Emkay Tools Limited Announces Financial Results for Half Year and Year Ended March 31, 2026

Emkay Tools Limited Announces Financial Results for Half Year and Year Ended March 31, 2026

Emkay Tools Limited Announces Financial Results for Half Year and Year Ended March 31, 2026​

Emkay Tools Limited announced its audited financial results for the half year and the year ended March 31, 2026. The company’s Board of Directors approved these financial results following a meeting held on May 29, 2026.

The financial statements provide comprehensive details across the Balance Sheet, Profit and Loss Statement, Segment Revenue, and Cash Flow, outlining the company's financial position and operational performance.

Financial Position Overview​

The Standalone Statement of Assets and Liabilities shows the following figures for the end of the respective periods:

Standalone Statement of Assets and Liabilities (Rs. in Lakhs)

Particulars31.03.2026 (Audited)31.03.2025 (Audited)
EQUITY AND LIABILITIES
Shareholders' funds
Share capital106.716.71
Reserves and surplus13,916.968,248.87
Share application money pending allotment14,023.678,355.58
Non-current liabilities
Deferred tax liabilities (Net)46.1218.96
Total Non-current Liabilities46.1218.96
Current liabilities
Trade payables798.43478.88
Other current liabilities842.47562.37
Short-term provisions2,080.861,552.27
TOTAL17,791.5511,044.93
ASSETS
Non-current assets
Property, Plant and Equipment Tangible assets1,592.701,434.23
Non-current investments7,741.842,421.08
Long-tenn loans and advances52.9334.90
Other non-current assets113.742.51
Total Non-current Assets7,908.512,458.49
Current assets
Inventories2,142.922,162.65
Trade receivables3,656.882,862.49
Cash and cash equivalents454.6780.37
Other cun-ent assets2,008.201,678.02
TOTAL17,791.5511,044.93

Profit and Loss Performance​

The standalone audited financial results for the half year and year ended on March 31, 2026, are summarized below.

Standalone Audited Financial Results for the half year and year ended on March 31, 2026 (Rs. in Lakhs)

Particulars6 Month Ended 31.03.2026 (Audited)6 Month Ended 30.09.25 (Unaudited)6 Month Ended 31.03.25 (Audited)Year Ended 31.03.26 (Audited)Year Ended 31.03.25 (Audited)
Total Income8,340.896,275.006,285.6414,615.8911,692.55
Total Expenses3,716.292,964.523,009.006,680.815,734.20
Profit/(Loss) before exceptional and extraordinary items and tax4,624.603,310.483,276.647,935.085,958.35
Profit/(Loss) before extraordinary items and tax4,624.603,310.483,276.64935.085,958.35
Profit/(Loss) before tax4,624.603,310.483,276.647,935.085,958.35
Profit/(Loss) for the period3,436.022,435.662,455.105,871.684,448.64

Segment Wise Revenues and Results​

The segment report details performance across different business lines.

Segment Revenue and Results (Rs. in Lakhs)

Particulars31.03.2026 (Audited)30.09.25 (Unaudited)31.03.25 (Audited)31.03.26 (Audited)31.03.25 (Audited)
Net Segment Revenue8,340.896,275.006,285.6414,615.8911,692.55
Total Segment Results4,624.633,311.193,279.837,935.825,967.51
Total Profit before Tax4,624.603,310.483,276.647,935.085,958.35
Total Assets17,791.5512,847.5911,044.9317,791.5511,044.93
Total Liabilities1,698.761.429.361,169.391,698.761,169.39

Cash Flow Statement​

The standalone audited cash flow statement reveals the movement of cash during the period.

Standalone Audited Cash Flow Statement (Rs. in Lakhs)

Particulars31.03.202631.03.2025
Cash Flow From Operating Activities:
Profit before tax7,935.085,958.35
Adjustment for:
Depreciation & Amortisation Expenses285.381,95.23
Operating Profit before Working Capital Changes8,117.016,152.48
Cash Generated from Operation8,501.591,651.13
Taxes Paid (Net of Refunds)(1,993.22)(1,375.37)
Net Cash from Operating Activities6,508.37275.76
Cash Flow Used In Investing Activities:
Fixed Asset Purchased(450.69)(1,629.52)
Non Current Investments(5,320.76)(2,421.08)
Net Cash flow used in Investing Activities(5,789.68)(4,074.32)
Cash Flow From Financing Activities:
Proceeds from Short term borrowings(76.87)74.14
Payment of Dividend and tax on it(266.78)-
Interest paid(0.74)(9.16)
Net Cash flow from Financing Activities(344.39)3,878.39
Net Increase / Decrease in Cash & Cash Equivalents374.3079.83
Cash & Cash Equivalents at the end of the year454.6780.37

ETL Stock Price Movement​

Shares of Emkay Tools Limited are rallying to ₹1048 as of 3:22 PM today, gaining a robust 13.91% in live trading. The stock sees considerable activity, with 2,400 shares traded so far during the session.
 

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Editorial Note

This news article was written and created by Himanshu, and published on IST.
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