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Earnings Call

Symphony Earnings Call: Key Takeaways

Symphony FY26 consol revenue fell 28% to ₹1,131cr with a PAT loss of ₹141cr due to a ₹259cr impairment in the Australia business.

Why this was an Alfa AlertNot a filter event. Financials were significantly down and no guidance beat was stated.
Highlights
Revenue growthFY26 consol revenue down 28% YoY to ₹1,131cr.
MarginsConsol gross margin stable at 46.4%; EBITDA margin fell to 15.5%.
Demand visibilityQ4 channel caution due to bad 2025 summer; April uptick noted.
Management confidenceConfident in India recovery and new asset-light Australia model.

Growth

Consol revenue down 28% YoY; PBT (before exceptional) fell to ₹149cr from ₹326cr.

Outlook

Exiting direct Australian distribution for a distributor model; GSK China expected to be debt-free in 6 months.

Risks

Australia business losses (₹60cr in 2 years); weather disturbances affecting Indian summer sales; Middle East geopolitical headwinds.

Source

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

Read the document ↗

Symphony Ltd: key numbers

Share price
₹588.80
Market cap
₹4,043 Cr
Revenue (annual)
₹1,130 Cr
Net profit (annual)
₹-141.1 Cr
P/E (TTM)
-29.1×Sector 45.9×
Promoter holding
73.43%+0.00% QoQ
FII holding
2.43%Current quarter

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

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Execution
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