StockWatch
·

Tiger Logistics (India) Ltd

BSE: 536264

P/L Snapshot

Q1 FY27 · standalone

vs Q4 FY26·vs Q1 FY26
Revenue
154.13
-6.8%+48.2%
Expenditure
151.23
-6.9%+54.8%
Net Profit
2.17
-2.3%-53.9%
OPM %
1.82%
+0.79pp-3.93pp

Shareholding

Pattern breakdown

P/L Trends

(in crores)

RevenueExpenditureNet Profit
0.0047.8195.62143.43191.24Q2 FY25Q3 FY25Q4 FY25Q1 FY26Q2 FY26Q3 FY26Q4 FY26Q1 FY27
Price Chart
Reports

Tiger Logistics Q1 FY27: PAT falls 54% YoY to ₹2.17 Cr despite 49% revenue growth

logistics · margin compression · volume growth

ResultsQ1 FY2712 Aug 20263 minIndustrials & Infra
Latest
Quarterly Result12 Aug, 6:01 pm

Tiger Logistics Q1 FY27: PAT falls 54% YoY to ₹2.17 Cr despite 49% revenue growth

Tiger Logistics reported standalone (the only statement filed — no consolidated numbers) revenue from operations of ₹152.53 Cr for Q1 FY27, up 48.8% YoY from ₹102.52 Cr but down 6.2% sequentially from Q4 FY26's ₹162.55 Cr. Profit after tax came in at ₹2.17 Cr, down a sharp 53.9% YoY from ₹4.71 Cr, though nearly flat QoQ (-2.3% vs ₹2.22 Cr). EPS fell to ₹0.23 from ₹0.47 a year ago. No exceptional items appear in either period, so the YoY profit decline is a clean operational read, not a one-off distortion. The gap between strong topline growth and weak bottom line traces to costs outpacing revenue: operating expenses rose 60.3% YoY to ₹141.65 Cr versus 48.8% revenue growth, pushing the cost-to-revenue ratio to 92.9% from 86.2% a year ago. Finance costs also climbed 46.3% YoY to ₹1.24 Cr. Operating margin (EBITDA-equivalent, ex-other income) compressed to 1.82% from 5.75% YoY, and net margin to 1.41% from 4.53%. Sequentially there is a modest recovery off Q4 FY26's cyclical low (OPM 1.03%, NPM 1.34%), but both remain well below the year-ago run-rate. Management's prior concall (Feb 2026) gave only qualitative bullish guidance — strong volume growth via the TiGreen and auto verticals, stabilizing trade conditions — with no specific revenue or margin targets. The revenue delivery (+48.8% YoY) is broadly consistent with that framing even as margins tell a weaker story than the confident tone implied. No brokerage/street consensus estimates for this quarter were found in a search (thin analyst coverage typical of this small-cap), so vsStreet is unknown. No standalone management press release accompanying this filing was available to cross-check against the reported numbers. During the quarter the company secured a ₹4 Cr BHEL project (18 Jun 2026) and retained its investment-grade ratings (5 Jun 2026) — incremental positives not yet visible in the margin trend. With cost growth still outrunning revenue and finance costs rising alongside the capex plans (solar, hydrogen ventures) flagged in prior guidance, the test for next quarter is whether the sequential OPM recovery (1.03% to 1.82%) continues or whether operating leverage keeps margins compressed even as volumes grow.

12 Aug 2026, 06:01 pm

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