
Sati Poly Plast Limited Approves Audited Financial Results for FY 2026
Sati Poly Plast Limited, which was previously known as Sati Poly Plast Private Limited, has announced the results of its Board Meeting held on May 30, 2026. During the meeting, the Board considered and approved the Audited Standalone Financial Results for the half year and the full year ended on March 31, 2026. The company also submitted the required standalone audited financial statements, including the Balance Sheet, Cash Flow Statement, and Profit and Loss Account, along with the audit report.The Company's financial statements for the period were audited by M/s Keyur Shah & Associates, Chartered Accountants, who issued an audit report with an unmodified opinion on the Standalone Audited Financial Results for the half year and year ended March 31, 2026.
Financial Position Highlights (as of March 31, 2026)
The Balance Sheet data shows the company’s overall equity and liabilities structure for the fiscal year ended March 31, 2026, compared to the previous year.| Particulars | As at 31st March 26 (Audited) (INR in lakhs) | As at 31st March 25 (Audited) (INR in lakhs) |
|---|---|---|
| Total Equity | 1,961.53 | 1,616.21 |
| Total Non-Current Liabilities | 183.65 | 533.63 |
| Total Current Liabilities | 1,023.13 | 987.35 |
| TOTAL EQUITY & LIABILITIES | 7,463.65 | 6,096.77 |
| TOTAL ASSETS | 7,463.65 | 6,096.77 |
Note: The company's total equity increased to 1,961.53 INR lakhs, while total non-current liabilities decreased from 533.63 INR lakhs to 183.65 INR lakhs.
Profit and Loss Statement Summary
The Profit and Loss Account provides a comparative view of the company's operational performance.| Particulars | For Half Year Ended 31st March 26 (Audited) (INR in lakhs) | For Year Ended 31st March 25 (Audited) (INR in lakhs) |
|---|---|---|
| Revenue from Operations | 10,690.11 | 15,609.44 |
| Other income | 28.82 | 3.00 |
| Total income | 10,718.93 | 15,612.44 |
| Cost of Materials Consumed | 4,690.44 | 12,435.63 |
| Employee Benefit Expense | 80.85 | 210.85 |
| Finance Costs | 75.96 | 83.35 |
| Net Profit/(Loss) After Tax | 262.83 | 1,055.46 |
Cash Flow from Operating Activities
The Cash Flow Statement details the cash generated and consumed by the company during the year.| Particulars | For the year ended 31st March 26 (Audited) (INR in lakhs) | For the year ended 31st March 25 (Audited) (INR in lakhs) |
|---|---|---|
| Net Profit Before Tax Paid | 499.32 | 1,137.96 |
| Operating Profit Before Working Capital Changes | 765.06 | (954.94) |
| Total Changes in Working Capital | 319.61 | 241.59 |
| Cash Generated From Operations | 445.45 | (1,196.53) |
| Taxes Paid (Net Of Refund) | (5.33) | (129.83) |
| Net Cash Generated From Operations | 440.12 | (1,326.36) |
| Net Cash Used In Financing Activities | (456.10) | 55,552 |
| Net Increase/Decrease in Cash and Cash Equivalents | (25.87) | (239.74) |
| Cash and Cash Equivalents ending of the Period | 26.49 | 52.36 |
The company’s total assets stood at 7,463.65 INR lakhs as of March 31, 2026, compared to 6,096.77 INR lakhs the previous year. Key asset components included Property, Plant & Equipment, which was valued at 462.95 INR lakhs, and Inventories, which amounted to 2,955.60 INR lakhs.
SATIPOLY Stock Price Movement
Sati Poly Plast Limited shares closed flat on Friday, settling at ₹35.05 after making a marginal 0.00% move for the session. The stock traded within a defined band, recording movement between ₹33.30 and ₹36.80.Disclaimer: Due care and diligence have been taken in compiling and presenting news and market-related content. However, errors or omissions may arise despite such efforts.
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