Key Decisions and Approvals
The Board considered and approved:
- Audited Financial Results of the Company both on Standalone and Consolidated Operations for the 4th Quarter and financial year ended March 31, 2026
- Notes to the financial results in the format specified in Regulation 33 of SEBI Listing Regulations
- Unqualified Report of Statutory Auditors on Standalone and Consolidated financial results
Additional SEBI Regulation Disclosures
- Statement on Deviation or Variation for Proceeds of Issues: Not Applicable (no fund raise by the Company)
- Disclosure of outstanding default on loans and debt securities: Not Applicable (no default)
- Disclosure of Related Party transaction Reg 23: Not Applicable (Company does not meet threshold prescribed under Regulation 15(2))
- Statement of impact of Audit Qualification for Audit Report with Modified Opinion: Not Applicable (Auditors report is not with Modified Opinion)
Financial Results Overview (in ₹ Lakh)
Standalone Performance:
Quarter Ended March 31, 2026 (Unaudited):
- Revenue from operations: ₹74.55
- Textile Trading: ₹69.86
- Real Estate Operation: ₹0.00
- Leasing of Properties: ₹4.69
- Other Income: ₹6.34
- Total Income: ₹80.89
- Profit for the period: ₹0.82
- Earnings per share (₹2 face value): ₹0.00
Year Ended March 31, 2026 (Audited):
- Revenue from operations: ₹232.63
- Textile Trading: ₹191.85
- Real Estate Operation: ₹22.62
- Leasing of Properties: ₹18.16
- Other Income: ₹17.54
- Total Income: ₹250.17
- Profit for the year: ₹1.24
- Earnings per share (₹2 face value): ₹0.00
- Paid up equity share capital: ₹636.62
- Other equity: ₹667.78
Consolidated Performance:
Quarter Ended March 31, 2026 (Unaudited):
- Revenue from operations: ₹74.55
- Textile Trading: ₹69.86
- Real Estate Operation: ₹0.00
- Leasing of Properties: ₹4.69
- Other Income: ₹6.34
- Total Income: ₹80.89
- Profit for the period: ₹0.77
- Earnings per share (₹2 face value): ₹0.00
- Minority Interest: ₹0.05
Year Ended March 31, 2026 (Audited):
- Revenue from operations: ₹232.63
- Textile Trading: ₹191.85
- Real Estate Operation: ₹22.62
- Leasing of Properties: ₹18.16
- Other Income: ₹17.54
- Total Income: ₹250.17
- Profit for the year: ₹0.21
- Earnings per share (₹2 face value): ₹0.00
- Paid up equity share capital: ₹636.62
- Minority Interest: ₹0.05
- Other equity: ₹663.80
Balance Sheet Highlights (as at March 31, 2026)
Standalone:
- Total Assets: ₹1,954.73
- Total Equity: ₹1,304.40
- Non-Current Liabilities: ₹649.67
- Current Liabilities: ₹0.37
Consolidated:
- Total Assets: ₹1,953.27
- Total Equity: ₹1,300.47
- Non-Current Liabilities: ₹655.07
- Current Liabilities: ₹-2.75
Cash Flow Statement (Year Ended March 31, 2026)
Standalone:
- Net cash from operating activities: ₹42.09
- Net cash from investing activities: ₹15.88
- Net cash from financing activities: ₹24.87
- Net decrease in cash: ₹-51.41
- Cash at end of period: ₹12.25
Consolidated:
- Net cash from operating activities: ₹-45.05
- Net cash from investing activities: ₹13.70
- Net cash from financing activities: ₹-20.29
- Net increase in cash: ₹51.64
- Cash at end of period: ₹12.33
Segment Reporting
The Company has 3 reportable operational segments:
1. Textile Trading
2. Real Estate Operation
3. Leasing of Property
Segment Revenue for Year Ended March 31, 2026:
- Textile Trading: ₹191.85 lakh
- Real Estate Operation: ₹22.62 lakh
- Leasing of Properties: ₹18.16 lakh
Segment Results for Year Ended March 31, 2026:
- Textile Trading: Loss of ₹0.55 lakh before tax and interest
- Real Estate Operation: Loss of ₹4.85 lakh before tax and interest
- Leasing of Properties: Profit of ₹18.16 lakh before tax and interest
Subsidiary Information
Consolidated Financial results comprise of financial statements of the Company and SSAVAI SMART ABODES LLP, wherein the Company holds 95% stake.
SSAVAI SMART ABODES LLP financial highlights:
- Total assets: ₹10,42,009 as at March 31, 2026
- Total revenue: ₹NIL for quarter ended March 31, 2026
- Total net loss after tax: ₹1,02,442 for quarter ended March 31, 2026
- Total comprehensive loss: ₹5,765 for quarter ended March 31, 2026
- Cash flows (net): ₹53,917 for period from April 1, 2025 to March 31, 2026
Additional Information
- The financial results have been prepared in accordance with Indian Accounting Standards
- Figures for previous periods have been rearranged/regrouped for comparability
- There is reclassification of Investments from Current Assets to Non-Current Assets
- The financial results are available on Company's website https://www.stcl.co.in/ and BSE Limited website
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