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Meghmani Organics Q4 FY26: Revenue and profit jump

May 14, 2026 4 mins read Firehose Gupta

Meghmani Organics Limited — Quarter and year ended March 31, 2026

Optional commentary: Standalone and consolidated audited financial results are presented in Rs. in Lakhs.

Sr. No. Particulars Quarter ended March 31, 2026 Audited (refer note 1) Quarter ended December 31, 2025 Unaudited Quarter ended March 31, 2025 Audited (refer note 1) Year ended March 31, 2026 Audited Year ended March 31, 2025 Audited
I Revenue from operations 45,661.66 48,493.62 50,209.66 209,181.33 200,386.98
II Other income 3,377.98 1,444.31 1,442.28 9,354.37 4,356.52
III Total income (I+II) 49,039.64 49,937.93 51,651.94 218,535.70 204,743.50
IV (a) EXPENSES – Cost of materials consumed 26,799.00 31,430.39 27,689.80 123,169.22 124,839.23
IV (b) Purchases of stock-in-trade 392.33 335.76 272.02 0.00 1,322.22
IV (c) Changes in inventories of finished goods, work-in-progress and stock-in-trade 1,727.50 (3,219.40) 1,679.25 2,963.93 (2,300.89)
IV (d) Employee benefits expenses (Refer Note 5) 2,598.25 3,091.90 2,442.12 11,024.72 9,396.13
IV (e) Finance costs 1,670.52 1,357.56 1,361.98 7,321.98 5,343.33
IV (f) Depreciation and amortisation expense 2,156.15 2,199.58 2,173.15 8,746.90 8,560.82
IV (g) Other expenses 11,521.17 11,708.27 11,671.61 47,597.13 49,095.81
IV Total expenses (IV) 46,864.92 46,904.06 47,289.93 202,376.73 196,256.65
V Profit/(Loss) before exceptional items and tax (III – IV) 2,174.72 3,033.87 4,362.01 16,158.97 8,486.85
VI Exceptional items 0.00 0.00 0.00 0.00 0.00
VII Profit/(Loss) before tax (V – VI) 2,174.72 3,033.87 4,362.01 16,158.97 8,486.85
VIII (1) Tax expense – Current tax 530.00 850.00 166.74 3,940.00 550.00
VIII (2) Tax Adjustments (Including Deferred Tax) relating to earlier period (313.31) 0.00 0.00 (313.31) (10.60)
VIII (3) Net deferred tax charge/(credit) 4.43 (45.89) 797.83 5.94 1,305.39
IX Net Profit/(Loss) + (VII-VIII) 1,953.60 2,229.76 3,397.44 12,526.34 6,642.06
X (i) Other Comprehensive Income – Remeasurement Gain on Define Benefit Plans 162.25 (106.91) 26.89 117.89 125.09
X (ii) Income tax on above (40.40) 26.90 (6.76) (29.24) (31.48)
X Total Other Comprehensive Income (X) 121.85 (80.01) 20.13 88.65 93.61
XI Total Comprehensive Income/(Loss) for the period/year (IX + X) 2,075.45 2,149.75 3,417.57 12,614.99 6,735.67
XII Paid up equity share capital (face value of Rs. 1 each) 2,543.14 2,543.14 2,543.14 2,543.14 2,543.14
XIII Other equity 0.00 0.00 0.00 173,288.68 160,673.69
XIV (Basic) Earnings per share (of Rs.1 each) (not annualised for quarters) – Basic (in rupees) 0.77 0.88 1.34 4.93 2.61
XIV (Diluted) Earnings per share (of Rs.1 each) (not annualised for quarters) – Diluted (in rupees) 0.77 0.88 1.34 4.93 2.61
Particulars Quarter ended March 31, 2026 Audited (refer note 1) Quarter ended December 31, 2025 Unaudited Quarter ended March 31, 2025 Audited (refer note 1) Year ended March 31, 2026 Audited Year ended March 31, 2025 Audited
1. SEGMENT REVENUE (a) Pigment 10,801.98 10,283.55 13,235.33 46,056.98 55,325.13
1. SEGMENT REVENUE (b) Agrochemicals 34,859.68 38,210.07 36,974.33 163,124.35 145,061.85
1. SEGMENT REVENUE Total 45,661.66 48,493.62 50,209.66 209,181.33 200,386.98
Less Inter-segment sales 0.00 0.00 0.00 0.00 0.00
Net sales Income from operations 45,661.66 48,493.62 50,209.66 209,181.33 200,386.98
2. SEGMENT RESULTS (a) Pigment 601.52 (134.92) 861.75 1,843.89 1,984.73
2. SEGMENT RESULTS (b) Agrochemicals 4,000.34 5,206.61 5,310.31 24,312.04 13,749.35
2. SEGMENT RESULTS Total 4,601.86 5,071.69 6,172.06 26,155.93 15,734.08
Less – (i) Finance Cost 1,670.52 1,357.56 1,361.98 7,321.98 5,343.33
Less – (ii) Other Un-allocable expenses, net of income 756.62 680.26 448.07 2,674.98 1,903.90
Profit/(Loss) before exceptional items and tax 2,174.72 3,033.87 4,362.01 16,158.97 8,486.85
Exceptional items 0.00 0.00 0.00 0.00 0.00
Profit/(Loss) before tax 2,174.72 3,033.87 4,362.01 16,158.97 8,486.85
3. SEGMENT ASSETS (a) Pigment 108,389.94 109,165.11 104,540.06 108,389.94 104,540.06
3. SEGMENT ASSETS (b) Agrochemicals 181,537.21 191,343.67 174,864.01 181,537.21 174,864.01
3. SEGMENT ASSETS (c) Unallocated 8,480.30 9,016.75 8,525.73 8,480.30 8,525.73
Total Segment Assets 298,407.45 309,525.53 287,929.80 298,407.45 287,929.80
4. SEGMENT LIABILITIES (a) Pigment 12,118.51 12,477.73 15,399.38 12,118.51 15,399.38
4. SEGMENT LIABILITIES (b) Agrochemicals 47,100.41 55,902.58 42,551.12 47,100.41 42,551.12
4. SEGMENT LIABILITIES (c) Unallocated (including borrowings) 63,356.71 67,388.84 66,762.47 63,356.71 66,762.47
Total Segment Liabilities 122,575.63 135,769.15 124,712.97 122,575.63 124,712.97
Sr. No. Particulars As at March 31, 2026 Audited As at March 31, 2025 Audited
ASSETS
Non-Current Assets
(a) Property, Plant and Equipment 90,148.24 95,207.24
(b) Capital work-in-progress 6,917.29 6,672.82
(c) Other Intangible Assets 1,017.67 1,155.69
(d) Intangible assets under development 848.71 545.55
(e) Investment Property 62.86 62.86
(f)(i) Financial Assets – Investments in Subsidiaries 68,062.77 58,741.55
(f)(ii) Other Investments 357.71 321.18
(f)(iii) Loans 75.87 0.00
(f)(iv) Other Financial Assets 2,483.68 1,747.82
(g) Non-Current Tax Assets (Net) 2,755.15 2,155.91
(h) Other Non-Current Assets 1,294.91 943.03
Total Non-Current Assets 174,024.86 167,553.65
Current Assets
(a) Inventories 50,388.94 55,659.36
(b)(i) Investments 102.25 0.00
(b)(ii) Trade Receivables 65,253.26 52,751.75
(b)(iii) Cash and cash equivalents 1,282.22 1,866.46
(b)(iii) Bank balances other than (iii) above 965.51 849.51
(b)(iv) Loans 40.04 36.66
(b)(v) Other financial assets 2,589.20 3,364.66
(c) Current Tax Assets (Net) 0.00 693.08
(d) Other Current Assets 3,761.17 5,154.67
Total Current Assets 124,382.59 120,376.15
Total Assets 298,407.45 287,929.80
EQUITY AND LIABILITIES
Equity
(a) Equity Share capital 2,543.14 2,543.14
(b) Other Equity 173,288.68 160,673.69
Total Equity 175,831.82 163,216.83
Non-Current Liabilities
(a)(i) Financial Liabilities – Borrowings 2,671.92 9,556.21
(a)(ii) Other Financial Liabilities 438.14 952.97
(b) Provisions 2,089.86 1,536.37
(c) Deferred Tax Liabilities (Net) 5,750.02 5,714.84
(d) Other Non-Current Liabilities 506.75 0.00
Total Non- Current Liabilities 11,456.69 17,760.39
Current Liabilities
(a)(i) Financial Liabilities – Borrowings 50,568.63 47,991.39
(a)(ii) Lease Liabilities 0.00 14.97
(a)(iii) Trade Payables – Total outstanding dues of micro and small enterprises 632.72 734.52
(a)(iii) Trade Payables – Total outstanding dues of creditors other than micro and small enterprises 49,552.14 49,504.07
(a)(iv) Other Financial Liabilities 7,025.38 5,100.74
(b) Other Current Liabilities 572.89 1,620.96
(c) Provisions 215.17 157.80
(d) Current Tax Liabilities (Net) 2,552.01 1,828.13
Total Current Liabilities 111,118.94 106,952.58
Total Liabilities 122,575.63 124,712.97
Total Equity and Liabilities 298,407.45 287,929.80
Sr. No. Particulars For the year ended 31st March 2026 (Audited) For the year ended 31st March 2025 (Audited)
A Cash Flow from Operating Activities
Profit/(Loss) Before Tax 16,158.97 8,486.85
Adjustment to reconcile (loss) before tax to net cash flows:
Depreciation and Amortisation Expenses 8,746.90 8,560.82
Unrealised Foreign Exchange Loss (Net) (2,251.73) 172.50
Liability no longer Required written back (874.29) (305.64)
Finance Cost 7,321.98 5,343.33
Dividend and Interest Income (800.85) (707.08)
Bad Debts Written off 105.41 31.60
Provision of Bad Debt 245.12 100.00
Sundry Balance Written off 25.82 123.05
Profit on Sale of Mutual Fund (10.94) (15.57)
Loss on Sale/Discard of Property, Plant & Equipment (Net) 116.01 150.91
Lease Income (84.44) (11.14)
Operating Profit Before Working Capital Changes 28,697.96 21,929.63
Adjustment for:
(Increase)/Decrease in Inventories 5,270.42 (7,578.18)
(Increase)/Decrease in Trade Receivables (9,544.61) (9,826.26)
(Increase)/Decrease in Short Term Loans (3.39) (9.85)
(Increase)/Decrease in Other Assets