BSEResult6d ago · 14 Aug 2026, 03:32 pm
Board of Director in its meeting held today i.e,14th August 2026 Considered and approved the un-audited Standalone and Consoldated results of the company for the Quarter ended 30th June 2026.
York Exports Ltd · 530675
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York Exports Ltd has announced its unaudited standalone and consolidated financial results for the quarter ended June 30, 2026. The company reported a profit before exceptional items and tax of Rs. 164.97 lakhs, a decline from Rs. 34.20 lakhs in the previous quarter. The company's profit before tax was Rs. 164.97 lakhs, and its tax expense was Rs. 1.26 lakhs. The company's profit for the period from continuing operations was Rs. 164.97 lakhs, and its total comprehensive income for the period was Rs. 164.97 lakhs.
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York Exports Ltd - 530675 - Un-Audited Standalone And Consolidated Financial Results For The Quarter Ended 30Th June,2026.
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Phones : 01614381102 ) MANUFACT- EUXPRORETERR
E-mail : admin@yorkexports.in CIVIL LINES, LUDHIANA- 141 001.
SHERPUR BYE PASS G.T. ROAD, LUDHIANA-141003
To 14.08.2026
The Company Secretary
Bombay Stock Exchange Limited
25" Floor, P. J. Tower
Dalal Street
Mumbai.
Sub: Outcome of the Board Meeting
Dear Sir / madam,
This is to inform you that the Meeting of Board of Directors of the company has been duly
convened today i.e. on 14". August, 2026. The Board has approved the un-audited financial
results for the Quarter ended 30".June, 2026. The Board meeting commenced at 02.00 P.M. and
concluded at 03.00 P.M.
We are pleased to enclose hereby:
1. Un-audited Standalone Financial Results for the Quarter Ended June, 30, 2026.
2. Standalone Statement of Cash Flows for the Quarter Ended June, 30,2026
3. Limited Review Report on Standalone unaudited Financial Results for the quarter Ended
June, 30,2026
4. Un-audited Consolidated Financial Results for the Quarter Ended June, 30, 2026
Consolidated Statement of Cash Flows for the Quarter Ended June, 30, 2026
Limited Review Report on Consolidated unaudited Financial Results for the quarter
Ended June, 30, 2026
This is for your information & record.
Thanking You,
Yours Faithfully,
For York Exports Limited.
NS S
Mg.Directo¥r
DIN: 00264986
CHANGING LIVES THROUGH ENTERPRISE
REGD. OFFICE : D-6, DIWAN SHREE APARTMENTS, 30 FEROZESHAH ROAD, NEW DELHI-110 001.
Website : www.yorkexports.in CIN : L74899DL1983PLC0O15416
Phones : 01614381102 . MANUFACT- EUXPRORETERR
Exmail ::admin@yorkexports.in CIVIL LINES, LUDHIANA- 141 001.
SHERPUR BYE PASS G.T. ROAD, LUDHIANA-141003
14" August, 2026
Department of Corporate Services
BSE Limited
Phiroze Jeejeebhoy Towers,
Dalal Street,
Mumbai- 400001.
Dear Sir,
Ref: Security Code- 530675
Sub: Outcome of the Board Meeting
Pursuant to Regulation 30 read with Schedule III of the SEBI (Listing Obligations and
Disclosure Requirements) regulations, 2015, we are pleased to inform you that the Board of
Directors of ‘the Company at its meeting held on today i.c. 14™ August, 2026, inter-alia,
considered and approved the Un-audited Financial results for the quarter ended 30" June,
2026 and the said results have been reviewed by the Audit Committee.
The Board meeting commenced at 02.00 P.M. and concluded at 03.00 P.M.
You are requested to kindly take the same on record.
Thanking You,
Yours faithfully,
For York Exports Limited
(Ssk&%ni DT}%’& )
Mg. Director
DIN: 00264986
Encl.: as above
CHANGING LIVES THROUGH ENTERPRISE
REGD. OFFICE : D-6, DIWAN SHREE APARTMENTS, 30 FEROZESHAH ROAD, NEW DELHI-110 001.
Website : www.yorkexports.in CIN : L74899DL1983PLCO15416
YORK EXPORTS LIMITED
Regd.Office: D-6, DIWAN SHREE APARTMENTS, 30, FEROZESHAH ROAD, NEW DELHI - 110001
Statement of Standalone Unaudited Financial Results for the Quarter Ended 30th.June,2026
(Rs.in Lakhs)
PART |
Sr. [Particulars For the Quarter ended For the Year
No. ended
30.06.2026 31.03.2026 30.06.2025 31.03.2026
(Unaudited) (audited) (Unaudited) (audited)
| |Revenue from operations 322.15] 143.30 541.48 2987.96)
Il |[Other Income 5.81 3.01 0.21 5.67|
Il |Total Revenue(1+2) 327.96| 146.31 541.69| 2993.63)
IV [Expenses
(a) cost of material consumed 561.77| 229.29) 417.81 1409.96
(b) Purchase of stock-in-trade 83.86 17.76| 77.94) 296.43]
(c) Changes in inventories of finished goods,work-In-progress and stock-in trade. (662.63) (791.03) (536.60) (1851.96)
(d) Employee benefits expense 171.45] 185.84 205.81 852.84
(e) Finance costs 100.72| 91.79] 88.41 334.02]
(1) Depreciation and amortisation expense 22.05 26.38 2185 93.65
(g) other expenses 215.71 420.48 254.46 1808.41
Total Expenses 492.93 180.51 529.68| 2943.35
V. [Profit before exceptional items and tax(lll-IV) (164.97) (34.20) 12,01 50.28
VI |Exceptional items-income/(expenses) - - - = =
VI [Profit before tax (V+VI) (164.97), (34.20) 12.01 50.28
VIl | Tax expense:
a) Current tax = 1.26 2.00 16.26
b) Less MAT credit 5 (6.63) z (6.63)
c) Deferred tax - 1.59] - 1.59
d) Taxation pertaining to earlier year : = = S
1X|Profit(Loss) for the period from continuing operations ~( VII-VIll) (164.97) (30.42)| 10.01 39.06
X |Profit(Loss) from discontinued operations - - & :
X! |Tax expense of discontinued operations. - - - -
XIl |Profit(Loss) from discontinued operations ( after tax) (X-XI) - - - -
XIil | Profit/(Loss) for the period (IX-XIl) (164.97) (30.42) 10.01 39.06
XIV |Other Comprenensive Income - -
A) (i) items that will be reclassified to profit o loss - - - -
(i) Income tax relating to items that wil be reclassified to profit or loss. - - -
B) (i) items that will not be reclassified to profit or loss = 11.48 - 11.48
(ii) Income tax relating to items that will not be reclassified to profit or loss - - - -
XV |Total Comprehensive Income for the period (XIlI+XIV) (164.97) (18.96) 10.01 50.52
(Comprising Profit(loss) and Other Comprehensive Income for the period)
XVI |Earnings per equity share ( of Rs.10/-each) ( not annualised) (4.91) (0.57) 0.30 1.50)
Basic and diluted earing per share(face value of Rs. 10/- each)"
“Not annualised
PART Il
A [Particulars of Share Holding
1 |Public Shareholding
Number of equity shares. 895532 893570 879541 893570
Percentage of shareholding 26.63 2657 26.16 26.57
2 [Promotors and Promotor group shareholding
(a) Pledged/Encumbered - < : =
Number of Shares - = - =
Percentage of shares (as a % of the total shareholding of promotors & - - = Z
Promotor group
Percentage of shares (as a % of the total share capital of the company) - = = 3
(b) Non Encumbered
Number of Shares. 2467268 2469230 2483259 2469230
Percentage of shares ( as a % of the total shareholding of promotors & 73.37 73.43 73.84 7343
Promotor group
Percentage of shares (as a % of the total share capital of the company) 100.00 100.00 100.00] 100.00}
B_|Particulars of Invester Complaints Quarter ended 30.06.2026
Pending at the beginning of the quarter Nil
Received during the quarter Nil
Disposed of during the quarter Nil
Remaining unresolved at the end of the quarter Nil
Notes:-
1 The Standalone Financial Results have been prepared in accordance with principles of Indian Accounting Standards (Ind AS) as specified by ICAl
and section 133 of the Companies Act,2013
2 The above results have been reviewed by the audit committee and approved by the board of directors at their meeting held on 14.08.2026
3 The company operates in only one Business Segment that is manufacturning of Knitted Garments.
4 Prior period comparatives have been regroupedireciassified wherever necessary to conform to the presentation in the current period
5 Figures for the quarter ended March 31,2026 are the balancing figures between audited figures in respect of the full fingooiakye:
and the published year to date figures upto December 31, 2025 ZAEOR
A\or York Exports Limited
# Mg. Director,
DIN: 00264988
Place: Ludhiana
Date: 14th.August, 2026
YORK EXPORTS LTD. s
Phones : 01614381102
MANUFACTURER - EXPORTER
E-mail : admin@yorkexports.in
CIVIL LINES, LUDHIANA- 141 001.
SHERPUR BYE PASS G.T. ROAD, LUDHIANA-141003
STANDALONE CASH FLOW STATEMENT FOR THREE MONTHS ENDED 30.06.2026
Rs. In Lacs
30.06.2026 31.03.2026
CASH FLOW FROM OPERATING ACTIVITIES Rs Rs
Net Proft before Income Tax (164.97) 50.28
Adjustment for:
Depreciation and amortisation expense 2205 93.65
Interes/Dividend received 0.00 (0.19)
Gain on sale of property, plant and equipment 0.00 0.00
Change in fair value of derivative contracts 0.00 0.00
Interset Cost 100.72 334.02
Share Based Payment to Employees 0.00 0.00
Loss on assets held for sale 0.00 15.99
Expected credit loss on trade receivables 000 0.00
Profit on sale of current investments 000 0.00
Capital Work in progress witten off 000 0.00
Liabilities no longer required written back 0.00 0.00
Operating Profit before change in following assets and liabilities (42.20) 49374
Adjustments for.
Decrease/(Increase) in Inventories (649.75) (1856.90)
Decreasel(Increase) Trade receivables (151.56) (75.70)
Decrease/(Increase) in Current Loans (0.
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