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Valiant Laboratories Q1 FY26 Revenue and Net Profit

May 14, 2026 3 mins read Firehose Gupta

Valiant Laboratories Limited — Quarter and year ended 31st March, 2026

Sr. No. Particulars Quarter Ended Year Ended
31-Mar-2026 (Audited) 31-Mar-2026 (Audited)
31-Dec-2025 (Audited) 31-Mar-2025 (Audited)
31-Mar-2025 (Audited) 31-Mar-2025 (Audited)
1 Income
Revenue from Operations 6,530.34 21,704.25
Other Income 77.27 289.48
Total Income 6,607.61 21,993.73 13,878.99
2 Expenses
a) Cost of Materials consumed 4,950.43 17,152.75
b) Changes in inventories of Finished Goods, WIP & Stock-In-Trade 218.85 21.38
c) Purchases of stock in Trade 247.83 1,556.53
d) Employee benefit expenses 129.07 500.36
e) Finance Cost 1.72 26.11
f) Depreciation and Amortization 52.12 226.19
g) Other expenses 534.10 1,755.63
Total Expenses 6,134.12 21,238.94
3 Profit/(Loss) before exceptional item & tax (1-2) 473.49 754.79
10.93
4 Exceptional Items
5 Profit/(Loss) before tax (3-4) 473.49 754.79
10.93
6 Tax expense (Net)
(a) Current Year Tax 104.88 166.20
(b) Deferred Tax 15.32 33.77
Total Tax expense (Net) 120.21 199.96
7 Net Profit/(Loss) for the period (5-6) 353.28 554.82
3.30
8 Other Comprehensive Income
Item that will not be reclassified to statement of Profit and Loss
Remeasurement of defined benefit Liability/Assets, net of Taxes (1.25) (0.43)
Fair value changes on Investments, net of Taxes
Total Other Comprehensive Income (1.25) (0.43)
9 (Total of profit and other comprehensive income for the year) (7+8) 352.03 554.39
10 Other Equity excluding revaluation reserve 26,544.62
11 Paid up equity share capital (face value of Rs.10 each)
Earning per equity share (in Rs.) (not annualised)
(a) Basic 0.65 1.02
(b) Diluted 0.70 1.10
Sr. No. Particulars Quarter Ended Year Ended
31-Mar-2026 (Audited) 31-Mar-2026 (Audited)
1 Income
Revenue from Operations 9,198.18 23,746.75
Other Income 17.12 232.04
Total Income 9,215.30 23,978.79
2 Expenses
a) Cost of Materials consumed 6,845.52 19,080.24
b) Purchases of stock in Trade 247.83 904.50
c) Changes in inventories of Finished Goods, WIP & Stock-In-Trade 119.62 (268.39)
d) Employee benefit expenses 256.38 699.82
e) Finance Cost 101.11 190.25
f) Depreciation, Amortization and impairment Expense 292.70 603.98
g) Other expenses 1,247.44 2,691.58
Total Expenses 9,110.62 23,901.97
3 Profit/(Loss) before exceptional item & tax (1 – 2) 104.68 76.82
4 Exceptional Items
5 Profit/(Loss) before tax (3-4) 104.68 76.82
6 Tax expense (Net)
(a) Current Year Tax 104.18 163.96
(b) Deferred Tax (175.37) 239.65
Total Tax expense (Net) (71.19) 403.61
7 Net Profit / ( Loss) for the period (5-6) 175.87 (326.79)
8 Other Comprehensive Income
Item that will not to be reclassified to statement of Profit and Loss
Remeasurement of defined benefit Liability / Assets, net of Taxes 0.20 0.42
Fair value changes on Investments, net of Taxes
Total Other Comprehensive Income 0.20 0.42
9 (Total of profit and other comprehensive income for the year) (7+8) 176.07 (326.37)
10 Other Equity excluding revaluation reserve 25,657.26
11 Profit attributable to:
Owners of the Company 175.87 (326.79)
Non-Controlling Interest
Total Comprehensive Income attributable to:
Owners of the Company 176.07 (326.37)
Non-Controlling Interest
12 Paid up equity share capital (face value of Rs.10 each) 5,431.25 5,431.25
Earnings per equity share (in Rs.) (not annualised)
(a) Basic 0.32 (0.51)
(b) Diluted 0.35 (0.51)
Particulars Standalone 31-Mar-2026 (Audited) Standalone 31-Mar-2025 (Audited) Consolidated 31-Mar-2026 (Audited) Consolidated 31-Mar-2025 (Audited)
ASSETS
Non-current assets
(a) Property, Plant and Equipment 2,836.56 2,949.56 22,578.87 4,788.26
(b) Right of use Assets 122.57 44.66 122.57 44.66
(c) Capital work-in-progress 35.73 16.61 608.45 15,578.06
(d) Other Intangible Assets 8.00 7.48 11.15 10.80
(e) Goodwill on consolidation
(f) Financial Assets
(i) Investment in Subsidiaries 16,505.80 16,505.80
(ii) Other Financial Assets 145.50 282.07 240.55 357.16
(g) Other non-current assets 3.00 3.73 45.00
Total Non-Current Assets 19,657.17 19,806.19 23,565.32 20,823.94
Current assets
(a) Inventories 2,297.04 395.58 4,542.62 398.87
(b) Financial Assets
(i) Investments 2,598.02 2,609.40
(ii) Trade Receivables 8,325.48 7,210.02 9,356.48 7,212.19
(iii) Cash and Cash Equivalents 307.30 479.89 352.81 491.65
(iv) Bank Balances Other than Cash & Cash Equivalents 351.74 2,254.00 352.74 7,107.49
(v) Loans 3.69 5.86 4.19 6.16
(vi) Other
(c) Other Current Assets 4,967.16 1,429.55 5,445.65 3,826.36
(d) Current Tax Assets (Net) 81.71 147.03 168.44 219.06
Total Current Assets 18,932.15 11,921.93 22,832.34 19,261.79
TOTAL ASSETS 38,589.31 31,728.11 46,397.66 40,085.75
Particulars Standalone 31-Mar-2026 (Audited) Standalone 31-Mar-2025 (Audited) Consolidated 31-Mar-2026 (Audited) Consolidated 31-Mar-2025 (Audited)
EQUITY AND LIABILITIES
EQUITY
(a) Equity Share Capital 5,431.25 4,345.00 5,431.25 4,345.00
(b) Other Equity 26,544.62 19,093.31 25,657.26 19,086.01
Total Equity 31,975.87 23,438.31 31,088.51 23,431.01
LIABILITIES
Non-Current Liabilities
(a) Financial Liabilities
(i) Borrowings 5,940.02 2,809.29 10,434.89
(ii) Lease Liabilities 79.78 25.13 79.78 25.13
(iii) Other financial liabilities 96.14 96.14 96.14 96.14
(b) Provisions 10.74 8.56 14.58 12.84
(c) Deferred Tax Liabilities (net) 158.90 125.20 364.78 124.17
Total non-current liabilities 345.55 6,195.06 3,364.57 10,693.17