StockWatch
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SUTLEJ TEXTILES & INDUSTRIES LTD.

BSE: 532782

P/L Snapshot

Q1 FY27 · standalone

vs Q4 FY26·vs Q1 FY26
Revenue
704.37
+0.7%+16.7%
Expenditure
700.21
-0.8%+9.0%
Net Profit
2.69
+110.8%+110.5%
OPM %
5.73%
+4.24pp+5.74pp

Shareholding

Pattern breakdown

P/L Trends

(in crores)

RevenueExpenditureNet Profit
-115.93111.79339.51567.24794.96Q2 FY25Q3 FY25Q4 FY25Q1 FY26Q2 FY26Q3 FY26Q4 FY26Q1 FY27
Price Chart
Reports

Sutlej's Inflection Hinges on Execution, Not Yet Proved

EBITDA recovery · profitability quality · value-addition execution

Result verdictFollow-upQ1 FY2717 Aug 20266 minConsumer & Retail

EBITDA inflection masks razor-thin net profit; execution risk remains

margin expansion · value-addition · home textiles

TranscriptDeep diveQ1 FY2717 Aug 20266 minConsumer & Retail

Sutlej Textiles turns profitable in Q1 FY27, consolidated PAT swings from ₹30 Cr loss YoY

yarn segment · margin expansion · profit turnaround

ResultsQ1 FY2706 Aug 20263 minConsumer & Retail
Latest
Board Meeting6 Aug, 12:49 pm

Sutlej Textiles turns profitable in Q1 FY27, consolidated PAT swings from ₹30 Cr loss YoY

Sutlej Textiles' consolidated Q1 FY27 print shows a swing to profit: PAT of ₹0.85 Cr against a loss of ₹30.10 Cr in the year-ago quarter and ₹18.18 Cr in the preceding quarter (Q4 FY26), on consolidated revenue up 15.4% YoY (0.7% QoQ) to ₹697.84 Cr. Standalone PAT was higher at ₹2.69 Cr (EPS ₹0.16) versus consolidated EPS ₹0.05 — the gap traces to the ₹1.83 Cr net loss booked at the US subsidiaries. A search for street estimates on this specific quarter turned up only board-meeting and earnings-call-schedule coverage, not consensus figures, so vsStreet is unknown rather than a genuine miss or beat. The turnaround is margin-led and concentrated in one segment. Computed EBITDA margin improved to roughly 5.5% of revenue from -0.6% a year ago, and nearly the entire swing traces to Yarn, whose segment profit before interest and tax jumped to ₹24.06 Cr from -₹14.75 Cr YoY and ₹9.21 Cr in Q4 FY26 — materials cost grew slower than revenue and a large positive swing in inventory (₹70.95 Cr) also aided the print. Home textile stayed loss-making at -₹2.05 Cr, a wider loss than Q4 FY26's -₹1.32 Cr, even though home-textile revenue grew 13.3% YoY to ₹48.70 Cr. Finance costs also rose, to ₹18.33 Cr from ₹17.17 Cr YoY and ₹17.00 Cr QoQ. On the Q4 FY26 concall, management called FY27 an 'inflection year' — return to profitability with meaningful EBITDA expansion from a pivot to value-added products, significant home-textile growth on a strong order book, a calibrated technical-textiles entry, and cost discipline improving debt metrics. This quarter's swing to profit and Yarn's margin expansion track the first plank; the home-textile growth and debt-metric planks don't show up yet — the segment remains loss-making with a worsening sequential trend, and finance costs rose rather than fell. No management press release was available in the record to check management's own framing against these numbers. The quarter's other developments (two VP-Raw Materials resignation announcements on 17 and 20 July 2026, and routine AGM/FY26 annual-report filings) don't bear directly on the P&L.

6 Aug 2026, 12:49 pm

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