Sabar Flex India Limited Announces Audited Financial Results for Fiscal Year Ending March 31, 2026

Sabar Flex India Limited Announces Audited Financial Results for Fiscal Year Ending March 31, 2026

Sabar Flex India Limited Announces Audited Financial Results for Fiscal Year Ending March 31, 2026​

Sabar Flex India Limited released its audited consolidated financial results for the period ended March 31, 2026. The company's board of directors approved the audited financial statements, including results for the half-year ended and the full year ended March 31, 2026.

The financial results provide an overview of the group's performance across key metrics, including revenue, expenses, and the company's financial position as of March 31, 2026.

Consolidated Statement of Financial Results (Rs. in Lakhs)​

The consolidated financial statements detail the company's revenue, costs, and profitability for both the full year 2026 and the half-year 2026.

Statement of Consolidated Audited Financial Results

Particulars31/03/2026 (Half Year)30/09/2025 (Half Year)31/03/2026 (Full Year)31/03/2025 (Full Year)
Total Revenue (I + II)8,272.842,193.0210,465.8514,772.11
Cost Of Material Consumed8,022.482,069.1310,091.6114,163.64
Total Expenses8,258.722,180.2910,438.9914,669.73
Profit/(Loss) for the period/year1,3151,2742,5897,051
Basic Earnings per share (Full Year)0.130.37
Diluted Earnings per share (Full Year)0.100.28

Note: Full Year figures for Profit/(Loss) reflect ₹2,589 Lakhs and ₹7,051 Lakhs, respectively. For the Half-Year ended March 31, 2026, Profit/(Loss) is ₹1,315 Lakhs.

Financial Position and Cash Flow​

The consolidated balance sheet and cash flow statement provide insight into the company's assets, liabilities, and operational cash movement.

Consolidated Balance Sheet (Rs. in Lakhs)

ParticularsAs at March 31, 2026 (Audited)As at March 31, 2025 (Audited)
Share capital1,921.941,921.94
Reserves and surplus9,823.391,480.97
Long term borrowings1,801.291,004.66
Short-term Borrowings1,658.451,443.50
Total Equity and Liabilities19,169.307,440.25
Inventories1,956.392,072.02
Trade Receivables7,725.803,744.71
Cash and cash equivalents1,02823.60
Other current assets5,091.6316,541
TOTAL ASSETS19,169.307,440.25

Consolidated Cash Flow Statement (Rs. in Lakhs)

ParticularsYear Ended March 31, 2026Year Ended March 31, 2025
Net Cash flow from Operating Activities719,557616.72
Net Cash flow used in Investing Activities(136.10)(1,466)
Net Cash flow from Financing Activities92,721567.17
Net Increase/ (Decrease) in Cash and Cash Equivalents719,557616.72
Cash and cash equivalents at the end of the period/year1,02823.60

The company's overall financial reporting process, covering the period up to March 31, 2026, was also subject to an unqualified opinion from the statutory auditors.

SABAR Stock Price Movement​

Shares of Sabar Flex India Limited slipped by 4.46% on Friday, settling at ₹5.35. The stock finished the session with a total traded volume of 5,000 shares.
 

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