Peeti Securities Limited held its Board Meeting on May 27, 2026, which commenced at 02:00 p.m. IST and concluded at 2:45 p.m. IST. The Board considered and approved the following items:
- Audited Financial results for the fourth quarter and financial year ended 31st March, 2026
- Audited Assets & Liabilities Statement for the year ended 31st March, 2026
- Cash Flow Statement for the year ended 31st March, 2026
- Audit Review Report for the Quarter and year ended 31st March, 2026
- Declaration for Unmodified Opinion for the financial year ended 31st March 2026
Financial Results (Rupees in Lakhs)
Quarter Ended 31-Mar-2026:
- Revenue from Operations: ₹703.97
- Other Income: ₹4.93
- Total Revenue: ₹708.90
- Total Expenses: ₹697.44
- Profit Before Tax: ₹11.46
- Tax Expense: ₹2.75
- Net Profit: ₹8.71
- Other Comprehensive Income: -₹31.07
- Total Comprehensive Income: -₹22.36
- Basic EPS: ₹0.23
- Diluted EPS: ₹0.23
Financial Year Ended 31-Mar-2026:
- Revenue from Operations: ₹2,352.30
- Other Income: ₹12.05
- Total Revenue: ₹2,364.35
- Total Expenses: ₹2,353.36
- Profit Before Tax: ₹10.99
- Tax Expense: ₹3.03
- Net Profit: ₹7.96
- Other Comprehensive Income: -₹13.24
- Total Comprehensive Income: -₹5.28
- Basic EPS: ₹0.21
- Diluted EPS: ₹0.21
Comparative Figures (FY2025):
- Revenue from Operations: ₹2,315.57
- Other Income: ₹39.75
- Total Revenue: ₹2,355.32
- Total Expenses: ₹2,364.73
- Loss Before Tax: -₹9.41
- Tax Expense: -₹0.27
- Net Loss: -₹9.14
- Other Comprehensive Income: -₹12.73
- Total Comprehensive Income: -₹21.87
- Basic EPS: -₹0.24
- Diluted EPS: -₹0.24
Assets and Liabilities (Standalone)
As of 31-Mar-2026:
- Non-current liabilities: ₹53.54
- Current liabilities: ₹41.39
- Total liabilities: ₹94.93
- Total equity and liabilities: ₹1,250.19
As of 31-Mar-2025:
- Non-current liabilities: ₹53.07
- Current liabilities: ₹61.47
- Total liabilities: ₹114.54
- Total equity and liabilities: ₹1,275.08
Cash Flow Statement
Year Ended 31-Mar-2026:
- Cash from operating activities: ₹7.25
- Cash from investing activities: ₹34.14
- Cash from financing activities: ₹0.00
- Net decrease in cash: ₹41.39
- Cash at beginning: ₹54.13
- Cash at end: ₹95.52
Year Ended 31-Mar-2025:
- Cash from operating activities: -₹87.71
- Cash from investing activities: ₹29.85
- Cash from financing activities: ₹0.00
- Net decrease in cash: -₹57.86
- Cash at beginning: ₹111.98
- Cash at end: ₹54.13
Key Notes and Disclosures
1. The financial results were reviewed by the Audit Committee and approved by the Board on 27th May 2026
2. Prepared in accordance with Indian Accounting Standards (IND AS) and SEBI LODR Regulations 2015
3. The company operates in only one segment: 'Textiles'
4. The Government of India has consolidated 29 labour legislations into four labour codes effective from November 21, 2025. The incremental impact of these changes is not material based on current assessment
5. Previous period figures have been reclassified/regrouped where necessary
Declaration
Rajesh Pitty, Whole Time Director (DIN: 00488722), submitted a declaration pursuant to Regulation 33(3)(d) of SEBI LODR Regulations 2015 confirming the statutory auditors issued an audit report with unmodified opinion.