Sterling Powergensys Ltd Resubmits Audited Financial Results for FYE 2026; Net Profit Reported at INR 98.55 Lakhs

Sterling Powergensys Ltd Resubmits Audited Financial Results for FYE 2026; Net Profit Reported at INR 98.55 Lakhs

Sterling Powergensys Ltd Resubmits Audited Financial Results for FYE 2026; Net Profit Reported at INR 98.55 Lakhs​

Sterling Powergensys Ltd has resubmitted its audited standalone financial results and the corresponding auditor's report for the quarter ended March 31, 2026, along with the annual results for the financial year ended March 31, 2026. The company reported a Net Profit after Tax of INR 98.55 Lakhs for FYE 2026.

The resubmission confirms that there are no changes to the Audited Standalone Financial Results or the Auditor's Report previously submitted by the company. The results, which reflect performance across multiple reporting periods, provide insights into the company’s operational and financial standing.

Financial Performance Highlights (INR in Lakhs)​

The company’s Income from Operations reached INR 2441.07 Lakhs for the full financial year ended March 31, 2026, compared to INR 1390.02 Lakhs in the previous year. Total Expenditure stood at INR 2307.52 Lakhs for the fiscal year, against INR 1371.12 Lakhs in the prior period.

The key metrics related to profitability across the periods are detailed below:

ParticularsFull Year Ended March 31, 2026 (Audited)Full Year Ended March 31, 2025 (Audited)
Revenue from Operations2380.051260.40
Other Income61.01129.62
Total Income from Operations2441.071390.02
Total Expenditure2307.521371.12
Profit/Loss before extra-ordinary items and Tax133.5518.89
Net Profit after Tax for the year98.5518.89

Balance Sheet Status Comparison​

The company’s balance sheet data as of March 31, 2026, shows the total assets at INR 1668.62 Lakhs, a decrease from the previous year's total assets of INR 2029.00 Lakhs.

Details comparing key components of Assets and Equity are presented below:

ParticularsAs at March 31, 2026 (INR in Lakhs)As at March 31, 2025 (INR in Lakhs)
Total Assets1,668.622,029.00
Total Equity138.4032.57
Non-current Liabilities (Total)249.52276.77
Current Liabilities (Total)1,280.701,719.66

Financial structure also shows changes in the liabilities side:

ParticularsAs at March 31, 2026 (INR in Lakhs)As at March 31, 2025 (INR in Lakhs)
Equity Share Capital526.26526.26
Other Equity(387.86)(493.69)
Total Liabilities1,530.221,996.42

Cash Flow Analysis​

The statement of cash flows indicates that the Net Cash from Operating Activities for the year ended March 31, 2026, was (INR 5.11) Lakhs, compared to (INR 91.76) Lakhs in FYE 2025.

Cash generated from investing activities stood at 45.92 Lakhs for the year ended March 31, 2026, primarily due to proceeds from disposal of property and plant and equipment, compared to (INR 15.42) Lakhs in FYE 2025.

Financing activities resulted in a Net cash usage of (INR 41.39) Lakhs for the fiscal year, after accounting for borrowings and interest payments. The overall net increase in cash and cash equivalents was (INR 0.57) Lakhs as of March 31, 2026, down from (INR 49.21) Lakhs in FYE 2025.

Audit Opinion​

The company confirmed that its Statutory Auditors have issued an unqualified opinion on the Audited Financial Results for the financial year ended March 31, 2026.

Stock Price Movement​

Sterling Powergensys Ltd's shares are edging higher as of 14:56, currently standing at ₹33.59 and ticking up by 4.84% from the previous close. The stock has been active during the trading session, moving between an intraday low of ₹31.00 and a high of ₹33.64.
 

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