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Wealth First Portfolio Managers Limited Q2 FY26 results deck summary
NSE: WEALTH · BSE: 544536
Results deck of 13 Nov 2025, summarised by AI from the filing.
Q2 FY26 total revenue ₹20.8 cr, down 11.8% YoY; PAT ₹11.1 cr, down 27.0% YoY.
Key takeaways
- Business Activity Income Q2 FY26 Business Activity Income ₹17.9 cr, up 9.7% YoY, supported by higher net sales and insurance revenue.
Wealth First Portfolio Managers Limited Q1 FY27 results
As filed: Revenue ₹14.3 cr, EBITDA ₹9.3 cr, PAT ₹10.4 cr, EBITDA margin 64.9%.
Not scored. Too small to score: quarter revenue ₹14.3 cr is below the ₹20.0 cr minimum. On a base this small, percentage changes say little.
Earlier results and the share price after them
- Q4 FY26: Revenue ₹16.5 cr, EBITDA ₹11.7 cr, PAT ₹10.5 cr, EBITDA margin 71.1%. Not scored. Too small to score: quarter revenue ₹16.5 cr is below the ₹20.0 cr minimum. On a base this small, percentage changes say little. Share price after the results: +9.3% in 27 days (Nifty 500: +0.6%).
- Q3 FY26: Revenue ₹6.5 cr, EBITDA ₹1.0 cr, PAT ₹0.8 cr, EBITDA margin 15.4%. Not scored. Too small to score: quarter revenue ₹6.5 cr is below the ₹20.0 cr minimum. On a base this small, percentage changes say little. Share price after the results: +13.6% in 30 days (Nifty 500: −4.1%).
- Q2 FY26: Revenue ₹21.0 cr (+5% year on year), EBITDA ₹15.0 cr (0% year on year), PAT ₹11.0 cr (−27% year on year), EBITDA margin 71.4% (−357 bps). Score 34 of 100, Below trend. Revenue, EBITDA and profit growth were below the company's own trend. EBITDA margin fell 357 bps year on year. Revenue fell 16% from last quarter. Share price after the results: −13.8% in 29 days (Nifty 500: −0.4%).
- Q1 FY26: Revenue ₹25.0 cr (+19% year on year), EBITDA ₹21.0 cr (+17% year on year), PAT ₹16.0 cr (+14% year on year), EBITDA margin 84.0% (−171 bps). Score 37 of 100, Below trend. Revenue, EBITDA and profit growth were below the company's own trend. EBITDA margin fell 171 bps year on year. Share price after the results: −6.6% in 30 days (Nifty 500: −0.2%).
- Q4 FY25: Revenue −₹3.0 cr, EBITDA −₹6.0 cr, PAT −₹4.0 cr. Not scored. Too small to score: quarter revenue ₹-3.0 cr is below the ₹20.0 cr minimum. On a base this small, percentage changes say little. Share price after the results: +34.0% in 30 days (Nifty 500: +3.7%).
- Q3 FY25: Revenue ₹16.0 cr, EBITDA ₹13.0 cr, PAT ₹9.0 cr, EBITDA margin 81.3%. Not scored. Too small to score: quarter revenue ₹16.0 cr is below the ₹20.0 cr minimum. On a base this small, percentage changes say little.
- Q2 FY25: Revenue ₹20.0 cr (+43% year on year), EBITDA ₹15.0 cr (+50% year on year), PAT ₹15.0 cr (+50% year on year), EBITDA margin 75.0% (+357 bps). Score 85 of 100, Above trend. EBITDA margin rose 357 bps year on year. Not enough history for a trend yet: scored on growth alone. Revenue fell 5% from last quarter.
Past price moves after results do not indicate future moves. Not a recommendation.
Wealth First Portfolio Managers Limited earnings call, investor presentation and press release summaries
- Q1 FY27: Results deck (13 Aug 2026), Results deck (14 Aug 2026)
- Q4 FY26: Earnings call (1 Jun 2026), Results deck (29 May 2026)
- Q3 FY26: Results deck (4 Feb 2026)
- Q2 FY26: Results deck (13 Nov 2025)
- Other events: Strategy deck (1 Jul 2026)
Figures from the company's filings with NSE and BSE. Not investment advice.