PEL/ SH/ 87 July 18, 2025
National Stock Exchange of India Ltd BSE Ltd
Exchange Plaza Phiroze Jeejeebhoy Towers
5th Floor, Flat No.C/ 1 G Block Dalal Street, Fort
Bandra-Kurla Complex Mumbai 400001
Bandra East, Mumbai 400 051
Scrip code: PONNIERODE Scrip code: 532460
Dear Sirs,
Sub: Unaudited Financial Results – Quarter ended 30.06.2025 –reg.
Pursuant to Regulations 30, 33 read with Part-A of Schedule-III of the SEBI
(Listing Obligations and Disclosure Requirements) Regulations 2015 we send
herewith the following:
(i) Unaudited Financial Results for the quarter ended 30th June 2025 (including
segment wise results) which was approved by the Board of Directors at their
meeting held on Friday, the 18th July 2025 and is signed by the Managing
Director.
(ii) Limited Review Report of the Auditors.
(iii) Extract of the format of results to be published.
The Board Meeting commenced at 12.00 Noon and ended at 1.40 p.m.
Please take the above on record and confirm.
Thanking you,
Yours faithfully,
For Ponni Sugars (Erode) Ltd
RANGAVITTAL Digitally signed by
RANGAVITTAL MADHUSUDHAN
MADHUSUDHAN Date: 2025.07.18 13:46:12
+05'30'
R Madhusudhan
Company Secretary & Compliance Officer
Encl: As above
PONNI SUGARS (ERODE) LIMITED
GIN: L 15422 TN1996 PLC037200 ISO
9001'1400 1
Regd. Office: ESVIN House, No.13, Rajiv Gandhi Salai (OMR)
Perungudi, Chennai 600 096. CERTIFIFD
Phone : 044 - 24961920, 24960156
E-mail : [email protected] Website : www.ponnisugars.com
Statement of Unaudited Financial Results for the Quarter ended �0-06-2025
SI. Quarter Ended Year Ended
Particulars
No.
30.06.2025 31.03.2025 30.06.2024 31.03.2025
(Unaudited) (Audited) (Unaudited) (Audited)
1. Income
a) Revenue from Operations 6037 9445 5473 35946
b) Other Income 335 181 566 1195
Total Income 6372 9626 6039 37141
2. Expenses
a) Cost of Materials Consumed 479 7452 3183 25351
b) Changes in Inventories of Finished Goods and Work-in- progress 4396 (2417) 596 (2278)
c) Power & Fuel 921 1751 719 5290
d) Employee Benefits Expense 636 512 667 2389
e) Finance Costs 5 3 3 5
f) Depreciation and Amortisation Expense 260 290 229 1008
g) Other Expenses 480 963 549 2572
Total Expenses 7177 8554 5946 34337
3. Profit/(Loss) before exceptional items and taxes (1-2) (805) 1072 93 2804
4. Exceptional Items - (Gain)/ Loss (Note-3) (491)
5. Profit Before Tax (3-4) (314) 1072 93 2804
6. Tax Expenses
Current Tax 190 16 491
Deferred Tax (46) 457 (4) 413
Reversal of Tax (28) (28)
Total Tax Expenses (46) 619 12 876
7. Profit for the period (5-6) (268) 453 81 1928
8. Other Comprehensive lncome(OCI)
i. Item that will not be reclassified to profit or loss
a. Effect of measuring Investments at fair value 4751 (4,516) 4425 (3518)
b. Actuarial gain on employee defined benefit obligation 24 24
ii. Income tax relating to items that will not be reclassified to
profit or loss (692) 648 (515) 189
Total OCI 4059 (3,844) 3,910 (3305)
9. Total Comprehensive Income for the period (7+8) 3791 (3,391) 3,991 (1377)
10. Earnings Per Share (Face Value : no;- per share)
A) Basic ( t) (3.12) 5.27 0.94 22.42
B) Diluted ( t) (3.12) 5.27 0.94 22.42
11. Paid up Equity Share capital (Face Value : no;- per share) 860 860 860 860
12. Other Equity (excluding Revaluation Reserve) as shown in the
audited balance sheet of the previous year 52353
I I
PONNI SUGARS (ERODE) LIMITED ISO
CIN: L 15422 TN1996 PLC037200
9001/1400 ◄
Regd. Office: ESVIN House, No.13, Rajiv Gandhi Salai (OMR)
Perungudi, Chennai 600 096. CERT FIED
Phone : 044 - 24961920, 24960156
E-mail : [email protected] Website : www.ponnisugars.com
Segment wise Revenue, Results and Capital Employed (Unaudited) ( t Lakhs )
Quarter Ended Year Ended
Particulars 30.06.2025 31.03.2025 30.06.2024 31.03.2025
(Unaudited) (Audited) (Unaudited) (Audited)
1 Segment Revenue
a) Sugar 5327 8299 5092 32602
b) Co-generation 874 3783 1552 12478
Sub total 6201 12082 6644 45080
Less:Intersegmental Revenue 164 2637 1171 9134
Sales / Income From Operations 6037 9445 5473 35946
2 Segment Results
Profit/(Loss) before Tax and Interest from each segment
a) Sugar (569) 753 (208) 1217
b) Co-generation 141 443 (59) 1504
Sub total (428) 1196 (267) 2721
Less:
a) Finance Costs 5 3 3 5
b) Other Unallocable expenditure/(income) (119) 121 (363) (88)
Total Profit /(Loss) Before Tax (314) 1072 93 2804
3 Segment Assets
a) Sugar 15859 20109 16406 20109
b) Co-generation 9286 9646 10042 9646
c) Unallocable 36419 28239 37352 28239
Total 61564 57994 63800 57994
4 Segment Liabilities
a) Sugar 1802 2191 2446 2191
b) Co-generation 321 602 419 602
c) Unallocable 2695 1988 2354 1988
Total 4818 4781 5219 4781
f
PONNI SUGARS (ERODE) LIMITED
CIN : L 15422 TN1996 PLC037200 ISO
qoo111400·
Regd. Office: ESVIN House, No.13, Rajiv Gandhi Salai (OMR)
Perungudi, Chennai 600 096. CERTIFIED
Phone: 044 -24961920, 24960156
E-mail : [email protected] Website : www.ponnisugars.com
Notes:
1 Sugar production being seasonal, performance of one quarter is not indicative of the trend for the whole
year.
2 The Company at its 29th Annual General Meeting held on 11.06.2025 declared a dividend of Rs.3.00 per
equity share that was paid on 17.06.2025.
3 The company recognized parallel operation charges in its financial statements aggregating t 491 lakhs till
31.03.2025. Pursuant to the favourable ruling of the Appellate Tribunal for Electricity on 16.06.2025, the
company has recognized t 491 lakhs as income during the current quarter that is disclosed as an
exceptional item.
4 The figures for the quarter ended 31st March 2025 are the balancing figures between audited figures in
respect of full financial year and the limited reviewed published year to date figures up to the third
quarter of the financial year ended 31st March 2025.
5 The above unaudited financial results were reviewed by the Audit Committee and approved by the Board
of Directors at their respective meetings held on 18th July 2025. The statutory auditors have conducted a
limited review of the financial results.
For Ponni Sugars (Erode) Ltd
Chennai N Ramanathan
18.07.2025 Managing Director
f
PONNISUGARS(ERODE)LIMITED
CIN : L15422TN1996PLC037200
Regd. Off: ESVIN House, 13 Rajiv Gandhi Salai (OMR), Perungudi, Chennai 600 096
Phone: (044) 24961920, 24960156 Email: [email protected]
Investor Grievance ID: [email protected] Web: www.ponnisugars.com
Unaudited Financial Results for the Quarter ended 30th June 2025
( t Lakhs)
Particulars Quarter ended Quarter ended Quarter ended Year ended
30.06.2025 31.03.2025 30.06.2024 31.03.2025
(Unaudited) (Audited) (Unaudited) (Audited)
Total Income from Operations 6372 9626 6039 37141
Net Profit/(Loss) for the period (before tax and exceptional
items) (805) 1072 93 2804
Net Profit/(Loss) for the period before tax (after exceptional
items) (314) 1072 93 2804
Net Profit/(Loss) for the period after tax (after exceptional
items) (268) 453 81 1928
Total Comprehensive Income for the period [Comprising
Profit/(Loss) for the period (after tax) and Other
Comprehensive Income (after tax)] 3791 (3391) 3991 (1377)
Equity Share capital 860 860 860 860
Other Equity (excluding Revaluation Reserve) as shown in
the audited Balance Sheet of the previous year - - - 52353
Earnings Per Share (Face Value t 10/- each)
Basic:
(3.12) 5.27 0.94 22.42
Diluted: (3.12) 5.27 0.94 22.42
Note: The above is an extract of the detailed format of Quarterly Financial Results filed with the Stock Exchanges under
Regulation 33 of the SEBI (Listing Obligations & Disclosure Requirements) Regulations, 2015. Full format of the Quarterly
Financial Results are available on the websites of the Company at www.ponnisugars.com and Stock Exchanges - BSE
(www.bseindia.com) and NSE (www.nseindia.com)
For Ponni Sugars (Erode) Limited
Chennai N Ramanathan
18.07.2025 Managing Director
-
M/s. S.VISWANATHAN LLP
CHARTERED ACCOUNTANTS
Regd. Off: 17, Bishop Wailers Avenue (West), Mylapore, Chennai - 600 004
Tel: 91-44-24991147, 24994423
email: [email protected]
Firm Registration No. 004770S / S200025 GSTIN: 33AAAFV0367K1Z7
Limited Review report
The Board of Directors
Ponni Sugars (Erode) Limited
We have reviewed the accompanying statement of Unaudited financial results of Ponni Sugars (Erode)
Limited for the period ended 30th June 2025. This statement is the responsibility of the Company's
Management and has been approved by the Board of Directors. Our responsibility is to issue a report
on these financial statements based on our review.
We conducted our review of the Statement in accordance with the Standard on Review Engagements
(SRE) 2410 "Review of Interim Financial Information performed by the Independent Auditor of the
Entity'., issued by the Institute of Chartered Accountants of India. This standard requires that we plan
and perform the review to obtain moderate assurance as to whether the financial statements are free of
material misstatement. A review is limited primarily to inquiries of company personnel and analytical
procedures applied to financial data and thus provides less assurance than an audit. We have not
performed an audit and accordingly, we do not express an audit opinion.
Based on our review conducted as above, nothing has come to our attention that causes us to believe
that the accompanying statement of unaudited financial results prepared in accordance with applicable
accounting standards and other recognized accounting practices and policies has not disclosed the
information required to be disclosed in terms of Regulation 33 of the SEBI (Listing Obligations and
Disclosure Requirements) Regulations, 2015 including the manner in which it is to be disclosed, or that
it contains any material misstatement.
For M/s S Viswanathan LLP
Chartered Accountants
FRN NO 004770S/S200025
(/v ✓
Raghavendran Chella Krishnan
Partner
MRN: 208562
Place: Chennai
Date: 18.07.2025
UDIN '-'SZ..0 8 S�l. BM LhJ H B bC\4-T
Branches:
27/34, 2nd Floor, Nandidurg Road, Jayamahal Extension, Bangalore - 560 046
Tel: 91-80-23530535 GSTIN: 29AAAFV0367K1ZW
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