalents at the beginning of the year 3,320.15 5,245.77
Effect of exchange rate changes on cash and cash equivalents 306.00 84.82
Cash and cash equivalents at the end of the year 5,720.93 3,320.15

| Sl. No. | Particulars | Quarter ended March 31, 2026 | Quarter ended December 31, 2025 | Quarter ended March 31, 2025 | Year ended March 31, 2026 | Year ended March 31, 2025 |
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