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Earnings Call

Glottis Earnings Call: Key Takeaways

Glottis Limited faced a challenging FY26 with revenue declining due to global freight rate softening, despite a recovery in Q4 sequential performance.

Why this was an Alfa AlertNot a filter event. Revenue and margins declined YoY; no guidance beat reported.
Highlights
Revenue growthFY26 revenue ₹7,226M; Q4 sequential growth of 36%.
MarginsEBITDA margin softened to 6.9% due to lower freight rates.
Demand visibilityUneven demand visibility; inventory optimization across major global markets.
Management confidenceCautiously optimistic; focusing on diversification despite market headwinds.

Growth

FY26 revenue fell to ₹7,226M from FY25; however, Q4 saw sequential revenue growth of 36% through increased export activity.

Outlook

Management remains positive for FY27, citing diversification into auto and ag-tech sectors to mitigate sea-freight volatility.

Risks

Trade receivables surged 70% and other current assets spiked, suggesting aggressive credit terms to retain clients in a weak market.

Source

Earnings Call filed with NSE, NSE: GLOTTIS. Summary written with AI assistance from the document.

Read the document ↗

Glottis Ltd: key numbers

Share price
₹65.62
Market cap
₹606.4 Cr
Revenue (annual)
₹722.6 Cr
Net profit (annual)
₹37.72 Cr
P/E (TTM)
16.6×Sector 29.0×
Promoter holding
74.23%+0.00% QoQ
FII holding
0.85%Current quarter

Reference market data from a third-party provider, updated daily. Not a valuation or a recommendation.

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