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Radico Khaitan Net Profit Jumps to ₹60.25 Cr

May 6, 2026 4 mins read Firehose Gupta

Radico Khaitan Limited — Quarter ended 31 March 2026 and year ended 31 March 2026 (Audited)

Sl. No. Particulars (1) Quarter ended 31.03.2026 Refer note 4 (2) Quarter ended 31.12.2025 (Unaudited) (3) Quarter ended 31.03.2025 Refer note 4 (4) Year ended 31.03.2026 (Audited) (5) Year ended 31.03.2025 (Audited)
1 Income
(a) Revenue from operations 5,18,230.78 5,42,383.82 4,48,542.52 20,97,638.56 17,09,853.55
(b) Other Income 581.34 260.97 137.98 1,544.45 485.01
Total income 5,18,812.12 5,42,644.79 4,48,680.50 20,99,183.01 17,10,338.56
2 Expenses
(a) Cost of material consumed 81,815.62 84,595.76 78,987.19 3,34,265.89 2,90,653.43
(b) Purchase of stock-in-trade 135.29 279.01 (50.35) 681.70 (136.68)
(c) Changes in inventories of finished goods, work-in-progress and stock-in-trade (net of excise duty) (3,763.67) (2,137.38) (5,223.57) (3,993.90) (13,131.57)
(d) Excise duty on sales 3,67,859.51 3,87,709.27 3,18,134.71 14,92,595.97 12,24,738.11
(e) Employee benefits expense 6,020.46 6,979.67 5,243.18 24,400.62 21,734.39
(f) Finance Costs 1,539.83 1,642.09 2,150.22 6,403.45 7,379.52
(g) Depreciation and amortisation expenses 4,219.29 3,718.94 3,598.17 15,302.33 14,013.73
(h) Selling & distribution expenses 16,462.69 17,582.49 14,964.28 64,156.85 47,649.79
(i) Other expenses 21,251.56 20,656.90 18,726.29 83,384.95 70,975.59
Total expenses 4,95,540.58 5,21,026.74 4,36,530.11 20,17,197.86 16,63,876.31
3 Profit before exceptional items & tax 23,271.54 21,618.05 12,150.39 81,985.15 46,462.25
4 Exceptional items (refer note 10) 955.90 1,655.26
5 Profit before tax 23,271.54 20,662.15 12,150.39 80,329.89 46,462.25
6 Tax expense
Current tax 4,894.60 5,097.54 2,690.78 18,596.50 11,088.24
Tax adjustment for earlier years 64.17 64.17
Deferred tax charge/(credit) 861.31 55.46 324.19 1,479.03 790.77
7 Net profit for the period/year 17,515.63 15,509.15 9,071.25 60,254.36 34,519.07
8 Other comprehensive (expenses)/ income (net of tax)
(i) Items that will not be reclassified to profit or loss
Re-measurement of defined benefit plan 178.85 (180.33) (306.57) (301.48) (531.57)
(ii) Income tax relating to items that will not be reclassified to profit or loss (45.01) 45.39 77.16 75.88 133.79
9 Total comprehensive income 17,649.47 15,374.21 8,841.84 60,028.76 34,121.29
10 Paid up equity share capital (Face value of Rs. 2/- each) 2,677.96 2,677.87 2,676.15 2,677.96 2,676.15
11 Other equity 3,22,342.90 2,66,425.18
12 Earning per share (Face value of Rs.2/- each) not annualized
Basic 13.08 11.59 6.78 45.01 25.81
Diluted 13.08 11.58 6.78 44.98 25.79
Particulars As at March 31, 2026 (Audited) As at March 31, 2025 (Audited)
ASSETS
Non-current assets
Property, plant and equipment 1,85,716.27 1,75,957.71
Capital work-in-progress 7,492.91 2,345.53
Intangible assets 763.76 699.66
Intangible assets under development 130.18
Financial assets
– Investments 17,425.68 13,539.53
– Other financial assets 7,784.15 2,380.62
Non current tax assets (net) 23.63 284.97
Other non-current assets 11,981.71 10,034.25
Total non-current assets 2,31,318.29 2,05,242.27
Current assets
Inventories 1,16,559.23 1,07,682.69
Financial assets
– Trade receivables 1,18,955.14 1,18,218.45
– Cash and cash equivalents 6,966.88 3,960.71
– Bank balances other than above 1,807.26 1,753.94
– Loans 1,126.34 1,126.34
– Other financial assets 2,361.76 7,835.92
Other current assets 11,501.55 11,801.82
Total current assets 2,59,278.16 2,52,379.87
Total assets 4,90,596.45 4,57,622.14
EQUITY AND LIABILITIES
Equity
Equity share capital 2,677.96 2,676.15
Other equity 3,22,342.90 2,66,425.18
Total equity 3,25,020.86 2,69,101.33
Non-current liabilities
Financial liabilities
– Borrowings 1,857.14 15,428.57
– Lease liabilities 12,401.23 8,787.82
– Other financial liabilities 17.87
Deferred tax liabilities (net) 11,253.72 9,850.57
Other non – current liabilities 5,075.96
Total non-current liabilities 30,588.05 34,084.83
Current liabilities
Financial liabilities
– Borrowings 31,325.05 47,639.34
– Lease liabilities 4,261.43 3,188.05
– Acceptances 30,036.78 35,213.13
– Trade payables
  Total outstanding dues of micro enterprises and small enterprises 4,213.72 3,927.08
  Total outstanding dues of creditors other than micro enterprises and small enterprises 28,356.00 27,326.06
– Other financial liabilities 19,290.04 15,030.56
Other current liabilities 12,697.37 18,101.25
Provisions 2,913.50 2,495.78
Current tax liabilities (net) 1,893.65 1,514.73
Total current liabilities 1,34,987.54 1,54,435.98
Total liabilities 1,65,575.59 1,88,520.81
Total equity and liabilities 4,90,596.45 4,57,622.14
Particulars For the year ended March 31, 2026 (Audited) For the year ended March 31, 2025 (Audited)
A. Cash flow from operating activities
Profit for the year before tax 80,329.89 46,462.25
Adjustments for
Depreciation and amortisation expenses 15,302.33 14,013.73
Profit on sale of current investment (net) (10.49) (3.60)
Profit on sale / Write off assets (265.05) 29.61
Finance costs 6,403.45 7,379.52
Interest income (790.60) (378.03)
Liabilities no longer required written back (46.22) (7.90)
Provision for expected credit loss and bad debt 1,454.98 193.23
Provision for non-moving / obsolete inventory 138.55 (56.54)
Share based payment expenses 368.50 352.00
Dividend income on investments (360.12) (0.19)
Cash flow from operating activities before working capital changes 1,02,525.22 67,984.08
Change in working capital
Inventories (9,015.12) (29,657.61)
Trade receivables (2,191.67) (20,596.67)
Other financial assets 5,550.87 (2,716.81)
Other non financial assets (121.74) 3,405.21
Acceptances (5,176.35) 13,986.61
Other financial liabilities 4,892.12 1,649.04
Provisions 116.25 (54.16)
Trade payables 1,362.79 6,458.97
Other liabilities (5,794.33) 4,789.54
Cash generated from operating activities before taxes 92,148.04 45,248.20
Net income tax paid (net of refund) (17,956.25) (9,037.51)
Net cash flow from operating activities (A) 74,191.79 36,210.69
B. Cash flow from investing activities
Acquisition of property, plant & equipment, capital work in progress, intangible assets and intangible under development (24,390.12) (18,009.93)
Proceeds from sale of property, plant & equipment 612.95 747.29
Investment in joint ventures (3,886.15)
Proceeds from sale of current investment (net) 10.49 3.60
Interest received 844.47 375.25
Dividend received 360.12 0.19
Movement in bank deposits (net) (121.84) (180.82)
Net cash used in investing activities (B) (26,570.08) (17,064.42)
C. Cash flow from financing activities
Proceeds from issue of equity shares (including securities premium) 876.97 904.00
Interest portion of lease payment (998.25) (660.25)
Principal lease payments (3,852.90) (2,533.42)
Repayment of long term borrowings (including current maturities of long term borrowing) (13,571.43) (13,571.43)
Proceeds from / (repayment of) short term borrowings (net) (16,314.29) 2,930.28
Dividend paid (including dividend distribution tax) (5,354.70) (4,012.89)
Interest paid (5,400.94) (6,801.03)
Net cash used in financing activities (C) (44,615.54) (23,744.74)
Cash and cash equivalents (A+B+C) 3,006.17 (4,598.47)
Cash and cash equivalents at the beginning of the year 3,960.71 8,559.18
Cash and cash equivalents at the end of the year 6,966.88 3,960.71
Sl. No. Particulars (1) Quarter ended 31.03.2026 Refer note 4 (2) Quarter ended 31.12.2025 (Unaudited) (3) Quarter ended 31.03.2025 Refer note 4 (4) Year ended 31.03.2026 (Audited) (5) Year ended 31.03.2025 (Audited)
1 Income
(a) Revenue from operations 5,18,230.78 5,42,383.82 4,48,542.52 20,97,638.56 17,09,853.55
(b) Other Income 581.36 260.97 137.98 1,184.48 485.01
Total income 5,18,812.14 5,42,644.79 4,48,680.50 20,98,823.04 17,10,338.56
2 Expenses
(a) Cost of material consumed 81,815.62 84,595.76 78,987.19 3,34,265.89 2,90,653.43
(b) Purchase of stock-in-trade 135.29 279.01 (50.35) 681.70 (136.68)
(c) Changes in inventories of finished goods