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Gokul Agro Q1 FY26 Profit Jumps to ₹11.9 Crore

May 15, 2026 4 mins read Firehose Gupta

Gokul Agro Resources Limited — Quarter ended March 31, 2026 (reported May 15, 2026)

This document includes audited consolidated and standalone financial results for the quarter and year ended March 31, 2026, along with standalone and consolidated cash flow statements and the statement of assets and liabilities.

Plant (Karnataka) Survey No. 10/1P, 11/8P, 12/3P, 12/4P, Industrial Area, Baikampady, Mangaluru – 575011, Karnataka. Contact: +91 9879112106
Plant (Gujarat) 76/1p, 80, 89, 91 Meghpar Borichi, Galpadar Road, Nr. Sharma Resort, Tal.: Anjar Dist. – Kutch – 370110, Gujarat-india. m: 72269 27175
Plant (Andhra Pradesh) Survey No.:929, 929A & 929B, Vill. EPURU BIT-1, Dorvulapalem Panchayat Muthukuru, Sri Potti Sriramulu Nellore Dist.-524323 Andhra Pradesh-india. m: 72279 17006
Plant (West Bengal) J.L No.149, P.S Bhabanipur, Mouza – Debhog, Haldia-721657 District – Purba Medinipur, West Bengal-india. m: 72270 37646
Sr. No. Particulars Three months ended 31.03.2026 (Audited) Preceding three months ended 31.12.2025 (Unaudited) Corresponding three months in the previous year ended on 31.03.2025 (Audited) Current year ended 31.03.2026 (Audited) Previous year ended 31.03.2025 (Audited)
1 Income
Revenue From Operations 620,018.71 631,425.48 546,214.99 2,407,698.02 1,955,075.05
Other Income 1,340.51 816.46 974.18 3,971.35 3,403.44
Total Income 621,359.22 632,241.94 547,189.18 2,411,669.37 1,958,478.49
2 Expenditure
Cost of materials consumed 501,466.61 481,941.07 312,004.59 1,836,011.49 1,348,085.23
Purchase of stock-in-trade 91,846.61 129,677.31 184,091.49 477,242.15 515,387.77
Changes in inventories of finished goods, work-in-progress and stock-in-trade (5,822.70) (8,188.11) 25,534.29 (24,266.63) (1,865.42)
Employees benefits expense 2,089.29 1,964.81 1,607.58 7,258.46 5,930.89
Finance Costs 4,550.31 4,648.57 4,821.07 17,435.23 18,257.91
Depreciation and amortization expense 1,457.76 1,471.54 1,361.63 5,658.83 5,445.61
Other Expenditure (Any item exceeding 10% of total expenses relating to continuing operations to be shown separately) 10,941.33 9,865.92 10,758.33 43,803.85 34,708.39
Total Expenses 606,529.22 621,381.11 540,178.98 2,363,143.37 1,925,950.38
3 Profit / (Loss) before exceptional Items 14,830.00 10,860.82 7,010.19 48,526.00 32,528.12
4 Exceptional Items
5 Profit / (Loss) from ordinary activities before tax 14,830.00 10,860.82 7,010.19 48,526.00 32,528.12
6 Tax expense
Current Tax 2,627.07 2,834.81 1,998.33 10,543.07 7,303.29
Deferred Tax Liability/(Assets) 227.82 228.06 179.82 949.04 732.43
Excess/(Short) Provision Of Earlier Years 55.65 12.25 (44.72) 27.34 (73.39)
7 Net Profit/ (Loss) from Ordinary Activities after tax 11,919.46 7,785.70 4,876.76 37,006.55 24,565.79
8 Other comprehensive income / (expenses)
Other Comprehensive Income/(Expenses) to be reclassified to profit or loss in subsequent periods:
Translation of Foreign Companies – Assets & Liabilities (671.59) 36.35 (2,375.36) (275.72) (1,553.09)
Other Comprehensive Income/(Expenses) not to be reclassified to profit or loss in subsequent periods:
Re-measurement gains/(losses) on defined benefit plans (16.49) (33.34) (16.49) (33.34)
Translation gain/(losses) of Foreign Operations – Revenue Transactions 1,605.54 237.91 2,376.41 2,041.40 1,992.81
Total Comprehensive income 12,836.92 8,059.96 4,844.47 38,755.74 24,972.16
9 Share of Profit / (Loss) of Associates (27.56) (15.61) (5.79) (68.97) (7.36)
10 Minority Interest
11 Net Profit/ (Loss) after taxes, minority interest and share of profit / (loss) of associates 12,809.36 8,044.36 4,838.68 38,686.78 24,964.80
12 Paid-up Equity Share Capital (Face Value of Rs. 1/- each) 2,950.87 2,950.87 2,950.87 2,950.87 2,950.87
13 Other Equity 139,330.19 100,643.42
14 Earnings Per Share (before extraordinary items) (of Rs. 1/- each) (not annualized):
a) Basic (Rs.) 4.03 2.63 1.65 12.52 8.32
b) Diluted (Rs.) 4.03 2.63 1.65 12.52 8.32
Earnings Per Share (after extraordinary items) (of Rs. 1/- each) (not annualized):
a) Basic (Rs.) 4.03 2.63 1.65 12.52 8.32
b) Diluted (Rs.) 4.03 2.63 1.65 12.52 8.32
Particulars Standalone: As at 31/03/2026 Audited Standalone: As at 31/03/2025 Audited Consolidated: As at 31/03/2026 Audited Consolidated: As at 31/03/2025 Audited
ASSETS
I Non-current assets
a Property, plant and equipment 87,136.02 76,258.78 91,331.49 80,439.26
b Capital work-in-progress 4,908.38 11,312.40 4,908.38 11,312.40
c Right of Use of Asset 1,536.98 1,228.97 1,550.00 1,228.97
d Other Intangible assets 75.21 69.16 75.21 69.16
e Financial assets
i. Investments 931.76 931.76 2,680.56 825.06
ii. Other Financial Assets 290.72 735.64 290.72 745.64
f Other non-current assets 6,957.62 2,289.40 6,957.62 2,289.40
Total non-current assets 101,836.70 92,826.11 107,793.98 96,909.90
II Current assets
a Inventories 232,260.76 187,444.45 232,260.76 187,444.45
b Financial assets
i. Investments 10,844.67 967.11 10,844.67 967.11
ii. Trade receivables 35,582.66 27,895.03 59,162.59 54,296.86
iii Cash and cash equivalents 12,053.69 737.18 15,276.84 14,508.63
iv Bank Balance other than (iii) 38,740.89 24,438.13 41,911.10 25,105.66
v Loans and advances 3,126.94 2,921.67 3,133.77 2,872.49
vi Other Financial Assets 1,360.64 1,564.96 2,222.13 2,303.51
c Current Tax Assets (Net) 0.00 156.10 0.00 0.00
d Other current assets 20,169.84 23,587.44 20,235.81 23,593.29
Total current assets 354,140.10 269,712.07 385,047.68 311,092.01
Total Assets 455,976.80 362,538.18 492,841.66 408,001.91
EQUITY AND LIABILITIES
Equity
a Equity Share capital 2,950.87 2,950.87 2,950.87 2,950.87
b Other equity 114,548.38 82,817.02 139,330.19 100,643.42
Total equity 117,499.25 85,767.88 142,281.06 103,594.28
LIABILITIES
I Non-current liabilities
a Financial liabilities
i Borrowings 29,550.37 34,960.33 31,986.27 34,960.33
ii Lease obligations 1,803.51 1,464.60 1,814.73 1,464.60
b Long-term provisions 580.68 351.99 580.68 351.99
c Deferred tax liabilities (net) 3,630.36 2,681.81 3,630.87 2,681.83
Total non-current liabilities 35,564.92 39,458.72 38,012.54 39,458.75
II Current liabilities
a Financial liabilities
i Borrowings 13,956.47 16,876.10 24,904.13 17,799.28
ii Lease liabilities 203.68 167.30 205.87 167.30
iii Trade payables
– Micro And Small Enterprises 12,140.94 1,820.20 12,140.94 1,820.20
– Trade Credits from Banks & Financial Institutions 13,502.27 47,292.53 13,502.27 47,292.53
– Others 242,091.21 158,408.56 239,722.44 184,375.25
iv Other financial liabilities 3,769.16 2,666.24 3,802.99 2,691.90
b Other Current liabilities 15,826.25 9,681.76 15,828.70 9,683.21
c Current Tax Liabilities (Net) 527.73 0.00 1,503.55 690.63
d Short-term provisions 894.92 398.87 937.17 428.58
Total current liabilities 302,912.63 237,311.57 312,548.06 264,948.88
Total Equity and Liabilities 455,976.80 362,538.18 492,841.66 408,001.91
Particulars For the Year ended 31st March, 2026 For the Year ended 31st March, 2025
A. Cash Flow From Operating Activities
Net Profit Before Taxation and Extraordinary Items 48,457.03 32,520.76
Adjustment For :-
Depreciation and Amortization Expense 5,658.83 5,445.61
Foreign Exchange Loss on Borrowings (Net) 140.09 101.26
Loss/(Profit) on Sale of Fixed Assets-Net 58.00 2.10
Interest Income (3,371.95) (2,779.89)
Interest Paid 17,248.52 18,091.19
Interest Paid on Lease Liabilities 186.71 166.72
Net Gain on sale / fair valuation of Investment at FVTPL (365.74) (377.66)
Provision for Doubtful Debts & Advances 2.44 61.10
Provision for Foreign Currency Translation Reserve 1,765.68 439.72
Total 21,322.58 21,150.14
Operating Profit (Loss) Before Working Capital Changes 69,779.61 53,670.90
Adjustment For :-
(Increase)/ Decrease in Trade Receivables (4,868.17) (15,795.16)
(Increase)/ Decrease in Loans and Advances & Other Current Assets 7,328.66 7,943.26
(Increase)/ Decrease in Other Bank Balances (16,392.57) 4,778.18
(Increase)/ Decrease in Inventories (44,816.31) (57,617.72)
Increase/ (Decrease) in Trade Payables and Others 31,446.95 60,935.26
Cash Generated From Operations 42,478.17 53,914.73
Direct Tax Paid (9,980.24) (7,193.35)
Cash Flow Before Extraordinary Items 32,497.92 46,721.38
Extraordinary Items
Net Cash