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Shree Ganesh Biotech FY26 Profit Up, Net Cash From Ops 819.56 Lacs

May 14, 2026 3 mins read Firehose Gupta

Shree Ganesh Biotech (India) Ltd — Year ended March 31, 2026 (Audited)

We request you to kindly take on record the same.

Sl no. Particulars Quarter Ended Year Ended
31-Mar-26 (Audited) 31-Dec-25 (Unaudited)
INCOME
(a) Gross Revenue from sale of products 212.13 69.81
(b) Other Operating Revenue
1 Revenue from Operations 212.13 69.81
2 Other Income 27.59 37.08
3 Total Income 239.72 106.90
EXPENSES
(a) Cost of materials consumed 215.76 66.08
(b) Purchases of Stock-in-Trade
(c) Changes in inventories of finished goods, work-in-progress, and stock-in-trade
(d) Employee benefit expense 4.35 7.35
(e) Finance Costs
(f) Depreciation and amortization expense 0.05
(g) Other expenses 34.48 1.24
4 Total Expenses 254.65 74.67
5 Profit / (Loss) from operations before exceptional items Tax (1-2) (14.93) 32.23
6 Exceptional Items
7 Profit / (Loss) before Tax (5 ± 6) (14.93) 32.23
8 Tax Expense
9 Net Profit / (Loss) after Tax (7 – 8) (14.93) 32.23
10 Other Comprehensive Income (net of tax )
A (i) Items that will not be reclassified to profit or loss
(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
11 Total Comprehensive Income for the period (9 ± 10) (14.93) 32.23
12 Paid-up equity share capital (Face Value of Rs. 1/- each) 3,986.24 3,986.24
13 Other Equity
14 Earnings Per Share (of Rs. 1/- each) (not annualised):
(a) Basic (0.00) 0.01
(b) Diluted (0.00) 0.01
Standalone Statement of Assets and Liabilities As at 31st March, 2026 As at 31st March, 2025
Particulars Audited Audited
A ASSETS
1 Non-current assets
Property, plant and equipment 0.13 0.19
Capital work-in-progress
Other intangible assets
Investments in subsidiaries, associates and joint ventures
Financial assets
Investments 915.00 915.00
Loans 4,274.88 5,094.09
Other financial assets
Income Tax assets (net)
Deferred tax assets (net)
Other non-current assets
Sub-total – Non-Current Assets 5,190.01 6,009.28
2 Current assets
Inventories 1,173.10 288.99
Financial assets
Investments
Trade receivables
Cash and cash equivalents 0.97 1.31
Bank balances other than Cash and Cash equivalents above
Loans, Current
Other financial assets 16.21 49.17
Other current assets
Assets classified as held for sale
Sub-total – Current Assets 1,190.28 339.47
TOTAL – ASSETS 6,380.29 6,348.76
B EQUITY AND LIABILITIES
1 Equity
Equity Share capital 3,986.24 3,986.24
Other equity 2,377.10 2,339.35
Sub-total – Shareholders’ funds 6,363.34 6,325.59
2 LIABILITIES
Non-current liabilities
Financial liabilities
Borrowings, non-Current
Provisions
Income tax liabilities (net)
Other non-current liabilities
Sub-total – Non-current liabilities
3 Current liabilities
Financial liabilities
Borrowings, Current
Trade payables, Current
Other financial liabilities
Other current liabilities 3.30 12.32
Provisions 13.65 10.85
Current tax liabilities (net)
Sub-total – Current liabilities 16.95 23.17
TOTAL – EQUITY AND LIABILITIES 6,380.29 6,348.76
Particulars As at 31st March, 2026 (Rs. In lacs) As at 31st March, 2025 (Rs. In lacs)
A. CASH FLOW FROM OPERATING ACTIVITIES:
Profit before tax 51.41 38.69
Adjustment For :
Share of (profit)/loss from investment in partnership firm
Depreciation/amortization on continuing operation 0.05 0.05
Loss on Sale of Fixed Assets
Operating profit before working capital changes 51.47 38.74
Movement in Working Capital :
Increase/(decrease) in Inventory 884.11 288.99
Increase/(decrease) in Trade receivables 330.32
Increase/(decrease) in Short Term Loan & Advances
Increase/(decrease) in Current Liabilities 9.02 7.32
Increase/(decrease) in Trade Payable 1,036.02
Increase/(decrease) in Other Current Assets 32.96 49.17
Direct taxes paid (net of refunds) 10.85 23.42
Net Cash Flow from Operating Activities (A) 819.56 1,021.21
B. CASH FLOW FROM INVESTING ACTIVITIES
Investments In Shares /withdrawl in Partnership Firm 915.00
Purchase / Sale of Fixed Assets
Interest Received
Change in Bank balances not considered as cash
Increase/(decrease) in Long Term Loan & Advances 819.22 1,894.72
Net Cash Flow from Invesing Activities (B) 819.22 979.72
C. CASH FLOW FROM FINANCING ACTIVITIES
Proceed (Repayment) from long term borrowing
Proceed (Repayment) from short term borrowing
Finance Cost
Proceed from Other Non Current Assets
Net Cash Flow from Financing Activities (C)
Net increase/(decrease) in cash & cash equivalents(A+B+C) 0.34 41.49
Cash and Cash equivalents (Opening Balance) 1.31 42.80
Cash and Cash equivalents (Closing Balance) 0.97 1.31