Company Disclosure

Hem Holdings and Trading Limited submitted audited standalone financial results for the quarter and year ended March 31, 2026, pursuant to Regulation 33 of SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015.

Event Details

  • The Board of Directors meeting was held on May 27, 2026, from 2:00 PM to 4:00 PM at the company's registered office
  • The meeting approved: (1) Independent Auditor's Report on Audited Financial Results, (2) Audited Financial Results for quarter and year ended March 31, 2026, and (3) Declaration for unmodified opinion under Regulation 33(3)(d)
  • Statutory auditors B.M. Gattani & Co. issued an unmodified opinion on the financial results

Financial Results (Amount in ₹ Lakhs)

Quarterly Performance (Q4 FY26)

  • Revenue from Operations: ₹7.98
  • Other Income: ₹0.21
  • Total Income: ₹8.18
  • Employee Benefits Expenses: ₹1.38
  • Finance Costs: ₹0.02
  • Other Expenses: ₹0.95
  • Total Expenses: ₹2.36
  • Profit Before Tax: ₹5.83
  • Tax Expense: ₹0.00
  • Profit After Tax: ₹5.83
  • Other Comprehensive Income: ₹0.00
  • Total Comprehensive Income: ₹5.83
  • Earnings Per Share (Basic & Diluted): ₹2.43

Annual Performance (FY26)

  • Revenue from Operations: ₹71.13
  • Other Income: ₹0.21
  • Total Income: ₹71.34
  • Employee Benefits Expenses: ₹1.38
  • Finance Costs: ₹0.09
  • Other Expenses: ₹8.71
  • Total Expenses: ₹10.18
  • Profit Before Tax: ₹61.15
  • Tax Expense: ₹0.00
  • Profit After Tax: ₹61.15
  • Other Comprehensive Income: ₹0.00
  • Total Comprehensive Income: ₹61.15
  • Earnings Per Share (Basic & Diluted): ₹25.48

Comparative Figures (FY25)

  • Total Income: ₹37.46
  • Total Expenses: ₹152.77
  • Loss Before Tax: ₹(120.31)
  • Loss After Tax: ₹(120.31)
  • Other Comprehensive Income: ₹24.27
  • Total Comprehensive Loss: ₹(96.04)

Capital Structure

  • Paid-up Equity Share Capital: ₹24.00 lakhs (face value ₹10/- each)
  • No change in share capital during the period

Cash Flow Statement (FY26)

  • Cash from Operating Activities: ₹543.60 lakhs inflow
  • Cash from Investing Activities: ₹0.00
  • Cash from Financing Activities: ₹0.00
  • Net Increase in Cash: ₹543.60 lakhs
  • Opening Cash Balance: ₹30.24 lakhs
  • Closing Cash Balance: ₹573.84 lakhs