SPR Auto Technologies
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SPR Auto Technologies (SHRIPISTON) investor relations material

SPR Auto Technologies Q1 26/27 earnings summary

Complete event summary combining all related documents: earnings call transcript, report, and slide presentation.
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Q1 26/27 earnings summary5 Aug, 2026

Executive summary

  • Consolidated total income grew 51% year-over-year in Q1 FY27, with EBITDA up 27% year-over-year, despite industry headwinds from commodity prices, supply chain disruptions, and adverse geopolitical factors impacting margins.

  • Profit before tax rose 7% year-over-year and profit after tax increased 9% year-over-year, even after higher finance costs from recent acquisitions.

  • Strategic investments in technology, capacity, and powertrain-agnostic domains, along with diversification, have broadened the business and reduced risk exposure.

  • Maintained robust financial health with industry-leading margins, strong return ratios, and a healthy credit profile.

  • Unaudited standalone and consolidated financial results for Q1 FY27 were approved with unmodified auditor conclusions, indicating compliance with SEBI regulations.

Financial highlights

  • Q1 FY27 consolidated total income: Rs. 14,992 million (+51% YoY); standalone total income: Rs. 9,627 million (+12% YoY).

  • Q1 FY27 consolidated EBITDA: Rs. 2,828 million (+27% YoY, margin 18.9%); standalone EBITDA: Rs. 2,020 million (margin 21.0%).

  • Q1 FY27 consolidated PAT: Rs. 1,477 million (+9% YoY, margin 9.8%); standalone PAT: Rs. 1,119 million (margin 11.6%).

  • Finance costs elevated by Rs. 252 million (consolidated) due to Antolin acquisition, expected to normalize post debt repayment.

  • Net debt as of June stands at INR 550 million, with net debt to equity at 0.2.

Outlook and guidance

  • Powertrain-agnostic diversification and presence across ICE, EV, and hybrid segments position the company for sustained growth amid evolving industry trends.

  • Volume momentum expected to continue across all vehicle segments for the rest of the year.

  • Margin normalization expected as commodity price increases are passed through to customers with a one-quarter lag.

  • Board authorized to raise up to Rs. 10,000 million via Qualified Institutions Placement for debt repayment and general corporate purposes.

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Q2 26/2730 Oct, 2026
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