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Godrej Consumer Products: Profit up to ₹744 crore

May 6, 2026 3 mins read Firehose Gupta

Godrej Consumer Products Limited — Quarter ended March 31, 2026 (Audited) and year ended March 31, 2026 (Audited)

Sr. No. PARTICULARS CONSOLIDATED Quarter Ended CONSOLIDATED Year Ended STANDALONE Quarter Ended STANDALONE Year Ended
31-Mar-26 (Audited) (Refer Note 10) 31-Dec-25 (Unaudited) 31-Mar-25 (Audited) (Refer Note 10) 31-Mar-26 (Audited)
31-Mar-25 (Audited) 31-Mar-26 (Audited) (Refer Note 10) 31-Dec-25 (Unaudited) 31-Mar-25 (Audited) (Refer Note 10)
1 Revenue from Operations
a) Sale of Products (Restated refer note 9) 3,884.90 3,978.30 3,494.09 15,100.10
13,917.06 2,339.09 2,439.58 2,135.92
9,376.16 8,683.27
b) Other Operating Revenue 15.54 19.65 20.14 77.80
79.48 21.03 26.25 24.91
98.14 95.79
Total Revenue from Operations 3,900.44 3,997.95 3,514.23 15,177.90
13,996.54 2,360.12 2,465.83 2,160.83
9,474.30 8,779.05
2 Other Income 69.42 55.89 73.66 266.17
316.12 58.34 31.38 58.94
200.28 260.35
3 Total Income (1+2) 3,969.86 4,053.84 3,587.89 15,444.07
14,312.66 2,418.46 2,497.21 2,219.77
9,674.58 9,039.40
4 Expenses
a) Cost of Raw Materials including Packing Material Consumed 1,434.52 1,396.90 1,443.23 5,835.28
5,729.23 800.49 817.23 797.70
3,491.71 3,175.79
b) Purchase of Stock-in-Trade 415.94 448.18 237.12 1,671.35
865.00 285.92 268.52 211.33
1,123.77 799.81
c) Changes in Inventories of Finished Goods, Work-in-Progress and Stock-in-Trade 18.82 86.73 28.57 (112.20)
(58.12) 40.18 80.35 41.43
(30.66) 54.11
d) Employee Benefits Expense 325.07 328.09 262.47 1,232.14
1,148.78 145.24 148.81 102.90
540.84 473.88
e) Finance Costs 90.27 78.94 89.56 331.57
350.11 53.51 47.24 54.91
199.13 191.14
f) Depreciation and Amortization Expense 76.13 66.41 72.55 267.53
234.00 45.57 39.33 49.12
160.12 141.01
g) Other Expenses
(i) Advertisement and Publicity (Restated refer note 9) 274.25 305.96 280.92 1,171.99
1,222.60 177.75 216.73 220.61
823.14 928.36
(ii) Others (Restated refer note 9) 590.44 551.65 502.70 2,223.10
2,085.99 322.59 309.16 292.68
1,289.10 1,246.89
Total Expenses 3,225.44 3,262.86 2,917.12 12,620.76
11,577.59 1,871.25 1,927.37 1,770.68
7,597.15 7,010.98
5 Profit before Exceptional items and Tax (3-4) 744.42 790.98 670.77 2,823.31
2,735.07 547.21 569.84 449.09
2,077.43 2,028.42
6 Exceptional Items (net) (refer note no. 2) (92.95) (91.00) (31.36) (233.15)
(63.18) 7.60 (62.98) (10.16)
(55.38) (12.29)
7 Profit/ (Loss) before Tax (5+6) 651.47 699.98 639.41 2,590.16
2,671.89 554.81 506.86 438.93
2,022.05 2,016.13
8 Tax Expense
a) Current Tax
(i) Current Year 158.14 147.89 68.16 568.53
446.83 99.86 110.43 22.81
409.07 308.11
Particulars Consolidated As at Mar 31, 2026 (Audited) Consolidated As at Mar 31, 2025 (Audited) Standalone As at Mar 31, 2026 (Audited) Standalone As at Mar 31, 2025 (Audited)
A ASSETS
1 Non-current assets
(a) Property, Plant and Equipment 1,878.43 1,229.09 1,220.29 624.82
(b) Capital work-in-progress 219.79 458.04 132.41 395.47
(c) Investment property 85.29 86.08 73.89 75.40
(d) Right of use assets 386.92 214.05 201.60 127.30
(e) Goodwill 5,715.11 5,145.41 611.87 568.78
(f) Other Intangible assets 4,490.36 4,001.56 3,387.89 3,010.14
(g) Intangible assets under development 9.19 5.60 9.19 5.60
(h) Financial Assets
(i) Investments in subsidiaries 4,306.29 3,545.78
(ii) Other Investments 914.46 541.85 333.08 541.85
(iii) Loans 0.03 0.03
(iv) Others 47.17 47.22 40.44 42.26
(i) Deferred tax assets (net) 391.54 374.29
(j) Non-Current Tax Assets (net) 89.19 147.08 34.05 49.38
(k) Other non-current assets 61.09 83.61 51.78 82.48
Total Non Current Assets 14,288.57 12,333.88 10,402.81 9,069.26
2 Current assets
(a) Inventories 1,659.49 1,418.60 676.66 697.14
(b) Financial Assets
(i) Investments 1,852.38 3,102.73 1,207.37 2,508.54
(ii) Trade receivables 1,836.72 1,819.13 577.75 595.62
(iii) Cash and cash equivalents 976.87 454.92 63.24 124.50
(iv) Bank balances other than (iii) above 28.54 28.14 28.18 27.82
(v) Loans 0.01 58.01 11.14
(vi) Others 76.88 63.31 50.53 75.00
(c) Other Current Assets 588.97 439.99 300.51 253.24
Total Current Assets 7,019.85 7,326.83 2,962.25 4,293.00
Assets held for sale 25.16 11.08
TOTAL ASSETS 21,333.58 19,671.79 13,365.06 13,362.26
B EQUITY AND LIABILITIES
1 Equity
(a) Equity Share capital 102.32 102.30 102.32 102.30
(b) Other Equity 12,550.63 11,901.62 7,742.25 8,263.39
Total Equity 12,652.95 12,003.92 7,844.57 8,365.69
2 Non-current liabilities
(a) Financial Liabilities
(i) Lease liabilities 217.53 92.26 117.13 53.40
(b) Provisions 150.14 149.33 95.18 76.33
(c) Deferred tax liabilities (Net) 583.37 468.09 500.35 404.00
(d) Other non-current liabilities 22.43 24.63 22.42 24.63
Total Non Current Liabilities 973.47 734.31 735.08 558.36
3 Current liabilities
(a) Financial Liabilities
(i) Borrowings 4,135.98 3,882.59 2,800.18 2,578.06
(ii) Lease liabilities 62.30 29.64 30.28 14.48
(iii) Trade payables
(a) Total outstanding dues of Micro Enterprises and Small Enterprises 122.08 65.11 121.22 64.75
(b) Total outstanding dues of Creditors other than Micro and Small 2,179.64 2,076.96 1,132.20 1,253.22
(iv) Other financial liabilities 664.93 425.56 339.17 201.75
(b) Other current liabilities 324.98 283.83 222.19 221.20
(c) Provisions 134.75 107.21 125.88 99.55
(d) Current Tax Liabilities (Net) 82.50 62.66 14.29 5.20
Total Current Liabilities 7,707.16
Particulars Quarter ended Year ended
31-Mar-26 (Audited) 31-Dec-25 (Unaudited)
31-Mar-25 (Audited) 31-Mar-26 (Audited)
31-Mar-25 (Audited)
1. Segment Revenue (Restated refer note 9)
a) India 2,360.75 2,465.83
2,160.82 9,474.11
8,779.05
b) Indonesia 492.17 459.96
476.32 1,822.59
1,868.62
c) Africa (including Strength of Nature) 800.36 907.02
665.01 3,154.46
2,561.65
d) Others 315.11 239.04
250.91 976.68
941.33
Less: Intersegment eliminations (67.95) (73.90)
(38.83) (249.94)
(154.11)
Revenue from Operations 3,900.44 3,997.95
3,514.23 15,177.90
13,996.54
2. Segment results (Profit)(+)/ Loss (-) before tax, interest & exceptional items
a) India 577.72 606.27
504.03 2,226.53
2,219.56
b) Indonesia 148.44 121.14
147.15 480.61
492.26
c) Africa (including Strength of Nature) 96.67 114.14
99.85 376.74
340.77
d) Others 29.47 31.21
21.02 115.41
80.30
Less: Intersegment eliminations (17.61) (2.84)
(11.72) (44.41)
(47.71)
Total 834.69 869.92
760.33 3,154.88
3,085.18
Add/(Less): Exceptional items (