In compliance with Regulation 33(3) of SEBI (LODR) Regulations, 2015, the following documents were attached to the filing:

  • Audited (Standalone and Consolidated) Financial Results for the quarter and year ended March 31, 2026
  • Statement of Assets and Liabilities
  • Cash Flow Statement
  • Auditors' Report on the Audited Financial Results (Standalone and Consolidated) for the year ended March 31, 2026

The Board declared that the Auditors' Report contains an unmodified opinion for both standalone and consolidated financial results for the year ended March 31, 2026.

The trading window, which was closed from April 1, 2026, was scheduled to re-open after the announcement.

Dividend Declaration

The Board of Directors recommended and approved a dividend of ₹20 (200%) per equity share on the face value of ₹10 each, subject to approval by shareholders at the ensuing Annual General Meeting (AGM). The dividend will be paid within 30 days of its declaration at the AGM.

The Board fixed the date for the Annual General Meeting on Tuesday, September 15, 2026, at 3:00 p.m., to be held via Video Conferencing/Other Audio Visual Means.

Financial Results Overview

Standalone Financials (in lakhs)

Quarter Ended March 31, 2026:

  • Revenue from Operations: ₹14,821.54
  • Other Income: ₹427.31
  • Total Income: ₹15,248.85
  • Total Expenses: ₹14,365.40
  • Profit Before Tax: ₹883.45
  • Tax Expense: ₹225.37
  • Net Profit: ₹658.08
  • Other Comprehensive Income: -₹1,530.62
  • Total Comprehensive Income: -₹872.54
  • Basic EPS: ₹11.97
  • Diluted EPS: ₹11.7

Year Ended March 31, 2026:

  • Revenue from Operations: ₹62,119.90
  • Other Income: ₹2,450.44
  • Total Income: ₹64,570.34
  • Total Expenses: ₹58,450.62
  • Profit Before Tax: ₹6,119.72
  • Tax Expense: ₹1,554.91
  • Net Profit: ₹4,564.81
  • Other Comprehensive Income: -₹1,235.18
  • Total Comprehensive Income: ₹3,329.63
  • Basic EPS: ₹81.37
  • Diluted EPS: ₹81.7

Consolidated Financials (in lakhs)

Quarter Ended March 31, 2026:

  • Revenue from Operations: ₹14,821.54
  • Other Income: ₹427.31
  • Total Income: ₹15,248.85
  • Total Expenses: ₹14,365.45
  • Profit Before Tax: ₹883.40
  • Tax Expense: ₹225.37
  • Net Profit: ₹658.03
  • Other Comprehensive Income: -₹1,530.62
  • Total Comprehensive Income: -₹872.59
  • Basic EPS: ₹11.67
  • Diluted EPS: ₹11.7

Year Ended March 31, 2026:

  • Revenue from Operations: ₹62,119.90
  • Other Income: ₹2,450.44
  • Total Income: ₹64,570.34
  • Total Expenses: ₹58,450.89
  • Profit Before Tax: ₹6,119.45
  • Tax Expense: ₹1,554.91
  • Net Profit: ₹4,564.54
  • Other Comprehensive Income: -₹1,235.18
  • Total Comprehensive Income: ₹3,329.36
  • Basic EPS: ₹81.27
  • Diluted EPS: ₹81.7

Assets and Liabilities (as of March 31, 2026)

Standalone (in lakhs)

Assets:

  • Non-current Assets: ₹67,182.75
  • Property, Plant and Equipment: ₹31,859.73
  • Other Intangible assets: ₹1.68
  • Capital Work-in-progress: ₹459.96
  • Right-of-use Assets: ₹2,441.79
  • Financial Assets: ₹32,093.16
  • Other Non-current Assets: ₹326.43
  • Current Assets: ₹33,650.41
  • Inventories: ₹5,032.15
  • Trade Receivables: ₹15,030.81
  • Cash and Cash Equivalents: ₹5,780.10
  • Bank balances other than cash equivalents: ₹5,731.44
  • Other Financial Assets: ₹205.67
  • Other Current Assets: ₹1,870.24
  • Total Assets: ₹1,00,833.16

Equity and Liabilities:

  • Equity: ₹76,746.09
  • Equity Share Capital: ₹558.56
  • Other Equity: ₹76,187.53
  • Non-current Liabilities: ₹10,820.39
  • Borrowings: ₹1,437.18
  • Lease Liabilities: ₹1,488.67
  • Provisions: ₹345.00
  • Deferred Tax Liabilities (Net): ₹7,549.54
  • Current Liabilities: ₹13,266.68
  • Financial Liabilities: ₹11,559.21
  • Other Current Liabilities: ₹1,707.47
  • Total Equity and Liabilities: ₹1,00,833.16

Consolidated (in lakhs)

Assets:

  • Non-current Assets: ₹67,177.73
  • Current Assets: ₹33,653.64
  • Total Assets: ₹1,00,831.37

Equity and Liabilities:

  • Equity: ₹76,744.15
  • Non-current Liabilities: ₹10,820.39
  • Current Liabilities: ₹13,266.83
  • Total Equity and Liabilities: ₹1,00,831.37

Cash Flow Statement (Year Ended March 31, 2026)

Standalone (in lakhs)

  • Net Cash from Operating Activities: ₹7,847.14
  • Net Cash from Investing Activities: -₹3,750.40
  • Net Cash from Financing Activities: -₹3,965.14
  • Net Increase in Cash and Cash Equivalents: ₹131.60
  • Cash and Cash Equivalents at beginning of year: ₹5,648.50
  • Cash and Cash Equivalents at end of year: ₹5,780.10

Consolidated (in lakhs)

  • Net Cash from Operating Activities: ₹7,846.85
  • Net Cash from Investing Activities: -₹3,750.40
  • Net Cash from Financing Activities: -₹3,965.16
  • Net Increase in Cash and Cash Equivalents: ₹131.29
  • Cash and Cash Equivalents at beginning of year: ₹5,651.81
  • Cash and Cash Equivalents at end of year: ₹5,783.11

Notes to Financial Results

1. The financial results were prepared in accordance with Indian Accounting Standards (Ind AS) as prescribed under Section 133 of the Companies Act, 2013.

2. The company is engaged in the business of manufacturing "Chemicals," which is the only operating segment as per Ind AS 108.

3. Consolidated Financial Results include the results of a wholly owned subsidiary, Transpek Creative Chemistry Private Limited.

4. The recommended dividend of 200% (₹20.00 per equity share) for FY26 is subject to shareholder approval at the forthcoming AGM.