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Arunjyoti Bio Ventures: Equity down, borrowings up

May 13, 2026 3 mins read Firehose Gupta

Arunjyoti Bio Ventures Limited — quarter ended 31 March 2026 (audited) and year ended 31 March 2026 (audited)

There are two financial tables in the provided document.

S No Particulars As at 31 March 2026 As at 31 March 2025
Audited Audited
I ASSETS
1 Non-current assets
(a) Property, plant and equipment 4,240.31 4,291.95
(b) Investment Property 271.45
(c) Intangible Assets 1.36 3.21
(d) Right of use Assets 46.18 54.58
(e) Financial Assets
   i) Other financial assets 187.83 149.57
(f) Deferred tax Asset (Net) (Refer Note 5) 97.45 37.05
(g) Other non-current Assets
Total Non Current Assets 4,844.58 4,536.36
2 Current assets
(a) Inventories 10.53 245.57
(b) Financial assets
   (i) Trade receivables 383.73 396.51
   (ii) Cash and cash equivalents 12.67 59.22
   (iii) Loans 65.99 0.27
   (iii) Other financial assets 0.90 0.37
(c) Current Tax Asset (Net) 62.22 51.41
(d) Other current assets 35.67 849.05
Total Current Assets 571.71 1,602.40
TOTAL ASSETS 5,416.29 6,138.76
II EQUITY AND LIABILITIES
1 Equity
(a) Equity share capital 1,863.81 1,863.81
(b) Other equity 1,008.00 1,461.61
Total Equity 2,871.81 3,325.42
2 Liabilities
(i) Non-current liabilities
(a) Financial liabilities
   (i) Borrowings 1,150.05 1,579.66
   (ii) Lease Liabilities 45.01 52.03
(b) Provisions 9.89
Total Non Current Liabilities 1,204.95 1,631.69
(ii) Current liabilities
(a) Financial liabilities
   (i) Borrowings 1,025.07 982.25
   (ii) Lease Liabilities 7.03 7.03
   (iii) Trade payables
    – total outstanding dues of micro and small enterprises 4.23 0.71
    – total outstanding dues of creditors other than micro and small enterprises 175.37 140.62
   (iv) Other financial liabilities 81.35 40.40
(b) Other current liabilities 46.44 10.64
(c) Provisions 0.04
Total Current Liabilities 1,339.53 1,181.65
Total Liabilities 2,544.48 2,813.34
TOTAL EQUITY AND LIABILITIES 5,416.29 6,138.76
Particulars As at 31 March 2026 As at 31 March 2025
Audited Audited
Cash Flows from Operating Activities
Profit/(Loss) Before Tax (514.02) (34.09)
Adjustment for:
Depreciation and amortisation 335.81 304.58
Bad debts written off 170.93
Advances to vendors written off 102.72
Inventory written off 241.18
(Profit)/Loss on sale of Property, Plant and Equipment 11.93
Interest expenses 204.73 258.87
Interest income (11.80) (28.13)
Income from Investment Property (61.08)
Operating Profit Before Working Capital Changes 480.40 501.23
Movements in Working Capital:
(Increase)/Decrease in trade receivables (158.15) (123.39)
(Increase)/Decrease in inventories (6.14) 47.44
(Decrease)/Increase in trade payables 38.27 (206.82)
(Increase)/Decrease in loans (65.72) (0.27)
(Increase)/Decrease in other financial assets (0.53) (0.37)
(Increase)/Decrease in non-current financial assets (38.26) (26.35)
(Increase)/Decrease in other non-current assets 710.66 (6.74)
(Increase)/Decrease in other current assets 9.93
(Decrease)/Increase in provisions 40.95 12.50
(Decrease)/Increase in other financial liabilities 35.80 (3.92)
(Decrease)/Increase in other current liabilities
Cash Flows Generated From Operating Activities 1,047.21 193.31
Net income tax paid / refunded (10.81) (31.46)
Net Cash Flows Generated From Operating Activities 1,036.40 161.85
Cash Flows From Investing Activities
Payment for Purchase of property plant equipment (Including Capital advance & Work in Progress) (291.04) (604.03)
Payment for Purchase of investment property (276.32)
Proceeds from sale of Property, Plant and Equipment 10.08
Interest income received 11.80 28.13
Income from Investment Property 61.08
Net Cash Used In Investing Activities (484.40) (575.90)
Cash Flows From Financing Activities
Proceeds from Issue of share capital (net of expenses) 3,243.44
Proceeds from/(Repayment of) non-current borrowings (429.61) (2,864.46)
Proceeds from/(Repayment of) current borrowings 42.82 151.00
Interest paid (199.76) (253.30)
Payment of lease liabilities (12.00) (12.00)
Net Cash Used In Financing Activities (598.55) 464.68
Net Change In Cash And Cash Equivalents (46.55) 50.63
Cash And Cash Equivalents At The Beginning Of The Year 59.22 8.59
Cash And Cash Equivalents At The End Of The Year 12.67 59.22