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Orbit Exports Q1 FY26 Revenue and Profit Snapshot

May 9, 2026 4 mins read Firehose Gupta

Orbit Exports Limited — Quarter and year ended March 31, 2026

S. No. Particulars Quarter ended March 31, 2026Refer Note 3 Quarter ended December 31, 2025 (Unaudited) Quarter ended March 31, 2025Refer Note 3 Year ended March 31, 2026 (Audited) Year ended March 31, 2025 (Audited)
1 Income
(a) Revenue from Operations 4,594.07 5,306.79 4,800.91 21,473.36 20,582.42
(b) Other Operating Income 94.35 110.05 109.93 429.05 407.23
2 Other Income (182.60) 112.51 89.66 789.72 1,293.18
3 Total Income 4,505.82 5,529.35 5,000.50 22,692.13 22,282.83
4 Expenses
(a) Cost of materials consumed 2,637.78 1,955.20 2,090.87 8,729.22 7,918.67
(b) Changes in inventories of finished goods and work-in-progress (1,001.57) 3.86 (432.67) (532.16) (336.61)
(c) Employee benefits expense 903.09 986.01 833.22 3,527.55 3,005.00
(d) Finance costs 42.54 26.08 40.77 140.73 185.14
(e) Depreciation and amortisation expense 391.16 376.41 358.30 1,467.42 1,428.55
(f) Other expenses 1,330.11 1,281.79 1,296.18 5,177.12 4,977.71
Total Expenses 4,303.11 4,629.35 4,186.67 18,509.88 17,178.46
5 Profit before exceptional items and Tax 202.71 900.00 813.83 4,182.25 5,104.37
6 Exceptional items
7 Profit before tax 202.71 900.00 813.83 4,182.25 5,104.37
8 Tax expenses
(a) Current Tax 166.81 250.08 256.42 1,214.71 1,179.26
(b) Tax adjustments for earlier years (6.30) 0.01 (5.20) 33.64
(c) Deferred Tax (108.04) 13.30 (32.90) (141.42) 111.46
9 Net Profit for the period after tax 150.24 636.62 590.30 3,114.16 3,780.01
10 Other Comprehensive Income
(a) Items that will not be re-classified to profit / (loss):
(i) Re-measurement of the defined benefit plan 13.76 (22.50) 14.26 (9.40) (1.33)
(ii) Tax impact of above items (3.46) 5.66 (3.59) 2.37 0.33
Total Other Comprehensive Income 10.30 (16.84) 10.67 (7.03) (1.00)
11 Total Comprehensive Income 160.54 619.78 600.97 3,107.13 3,779.01
12 Paid-up Equity Share Capital (Face value ₹ 10/- per share) 2,651.12 2,651.12 2,646.97 2,651.12 2,646.97
13 Other Equity 25,606.66 22,475.16
14 Basic EPS(*) 0.57 2.40 2.23 11.75 14.28
15 Diluted EPS(*) 0.57 2.40 2.24 11.74 14.26
Particulars Audited As at March 31, 2026 Audited As at March 31, 2025
ASSETS
1. NON-CURRENT ASSETS
a. Property, Plant and Equipment 13,317.91 13,035.00
b. Capital work-in-progress 22.21 325.23
c. Other Intangible assets 39.09 37.10
d. Intangible assets under development 107.98
e. Right of Use Assets 1,202.96 363.98
f. Financial Assets
  i) Investments 9,821.04 5,951.24
  ii) Other financial assets 798.48 416.98
g. Other Non-Current Assets 31.68 49.34
Total Non-current Assets 25,341.35 20,178.87
2. CURRENT ASSETS
a. Inventories 4,557.58 4,171.51
b. Financial Assets
  i) Investments 250.98 838.86
  ii) Trade receivables 2,679.01 3,405.65
  iii) Cash and cash equivalents 266.18 83.85
  iv) Bank balances other than (iii) above 127.43 40.20
  v) Loans 47.23 45.91
  vi) Other financial assets 344.24 1,024.72
c. Other Current Assets 1,102.95 1,028.84
Total Current Assets 9,375.60 10,639.54
Total Assets 34,716.95 30,818.41
EQUITY AND LIABILITIES
1. EQUITY
a. Equity Share capital 2,651.12 2,646.97
b. Other Equity 25,606.66 22,475.16
Total Equity 28,257.78 25,122.13
2. NON-CURRENT LIABILITIES
a. Financial Liabilities
  i) Borrowings 246.29 274.41
  ii) Lease Liabilities 968.40 283.77
  iii) Other financial liabilities
b. Deferred tax liabilities (net) 1,035.17 1,178.96
c. Other Non-Current Liabilities 204.91 255.31
d. Provisions 396.20 277.23
Total Non-current Liabilities 2,850.97 2,269.68
3. CURRENT LIABILITIES
a. Financial Liabilities
  i) Borrowings 227.25 818.55
  ii) Lease Liabilities 190.83 134.27
  iii) Trade payables
   Total outstanding dues of Micro Enterprises and Small Enterprises 174.29 164.84
   Total outstanding dues of creditors other than Micro and Small Enterprises 1,215.63 1,250.47
  iv) Other financial liabilities 433.15 372.04
b. Other Current Liabilities 1,228.14 633.87
c. Provisions 43.74 40.90
d. Current Tax Liabilities (net) 95.17 11.66
Total Current Liabilities 3,608.20 3,426.60
Total Equity and Liabilities 34,716.95 30,818.41
Particulars Year Ended March 31, 2026 Audited Year Ended March 31, 2025 Audited
Cash flow from operating activities
Profit before tax 4,182.25 5,104.37
Non-cash Adjustment to Profit Before Tax:
  Depreciation and amortisation expense 1,467.42 1,428.55
  Interest expenses 140.73 185.14
  Bad debts written off 80.48 51.65
  Amortisation of deferred revenue (302.84) (99.15)
  Unrealised foreign exchange (gain)/loss (66.38) 17.25
  Fair value loss/(gain) on Financial Instruments measured at FVTPL 357.17 (132.84)
  Loss/(Gain) on sale of Non current and Current investments 148.13 (12.51)
  Mark-to-market loss on derivative financial instruments 6.54 3.86
  Loss/(Profit) on sale/disposal of Property Plant Equipment 16.31 (760.83)
  Provision for gratuity 124.64 62.28
  Interest income (308.51) (170.58)
  Dividend income (11.49) (0.22)
  Provision for Bad and Doubtful debts 6.32 24.81
  Liabilities no longer required written back/Others (5.72) (25.51)
  Interest income on financial asset at amortised cost (2.51) (2.36)
  Employee Share Based Payments 5.28 7.60
Operating Profit before Change in operating assets and liabilities 5,837.82 5,681.51
Change in operating assets and liabilities :
  Decrease/(Increase) in trade receivables 712.29 (1,055.57)
  Increase in inventories (386.07) (449.84)
  Decrease in other financial assets 76.24 87.49
  (Increase)/Decrease in other current / non-current assets (51.73) 18.80
  (Decrease)/Increase in trade payables (25.39) 308.73
  Decrease in provisions (12.23) (19.79)
  Increase/(Decrease) in other current/non-current liabilities 659.30 (48.18)
  Increase in Other financial liabilities 71.31 56.42
Cash generated from operations 6,881.54 4,579.57
  Direct taxes paid (net of refunds) (1,126.00) (1,271.09)
Net cash flow from operating activities (A) 5,755.54 3,308.48
Cash flow from investing activities
Payments for acquisition of property, plant and equipment including capital advances & ROU (1,330.54) (519.88)
Proceeds from Sale of Property plant and equipment 12.68 854.48
Disbursements of loans given(net) (1.32) (40.25)
Interest Received 302.48 170.58
Dividend Received 11.17 0.19
Redemption of fixed deposit 897.62 1,104.69
Investments made in fixed deposit (704.19) (206.14)
Purchase of non current investments (10,764.03) (4,623.46)
Purchase of current investments (249.99) (2,124.89)
Proceeds from redemption of non current investments 6,425.56 1,312.49
Proceeds from redemption of current investments 850.76 1,558.78
Advance given for investment (98.18) (54.06)
Net cash flow used in investing activities (B) (4,647.98) (2,567.47)
Cash flow from Financing Activities
(Repayments of)/Proceeds from current borrowings (591.30) 25.76
Repayments of non-current borrowings (28.12) (683.27)
Proceeds from Issue of Equity Shares 19.09 21.27
Security Premium Received 4.15 4.63
Repayment of Lease liabilities (239.36) (222.30)
Dividend deposited with Investor Education Protection Fund (0.66) (2.39)
Interest and finance charges (