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Valiant Organics Q1 FY26 Net Profit Jumps to ₹1,512 Lakh

May 16, 2026 3 mins read Firehose Gupta

Valiant Organics Limited — Quarter and year ended 31 March 2026

Sr. Particulars Quarter Ended (Standalone) Year Ended (Standalone)
31-Mar-2026 (Audited) 31-Dec-2025 (Reviewed)
1 Income
a) Revenue from Operations 21,770.02 15,906.97
b) Other Income 400.97 163.59
Total Income 22,170.99 16,070.56
2 Expenses
a) Cost of Materials consumed 12,174.24 9,802.43
b) Purchases of stock in Trade 51.23 123.45
c) Changes in inventories of Finished Goods, WIP & Stock-In-Trade 1,090.66 (687.22)
d) Employee benefit expenses 1,332.68 1,169.94
e) Finance Cost 329.79 459.92
f) Depreciation, Amortization and impairment Expense 1,025.23 1,011.38
g) Other expenses 4,472.25 3,936.11
Total Expenses 20,476.07 15,816.00
3 Profit/(Loss) before exceptional item & tax (1-2) 1,694.91 254.57
4 Exceptional Items (Gain/(Loss)) (Refer Note 7) 572.08
5 Profit/(Loss) before tax (3-4) 1,694.91 826.65
6 Tax expense (Net)
a) Current Year Tax
b) Short/(Excess) Provision for Tax of Previous Years (253.17)
c) Deferred Tax 436.34 220.29
Total Tax expense (Net) 183.17 220.29
7 Net Profit/(Loss) for the period (5-6) 1,511.74 606.36
8 Other Comprehensive Income
Item that will not be reclassified to statement of Profit and Loss
Remeasurement of defined benefit Liability/Assets & Fair value changes on Investments 17.48 1.05
Taxes on Remeasurement of defined benefit Liability/Assets & Fair value changes on Investments (5.53) (0.12)
Total Other Comprehensive Income 11.94 0.93
9 Total of profit and other comprehensive income for the year (7+8) 1,523.68 607.29
10 Other Equity excluding revaluation reserve
11 Profit attributable to :
Owners of the Company 1,511.74 606.36
Non-Controlling Interest
Total Comprehensive Income attributable to :
Owners of the Company 1,523.68 607.29
Non-Controlling Interest
12 Paid up equity share capital (face value of Rs.10 each) 2,801.96 2,801.96
Earning per equity share (in Rs.)(not annualised in case of quarterly results)
a) Basic 5.40 2.16
b) Diluted 5.39 2.16
No. Particulars Quarter Ended Year Ended
31-Mar-2026 (Audited) 31-Dec-2025 (Reviewed)
1 Income
a) Revenue from Operations 21,777.71 15,927.02
b) Other Income 400.97 163.59
Total Income 22,178.67 16,090.62
2 Expenses
a) Cost of Materials consumed 12,181.83 9,822.23
b) Purchases of stock in Trade 51.23 123.45
c) Changes in inventories of Finished Goods, WIP & Stock-In-Trade 1,090.66 (687.22)
d) Employee benefit expenses 1,332.86 1,169.94
e) Finance Cost 329.79 459.92
f) Depreciation, Amortization and impairment Expense 1,025.23 1,011.38
g) Other expenses 4,472.71 3,936.23
Total Expenses 20,484.13 15,835.92
3 Profit/(Loss) before exceptional items & tax (1-2) 1,694.55 254.69
4 Share of Profit/(Loss) of Associates 60.55 (241.75)
5 Exceptional Items (Gain/(Loss)) (Refer Note 7) 572.08
6 Profit/(Loss) before tax (3 + 4 – 5) 1,755.10 585.02
7 Tax expense (Net)
a) Current Year Tax 0.29
b) Short/(Excess) Provision for Tax of Previous Years (253.17)
c) Deferred Tax 436.34 220.29
Total Tax expense (Net) 183.17 220.57
8 Net Profit/(Loss) for the period (6-7) 1,571.92 364.45
9 Other Comprehensive Income
Item that will not be reclassified to statement of Profit and Loss
Remeasurement of defined benefit Liability / Assets & Fair value changes on Investments 17.48 1.05
Taxes on Remeasurement of defined benefit Liability / Assets & Fair value changes on Investments (5.53) (0.12)
Total Other Comprehensive Income 11.94 0.93
10 Total of profit and other comprehensive income for the year (8+9) 1,583.87 365.37
11 Other Equity excluding revaluation reserve
12 Profit attributable to :
Owners of the Company 1,572.06 364.53
Non-Controlling Interest (0.14) (0.09)
Total Comprehensive Income attributable to:
Owners of the Company 1,584.01 365.45
Non-Controlling Interest (0.14) (0.09)
13 Paid up equity share capital (face value of Rs.10 each) 2,801.96 2,801.96
Earning per equity share (in Rs.) (not annualised in case of quarterly results)
(a) Basic 5.61 1.30
(b) Diluted 5.61 1.30
Particulars 3 Months ended 31.03.2026 (Audited) 3 Months ended 31.12.2025 (Reviewed) 3 Months ended 31.03.2025 (Audited) 12 Months ended 31.03.2026 (Audited) 12 Months ended 31.03.2025 (Audited)
1. Segment Revenue
a) Speciality Chemical Division 16,947.11 13,034.40 15,630.43 57,481.94 59,077.73
b) Pharma Division 4,822.91 2,872.56 4,750.75 16,356.38 12,798.45
Total 21,770.02 15,906.97 20,381.19 73,838.31 71,876.18
Gross Revenue from sale of products and services 21,770.02 15,906.97 20,381.19 73,838.31 71,876.18
2. Segment Results before Interest and Tax
a) Speciality Chemical Division 2,141.27 764.15 1,525.81 6,025.06 6,179.31
b) Pharma Division (116.57) (49.66) (308.41) (471.34) (3,532.95)
Total 2,024.70 714.49 1,217.40 5,553.72 2,646.36
Less:
i) Finance Costs 329.79 459.92 506.91 1,819.91 2,405.37
ii) Other un-allocable (income) net of un-allocable expenditure
iii) Exceptional items* 572.08 572.08
Profit Before Tax 1,694.91 826.65 710.49 4,305.89 240.99
3. Segment Assets
a) Speciality Chemical Division 67,058.56 63,364.09 64,260.05 67,058.56 64,260.05
b) Pharma Division 45,898.90 43,417.85 42,965.04 45,898.90 42,965.04
Total 1,12,957.46 1,06,781.94 1,07,225.09 1,12,957.46 1,07,225.09
Unallocated Corporate Assets 128.02 412.08 706.48 128.02 706.48
Total Assets 1,13,085.48 1,07,194.02 1,07,931.58 1,13,085.48 1,07,931.58
4. Segment Liabilities
a) Speciality Chemical Division 26,559.87 22,175.59 25,480.70 26,559.87 25,480.70
Pharma Division 11,960.28 9,825.57 10,397.78 11,960.28 10,397.78
**