Summary of Key Information:
Reporting Period (Quarter/Year): Quarter and Year ended 31-03-2026
Nature of Filing / Announcement: Outcome of Board Meeting under Regulation 30 of SEBI (LODR) Regulations, 2015
Audit Opinion:
Unmodified Opinion (Clean)
Key Financial Highlights [₹ in Lakhs]:
Standalone Results:
Year ended 31-03-2026 vs 31-03-2025:
- Net Profit before tax: ₹1,142.33 lakhs (2025-26) vs ₹134.06 lakhs (2024-25) - 752% increase
- The main reason for increase in PBT is increase in sales volume of soap noodles and decrease in fuel prices.
Balance Sheet Position as at 31-03-2026 vs 31-03-2025:
- Total Assets: ₹30,063.55 lakhs vs ₹28,767.09 lakhs
- Total Equity: ₹21,339.37 lakhs vs ₹20,608.15 lakhs
- Cash and cash equivalents: ₹1,402.79 lakhs vs ₹2,528.53 lakhs
- Inventories: ₹10,010.24 lakhs vs ₹12,954.08 lakhs
- Trade Receivables: ₹3,652.39 lakhs vs ₹2,512.30 lakhs
- Total current liabilities: ₹8,268.05 lakhs vs ₹7,898.48 lakhs
Consolidated Results:
Not Specified
Segment-wise Performance [₹ in Lakhs]:
For Year ended 31-03-2026:
- Chemicals Segment Revenue: ₹104,370.85
- Soap Segment Revenue: Not separately quantified in gross sales
- Power Generation Segment Revenue: ₹3,820.68
Segment Results for Year ended 31-03-2026:
- Chemicals Segment Profit: ₹1,498.45
- Soap Segment Profit: ₹917.68
- Power Generation Segment Profit: ₹174.63
- Total Segment Profit: ₹2,590.76
Corporate Actions:
Dividend Declaration:
- Recommended dividend of ₹3.50 per equity share of face value ₹10/- each
- Total dividend amount: ₹3,10,84,025
- Total number of equity shares: 88,81,150
- Record Date: Friday, 4th September 2026
- Book Closure: From Saturday, 5th September 2026 to Saturday, 12th September 2026 (both days inclusive)
Other Significant Information:
Annual General Meeting:
- Scheduled on Saturday, 19th September 2026 at 3:30 PM
- Venue: Registered Office of the Company at Dokiparru, Guntur
Cash Flow Highlights:
- Net cash from Operating activities: ₹161.08 lakhs
- Net cash used in Investing activities: ₹(1,206.03) lakhs
- Net cash used in Financing activities: ₹(80.79) lakhs
- Net decrease in cash and cash equivalents: ₹(1,125.74) lakhs