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Modi Naturals Q1 FY26: Revenue jumps to ₹24,307.51 lakhs

May 13, 2026 4 mins read Firehose Gupta

Modi Naturals Limited — quarter and year ended 31st March 2026

The following tables are extracted from the provided document (₹ Lakhs unless otherwise stated).

Particulars Quarter Ended 31/03/2026 (Audited) Quarter Ended 31/12/2025 (Unaudited) Quarter Ended 31/03/2025 (Audited) Year Ended 31/03/2026 (Audited) Year Ended 31/03/2025 (Audited)
I Revenue from Operations 24307.51 17409.31 18989.50 71918.32 66291.28
II Other Income 20.75 3.41 14.15 98.40 120.74
Total Income (I+II) 24328.26 17412.72 19003.65 72016.72 66412.02
IV Expenses
(a) Cost of materials consumed 19546.41 13081.22 14381.30 52712.27 50387.80
(b) Purchases of stock-in-trade 337.95 1228.92 205.23 1924.10 675.50
(c) Changes in inventories of finished goods, work-in-progress and stock-in-trade (886.27) (897.17) (46.78) 56.58 55.35
(d) Employee benefits expense 1132.73 722.15 751.75 3413.78 3118.67
(e) Finance costs 144.61 192.01 329.55 778.35 1170.29
(f) Depreciation and amortisation expense 198.99 201.41 181.61 801.17 781.74
(g) Other expenses 1733.63 1669.88 2087.63 6462.66 8453.43
Total Expenses (IV) 22206.05 16198.42 17890.30 66148.91 62642.78
V Profit / (Loss) before exceptional items and tax (III-IV) 2122.21 1214.30 1113.35 5867.81 3769.24
VI Exceptional items 485.57 0.00 0.00 485.57 0.00
VII Profit before tax (V-VI) 2607.78 1214.30 1113.35 6353.38 3769.24
VIII Tax Expense
(a) Current Tax 518.37 171.75 324.60 1009.94 374.60
(b) Deferred Tax 122.05 38.06 (27.33) 315.09 292.07
IX Profit / (Loss) for the period (VII – VIII) 1967.35 1004.49 816.08 5028.35 3102.57
X Other Comprehensive Income
A. (i) Items that will not be reclassified to profit or loss 28.81 1.35 (10.43) 29.86 (8.93)
(ii) Income tax relating to items that will not be reclassified to profit or loss
B. (i) Items that will be reclassified to profit or loss
(ii) Income tax relating to items that will be reclassified to profit or loss
Other comprehensive income for the period 28.81 1.35 (10.43) 29.86 (8.93)
XI Total Comprehensive Income for the period (IX + X) 1996.16 1005.84 805.65 6058.21 3093.64
XII Paid up equity share capital (Face value Rs. 10/- per share) 1330.64 1330.64 1330.64 1330.64 1330.64
XIII Other Equity excluding revaluation reserves 15882.98 10824.77
XIV Earnings Per Share (EPS)
a) Basic (Rs.) 15.00 7.56 6.05 38.01 23.25
b) Diluted (Rs.) 15.00 7.56 6.05 38.01 23.25
Particulars As at 31.03.2026 (Audited) As at 31.03.2025 (Audited)
ASSETS
1. Non-Current assets
(a) Property, Plant and Equipment 21,351.31 14,476.11
(b) Capital work-in-progress 1,935.49 1,607.80
(c) Other Intangible assets 12.05 7.19
(d) Financial Assets
(i) Investment in Subsidiary and associates
(ii) Trade receivables 34.30 34.30
(iii) Loans and Advances
(e) Other non-current assets 129.10 960.10
Total Non Current Assets 23,462.25 17,085.50
2. Current assets
(a) Inventories 8,902.45 8,372.23
(b) Financial Assets
(i) Trade receivables 4,665.65 4,771.31
(ii) Cash and cash equivalents 182.58 27.77
(iii) Loans and Advances
(iv) Other financial assets 27.02 7.08
(iv) Bank balances other than (ii) above 645.46 269.94
(c) Other current assets 2,776.04 2,444.22
Total Current Assets 17,199.20 15,892.55
Total Assets 40,661.45 32,978.05
Particulars As at 31.03.2026 (Audited) As at 31.03.2025 (Audited)
EQUITY AND LIABILITIES
1. Equity
(a) Equity Share capital 1,330.64 1,330.64
(b) Other Equity 15,882.98 10,824.77
(c) Money received Against Convertible Warrants
Total Equity 17,213.62 12,155.41
2. LIABILITIES
Non-Current liabilities
(a) Financial Liabilities
(i) Borrowings 12,035.32 7,077.83
(ii) Trade payables
(A) total outstanding dues of micro enterprises and small enterprises; and
(B) total outstanding dues of creditors other than micro enterprises and small enterprises 44.04 44.33
(iii) Other financial liabilities 58.00 58.00
(b) Provisions 217.89 218.98
(c) Deferred tax liabilities (Net) 745.79 428.72
Total Non-current liabilities 13,101.04 7,827.86
Current liabilities
(a) Financial Liabilities
(i) Borrowings 4,086.08 7,800.26
(ii) Trade payables
(A) total outstanding dues of micro enterprises and small enterprises; and 375.78 112.08
(B) total outstanding dues of creditors other than micro enterprises and small enterprises 2,832.04 2,716.69
(iii) Other Financial liabilities 468.58 98.69
(b) Other current liabilities 2,066.42 1,888.07
(c) Provisions 283.96 113.55
(d) Current Tax Liabilities (Net) 233.93 265.44
Total Current liabilities 10,346.79 12,994.78
Total Liabilities 23,447.83 20,822.64
Total Equity and Liabilities 40,661.45 32,978.05
Particulars Year Ended 31.03.2026 Year Ended 31.03.2025
(A) CASH FLOW FROM OPERATING ACTIVITIES:
Profit before Taxation 6,353.38 3,769.24
Adjustments to reconcile profit and loss to net cash provided by operating activities:
Depreciation 801.17 781.74
Foreign exchange fluctuation 5.30 (38.46)
Provision for Gratuity 22.93 13.11
Profit(-)/loss on sale of assets (net) (1.45) (2.94)
Interest expenses 929.76 1,329.79
1,757.71 2,083.24
Operating profit before working Capital changes 8,111.09 5,852.48
Net change in:
Trade and other receivable (491.29) (1,797.58)
Inventories (530.21) 1,234.11
Trade payables 926.08 1,075.56
(95.42) 512.09
Cash generated from operations 8,015.67 6,364.57
Interest paid (929.75) (1,309.39)
Direct taxes paid (Net of Refund) (980.12) (175.77)
Cash flow before extra ordinary items 6,105.80 4,879.42
Extra ordinary items (net)
Net cash from operating activities (A) 6,105.80 4,879.42
(B) CASH FLOW FROM INVESTING ACTIVITIES:
Payment for purchase of property, plant and equipment (8,009.47) (1,981.90)
Proceeds from Bank Deposits (7.15)
Proceeds from disposal of property, plant and equipment 2.00 4.00
Capital Advances 820.32 (833.48)
Net cash used in Investing activities (B) (7,194.30) (2,811.38)
(C) CASH FLOW FROM FINANCING ACTIVITIES:
Borrowings (net) 1,243.31 (2,075.25)
Net Cash generated from financing activities (C) 1,243.31 (2,075.25)
Net change in cash and cash equivalents (A+B+C) 154.81 (7.21)
Cash and cash equivalents at the beginning of the year 27.77 34.98
Cash and cash equivalents at the end of the year 182.58 27.77
Net increase / decrease (-) as disclosed above 154.81 (7.21)
Sr. No. Particulars Qtr Ended Mar-26 Audited Qtr Ended Dec-25 Unaudited Qtr Ended Mar-25 Audited Year Ended Mar-26 Audited Year Ended Mar-25 Audited
1 SEGMENT REVENUE (Revenue from Operations)
– BRANDED 5,088.17 4,194.18 4,715.05 18,354.19 17,781.35
– BULK 10,003.25 5,104.63 5,608.56 19,828.97 15,859.87
– ETHANOL 9,216.10 8,110.50 8,665.89 33,735.17 32,650.06
REVENUE FROM OPERATIONS 24,307.51 17,409.31 18,989.50 71,918.32 66,291.28
2 SEGMENT RESULTS (EBITDA)
– BRANDED 415.00 384.62 300.31 1,519.94 1,505.86
– BULK 273.05 (130.83) 89.89 259.67 170.20
– ETHANOL 2,349.67 1,415.57 1,306.66 6,346.79 4,288.01
TOTAL SEGMENT PROFIT BEFORE INTEREST, TAX, DEPRECIATION AND AMORTISATION 3,037.72 1,669.36 1,696.86 8,126.40 5,964.07
3 SEGMENT RESULTS (EBIT)
– BRANDED 404.03 374.75 294.73 1,491.70 1,482.84
– BULK 248.24 (160.11) 71.53 134.69 44.81
– ETHANOL 2,186.46 1,253.31 1,146.00 5,698.84 3,654.69
TOTAL SEGMENT PROFIT BEFORE INTEREST AND TAX 2,838.73