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ACUTAAS Chemicals Q4 FY26 Profit Jumps to ₹13.43 Cr

April 30, 2026 4 mins read Firehose Gupta

ACUTAAS CHEMICALS LIMITED (Formerly known as Ami Organics Limited) — Quarter ended March 31, 2026 (and year ended March 31, 2026)

The following tables are extracted from the provided quarterly results document.

Particulars Quarter Ended March 31, 2026 (Unaudited) Quarter Ended December 31, 2025 (Unaudited) Quarter Ended March 31, 2025 (Unaudited) Year Ended March 31, 2026 (Audited) Year Ended March 31, 2025 (Audited)
Income
Revenue from operations 43,275.05 39,318.33 30,848.34 133,936.68 100,687.55
Other income 1,111.10 469.92 577.91 4,158.52 1,692.94
Total income 44,386.15 39,788.25 31,426.25 138,095.20 102,380.49
Expenses
Cost of materials consumed 18,368.60 17,597.45 16,455.18 59,495.95 56,981.13
Changes in inventories of finished goods, stock-in-trade and work-in-progress (1,924.52) (680.10) (206.86) (2,900.34) (1,762.96)
Employee benefits expenses 3,328.86 2,985.66 2,330.12 11,757.19 8,365.59
Finance costs 118.97 86.12 60.32 326.81 621.84
Depreciation and amortization expenses 963.03 982.49 729.82 3,598.76 2,662.14
Other expenses 5,151.04 4,349.78 3,774.23 17,544.26 13,896.45
Total expenses 26,005.98 25,321.40 23,142.81 89,822.63 80,764.19
Profit before tax 18,380.17 14,466.85 8,283.44 48,272.57 21,616.30
Tax expense
Current tax 4,883.13 3,637.46 1,550.58 11,719.75 4,918.95
Deferred tax 68.67 207.47 461.25 915.89 655.58
Total tax expense 4,951.80 3,844.93 2,011.83 12,635.64 5,574.53
Profit for the period 13,428.37 10,621.92 6,271.61 35,636.93 16,041.77
Other comprehensive income
Items that will not be reclassified to profit or loss
– Remeasurement of defined employee benefit plans 28.78 (21.34) 40.34 (35.02) (17.48)
– Tax impact on items that will not be reclassified to profit or loss (8.01) 5.49 (10.90) 8.46 3.67
Items that will be reclassified to profit or loss
– Exchange differences on translation of financial statements of foreign entity (336.67) 40.79 0 (295.88) 0
Other comprehensive income (315.89) 24.94 29.44 (322.44) (13.81)
Total comprehensive income for the period 13,112.48 10,646.86 6,301.05 35,314.49 16,027.96
Profit attributable to
Owners of the company 13,176.08 10,796.05 6,248.28 35,625.53 15,871.36
Non-controlling interest 252.29 (174.13) 23.33 11.40 170.41
Other comprehensive income attributable to
Owners of the company (316.22) 24.73 31.99 (323.49) (12.51)
Non-controlling interest 0.32 0.21 (2.55) 1.05 (1.30)
Paid up equity share capital (face value of ₹5 each) 4,093.56 4,093.56 4,093.45 4,093.56 4,093.45
Other equity 161,262.54 126,869.42
Earnings per equity share of ₹5 each (not annualised, excluding year end)
Basic (₹) 16.09 13.19 7.80 43.51 19.81
Diluted (₹) 16.04 13.10 7.80 43.37 19.81
Particulars March 31, 2026 Audited March 31, 2025 Audited
ASSETS
Non-current assets
Property, plant and equipment 58,279.91 46,292.28
Capital work-in-progress 33,231.79 13,028.40
Right-of-use assets 5,052.44 4,239.03
Goodwill 10,434.10 5,680.09
Intangible assets 719.18 827.51
Financial Assets
i) Investments 19.54 19.53
ii) Other financial assets 822.20 493.24
Income tax assets (net) 15.31
Other non-current assets 1,710.30 5,167.12
Total non-current assets 110,269.46 75,762.51
Current assets
Inventories 23,132.37 17,994.02
Financial assets
i) Trade receivables 36,256.32 29,049.47
ii) Cash and cash equivalents 21,555.11 18,522.43
iii) Bank balances other than cash and cash equivalents 928.32 6,370.40
iv) Loans 259.96 215.98
Other current assets 5,994.89 7,011.30
Total current assets 88,126.97 79,163.60
Total assets 198,396.43 154,926.11
EQUITY AND LIABILITIES
Equity
Equity share capital 4,093.56 4,093.45
Other equity 161,262.54 126,869.42
Equity attributable to owners of the Company 165,356.10 130,962.87
Non controlling interests 5,718.92 1,045.17
Total equity 171,075.02 132,008.04
Non-current liabilities
Financial liabilities
i) Lease liabilities 910.51 475.44
Provisions 458.83 254.64
Deferred tax liabilities (net) 2,870.67 1,963.25
Total non-current liabilities 4,240.01 2,693.33
Current liabilities
Financial liabilities
i) Borrowings 2,649.08 818.43
ii) Trade payables
a) Total outstanding dues of micro enterprises and small enterprises 2,718.49 5,432.27
b) Total outstanding dues of other than micro enterprises and small enterprises 12,672.18 10,172.30
Other current liabilities 1,243.95 1,347.74
Provisions 3,250.02 2,454.00
Current tax liabilities (net) 547.68
Total current liabilities 23,081.40 20,224.74
Total liabilities 27,321.41 22,918.07
Total equity and liabilities 198,396.43 154,926.11
Particulars March 31, 2026 March 31, 2025
CASH FLOWS FROM OPERATING ACTIVITIES
Profit before Tax 48,272.57 21,616.30
Adjustments for:
Depreciation and amortisation 3,598.76 2,662.14
(Gain)/Loss on disposal of property, plant and equipment (1.45) (1.43)
(Gain)/Loss on investments measured at fair value through profit and loss (295.88)
Bad debts, provision for trade receivables and advances (55.30) 208.71
Interest paid 306.21 621.84
Interest Income (854.49) (1,079.58)
ESOS compensation expenses 317.60 92.59
Dividend income (0.04)
Unrealised (gain) / loss (1,602.47) (611.89)
Operating profit before working capital changes 49,685.55 23,508.64
Movement in working capital
(increase) / decrease in trade receivables (5,549.08) (8,011.08)
(increase) / decrease in loans & advances (43.98) (60.92)
(increase) / decrease in other financial assets (328.96) (235.52)
(increase) / decrease in inventories (5,138.35) (2,320.61)
(increase) / decrease in other current assets 1,016.41 524.19
Increase / (decrease) in trade payables (213.90) 2,143.69
Increase / (decrease) in other liabilities 104.73 (280.31)
Increase / (decrease) in provisions 841.70 1,239.96
Cash generated from operations 40,374.12 16,508.04
Income tax paid (net) (11,156.76) (4,673.77)
Net cash (used)/generated by operating activities (A) 29,217.36 11,834.27
CASH FLOWS FROM INVESTING ACTIVITIES
Investment in fixed deposit not considered as cash or cash equivalents 5,442.08 (4,009.65)
Purchase of property, plant and equipment (including CWIP, intangible assets and including capital advances) (32,797.88) (19,464.29)
Right of Use Asset
Purchase of Investment (0.01)
Incidental Charges towards purchase of Investment (92.98)
Dividend received 0.04
Interest received 854.49 1,079.58
Net cash (used in) / generated by investing activities (B) (26,594.30) (22,394.32)
CASH FLOWS FROM FINANCING ACTIVITIES
Net Proceeds / (Repayment) from long term borrowings (11,364.12)
Net Proceeds / (Repayment) from short term borrowings 1,830.65 (9,482.11)
Interest paid (127.80) (619.79)
Repayment of lease liabilities (66.30) (33.64)
Dividend paid (including tax on dividend) (1,228.03) (1,227.83)
Issue of equity shares 1.10 49,938.89
Share issue expense (1,099.36)
Net cash (used)/generated by financing activities (C) 409.62 26,112.04
Net increase / (decrease) in cash and cash equivalents (A+B+C) 3,032.68 15,551.99
Cash and cash equivalents at the beginning of the year 18,522.43 1,870.44
Cash and cash equivalents at the end of the year 21,555.11 18,522.43
Particulars As at March 31, 2026 (Audited) As at March 31, 2025 (Audited)
ASSETS
Non-current assets
Property, plant and equipment 54,915.53 45,380.90
Capital work-in-progress 22,843.17 13,028.41
Right-of-use assets 4,905.86 4,210.47
Intangible assets 262.74 331.50
Financial Assets
i) Investments 11,765.84 6,773.10
ii) Loans 15,421.84 330.36
iii) Other financial assets 973.78 1,235.59
Other non-current assets 1,561.16 5,167.12
Total non-current Assets 112,649.92 76,457.45
Current assets
Inventories 22,667.20 17,400.12
Financial assets
i) Trade receivables 36,017.91 28,921.19
ii) Cash and cash equivalents 16,004.17 18,460.