Board Meeting Details
The Board of Directors meeting was held on Tuesday, May 26, 2026, commencing at 12:00 PM and concluding at 02:20 PM.
Key Board Decisions
- Approved Audited Standalone and Consolidated Financial Results for quarter and year ended March 31, 2026
- Recommended final dividend of ₹0.10 per equity share (10% of face value ₹1) for FY2026, subject to shareholder approval at ensuing Annual General Meeting
Consolidated Financial Highlights (FY2026)
- Total Income: ₹140,419.34 lakhs
- Total Expenses: ₹124,928.43 lakhs
- Profit Before Tax: ₹15,436.78 lakhs
- Tax Expense: ₹594.08 lakhs
- Net Profit After Tax: ₹14,842.70 lakhs
- Other Comprehensive Income: ₹6,679.17 lakhs
- Total Comprehensive Income: ₹21,521.87 lakhs
- Earnings Per Share (Basic & Diluted): ₹5.57
- Paid-up Equity Share Capital: ₹2,666.09 lakhs (face value ₹1 each)
- Other Equity: ₹153,226.48 lakhs
Consolidated Quarterly Performance (Q4 FY2026)
- Total Income: ₹43,311.16 lakhs
- Total Expenses: ₹40,927.80 lakhs
- Profit Before Tax: ₹2,383.36 lakhs
- Tax Expense: ₹101.08 lakhs
- Net Profit After Tax: ₹2,282.28 lakhs
- Other Comprehensive Income: ₹3,538.57 lakhs
- Total Comprehensive Income: ₹5,820.85 lakhs
- Earnings Per Share (Basic & Diluted): ₹0.86
Standalone Financial Highlights (FY2026)
- Total Income: ₹54,734.91 lakhs
- Total Expenses: ₹52,679.03 lakhs
- Profit Before Tax: ₹2,001.74 lakhs
- Tax Expense: ₹594.08 lakhs
- Net Profit After Tax: ₹1,407.66 lakhs
- Other Comprehensive Income: ₹98.79 lakhs
- Total Comprehensive Income: ₹1,506.45 lakhs
- Earnings Per Share (Basic & Diluted): ₹0.53
- Paid-up Equity Share Capital: ₹2,666.09 lakhs
- Other Equity: ₹93,830.01 lakhs
Subsidiary Information
The consolidated results include the following subsidiaries:
- Responsive Industries Limited, Hong Kong
- Responsive Industries LLC, USA
- Axiom Cordages Limited, Hong Kong
Foreign subsidiaries contributed total assets of ₹107,032.08 lakhs and total income of ₹85,684.43 lakhs for FY2026.
Balance Sheet Position (Consolidated as of March 31, 2026)
- Total Assets: ₹185,344.42 lakhs
- Non-Current Assets: ₹82,304.91 lakhs
- Current Assets: ₹103,039.51 lakhs
- Total Equity: ₹155,892.58 lakhs
- Non-Current Liabilities: ₹12,736.59 lakhs
- Current Liabilities: ₹16,715.25 lakhs
Cash Flow Statement (Consolidated FY2026)
- Net Cash from Operating Activities: ₹3,962.22 lakhs
- Net Cash from Investing Activities: ₹4,941.72 lakhs
- Net Cash from Financing Activities: (₹8,663.67) lakhs
- Net Increase in Cash: ₹240.27 lakhs
- Cash and Cash Equivalents at year-end: ₹999.77 lakhs
Additional Notes
- Company operates in single business segment: "Articles made out of PVC/Polymers"
- Figures for quarters are balancing figures between audited full year and published unaudited nine-month figures
- Previous year figures have been regrouped and reclassified where necessary