Integrated Filing — IndAS



General information about company

Scrip Code 541269
NSE Symbol CHEMFAB
MSEI Symbol NOTLISTED
ISIN INE783X01023
Name of company CHEMFAB ALKALIS LIMITED
Type of company Main Board
Class of security Equity
Date of start of financial year 01-04-2025
Date of end of financial year 31-03-2026
Date of board meeting when results were approved 13-05-2026
Date on which prior intimation of the meeting for considering financial results was informed to the exchange 07-05-2026
Description of presentation currency INR
Level of rounding used in financial results Lakhs
Reporting Type Quarterly
Reporting Quarter Fourth quarter
Nature of report standalone or consolidated Consolidated
Whether results are audited or unaudited for the quarter ended Audited
Whether results are audited or unaudited for the Year to date for current period ended/year ended Audited
Segment Reporting Multi segment
Description of single segment
Start date and time of board meeting 13-05-2026   14:30:00
End date and time of board meeting 13-05-2026   18:00:00
Whether cash flow statement is applicable on company Yes
Type of cash flow statement Cash Flow Indirect
Declaration of unmodified opinion or statement on impact of audit qualification Declaration of unmodified opinion



Financial Results Ind-AS

Amount in (Lakhs)

Particulars 3 months/ 6 months ended (dd-mm-yyyy) Year to date figures for current period ended (dd-mm-yyyy)
A Date of start of reporting period 01-01-2026 01-04-2025
B Date of end of reporting period 31-03-2026 31-03-2026
C Whether results are audited or unaudited Audited Audited
D Nature of report standalone or consolidated Consolidated Consolidated
1 Income
Revenue from operations 7,477.57 31,102.27
Other income 280.08 868.80
Total income 7,757.65 31,971.07
2 Expenses
(a) Cost of materials consumed 1,997.83 9,501.89
(b) Purchases of stock-in-trade 268.40 268.40
(c) Changes in inventories of finished goods, work-in-progress and stock-in-trade 14.32 526.82
(d) Employee benefit expense 632.32 2,632.17
(e) Finance costs 214.24 768.69
(f) Depreciation, depletion and amortisation expense 795.05 2,841.95
(f) Other Expenses
1 Direct Manufacturing Expenses - Power, Fuel & Others 2,910.32 11,230.55
2 Other Expenses 802.67 4,220.60
Total other expenses 3,712.99 15,451.15
Total expenses 7,635.15 31,991.07
3 Total profit before exceptional items and tax 122.50 (20.00)
4 Exceptional items 0.00 0.00
5 Total profit before tax 122.50 (20.00)
6 Tax expense
7 Current tax 35.62 194.12
8 Deferred tax 38.42 128.53
9 Total tax expenses 74.04 322.65
10 Net movement in regulatory deferral account balances related to profit or loss and the related deferred tax movement 0.00 0.00
11 Net Profit Loss for the period from continuing operations 48.46 (342.65)
12 Profit (loss) from discontinued operations before tax 0.00 0.00
13 Tax expense of discontinued operations 0.00 0.00
14 Net profit (loss) from discontinued operation after tax 0.00 0.00
15 Share of profit (loss) of associates and joint ventures accounted for using equity method 0.00 0.00
16 Total profit (loss) for period 48.46 (342.65)
17 Other comprehensive income net of taxes 28.18 59.08
18 Total Comprehensive Income for the period 76.64 (283.57)
19 Total profit or loss, attributable to
Profit or loss, attributable to owners of parent 48.46 (342.65)
Total profit or loss, attributable to non-controlling interests 0.00 0.00
20 Total Comprehensive income for the period attributable to
Comprehensive income for the period attributable to owners of parent 76.64 59.08
Total comprehensive income for the period attributable to owners of parent non-controlling interests 0.00 0.00
21 Details of equity share capital
Paid-up equity share capital 1,437.37 1,437.37
Face value of equity share capital 10 10
27 Details of debt securities
22 Reserves excluding revaluation reserve 36,103.32
23 Earnings per share
i Earnings per equity share for continuing operations
Basic earnings (loss) per share from continuing operations 0.34 -2.38
Diluted earnings (loss) per share from continuing operations 0.34 -2.38
ii Earnings per equity share for discontinued operations
Basic earnings (loss) per share from discontinued operations 0 0
Diluted earnings (loss) per share from discontinued operations 0 0
ii Earnings per equity share
Basic earnings (loss) per share from continuing and discontinued operations 0.34 -2.38
Diluted earnings (loss) per share from continuing and discontinued operations 0.34 -2.38
24 Debt equity ratio
25 Debt service coverage ratio
26 Interest service coverage ratio
27 Disclosure of notes on financial results Textual Information(1)



Disclosure of notes on financial results

Textual Information(1) NOTES: 1 The Statement of Consolidated financial results comprises of the financial results of Chemfab Alkalis Limited (CAL) (“the Parent Company”), Chemfab Karaiikal Limited (CKKL) and Chemfab Hiitech Piping Limited (CHPL) (the Subsidiaries) (together referred to as “the Group”). These financial results were reviewed and recommended by the Audit Committee and approved by the Board of Directors of the Parent Company at their meeting held on 13 May 2026. 2 During the current quarter ended 30 June 2025, the Parent Company had allotted Nil Equity shares of Rs. 10 each upon exercise of Employee stock options by the eligible employees under Employee's Stock Option Scheme CAESOS 2020. 2 The Group has identified its reportable segments in accordance with Ind AS 108 - Operating Segments. Accordingly, two reportable segments i.e. Chemicals and Related Products and PVC - O Pipes have been identified, the details of which are given below: (Amount Rs. In Lakhs) Sl. No. Particulars 3 Months ended 31/03/2026 Preceding 3 Months ended 31/12/2025 Corresponding 3 months ended 31/03/2025 in the previous year Current Year ended 31/03/2026 Previous year ended 31/03/2025 (Refer Note 7) (Unaudited) (Refer Note 7) (Audited) (Audited) I Segment Revenue a) Chemicals and related Products 6,168.19 5,380.87 6,078.96 21,814.51 20,292.38 b) PVC-O Pipes 1,311.24 1,464.95 3,153.46 9,346.75 13,145.05 7,479.43 6,845.82 9,232.42 31,161.26 33,437.43 Less: Inter Segment Revenue (1.86) (31.37) - (58.99) - Net Segment Revenue 7,477.57 6,814.45 9,232.42 31,102.27 33,437.43 II Segment Result before tax a) Chemicals and related Products 143.74 (619.23) (43.99) (1,709.99) (2,310.07) b) PVC-O Pipes (87.08) 66.62 316.87 1,589.88 3,049.01 Total 56.66 (552.61) 272.88 (120.11) 738.94 Less: Inter Segment Result - - - - - Less: Finance Cost (214.24) (203.48) (156.56) (768.69) (492.50) Add: Other Income 280.08 276.76 137.62 868.80 711.79 Total Profit Before Tax 122.50 (479.33) 253.94 (20.00) 958.23 III Segment Assets: a) Chemicals and related Products 31,989.11 33,019.12 31,617.08 31,989.11 31,617.08 b) PVC-O Pipes 21,906.91 21,120.32 15,858.21 21,906.91 15,858.21 Total Segment Assets 53,896.02 54,139.44 47,475.29 53,896.02 47,475.29 Add: Unallocable assets 3,777.37 2,776.25 4,706.96 3,777.37 4,706.96 Total Assets 57,673.39 56,915.69 52,182.25 57,673.39 52,182.25 IV Segment Liabilities: a) Chemicals and related Products 5,453.32 6,232.34 3,546.82 5,453.32 3,546.82 b) PVC-O Pipes 2,194.70 1,208.69 2,181.34 2,194.70 2,181.34 Total Segment Liabilities 7,648.02 7,441.03 5,728.16 7,648.02 5,728.16 Add: Unallocable liabilities 12,484.68 12,003.47 8,455.28 12,484.68 8,455.28 Total Liabilities 20,132.70 19,444.50 14,183.44 20,132.70 14,183.44 3 During the current year ended 31 March 2026, the Parent Company had allotted 10,000 Equity shares of Rs. 10 each upon exercise of Employee stock options by the eligible employees under Employee's Stock Option Scheme CAESOS 2020. 4 The Group has estimated and recognized the impact of implementation of the New Labour Codes under Employee benefits expense for the year ended 31 March 2026. The impact of the same is not material to the results for the year. The Group continues to monitor the issuance and finalisation of State Rules and further clarifications from the Government in respect of other aspects of the Labour Codes. Any additional impact arising from such developments will be assessed and appropriately accounted for in the Consolidated Financial Results as and when such rules are notified or clarifications are issued. 5 The Statement of Consolidated Assets and Liabilities as at 31 March 2026 and the Statement of Consolidated Cash Flows are provided as annexures to this Statement. 6 The Board of Directors of the Parent Company has recommended a final dividend of 12.50 % (Rs. 1.25 per Equity Share of Rs. 10 each) which is subject to the approval of the shareholders in the forthcoming Annual General Meeting of the Parent Company. 7 The figures for the quarter ended 31 March 2026 and 31 March 2025 are the balancing figures between audited figures of the full financial year ended 31 March 2026 and published year to date figure upto third quarter ended 31 December 2025 and audited figures of the full financial year ended 31 March 2025 and published year to date figures upto third quarter ended 31 December 2024 respectively. For Chemfab Alkalis Limited Suresh Krishnamurthi Rao Place: Chennai Chairman Date: 13 May 2026 DIN No: 00127809



Remarks

Debt equity ratio
Debt service coverage ratio
Interest service coverage ratio


Statement of Asset and Liabilities

Amount in (Lakhs)

Particulars Year ended (dd-mm-yyyy)
Date of start of reporting period 01-04-2025
Date of end of reporting period 31-03-2026
Whether results are audited or unaudited Audited
Nature of report standalone or consolidated Consolidated
Assets
1 Non-current assets
Property, plant and equipment 38,638.23
Capital work-in-progress 3,055.48
Investment property 0.00
Goodwill 0.00
Other intangible assets 58.76
Intangible assets under development 0.00
Biological assets other than bearer plants 0.00
Investments accounted for using equity method 0.00
Non-current financial assets
Non-current investments 7.91
Trade receivables, non-current 0.00
Loans, non-current 0.00
Other non-current financial assets
1 Other non-current financial assets 219.09
Total of other non-current financial assets 219.09
Total non-current financial assets 227.00
Deferred tax assets (net) 2,144.84
Other non-current assets
1 Other non-current assets 830.00
Total of other non-current assets 830.00
Total non-current assets 44,954.31
2 Current assets
Inventories 2,590.38
Current financial asset
Current investments 1,347.80
Trade receivables, current 2,407.65
Cash and cash equivalents 8.46
Bank balance other than cash and cash equivalents 83.58
Loans, current 0.00
Other current financial assets
Total of other current financial assets 30.25
Total current financial assets 3,877.74
Current tax assets (net)
Other current assets
1 Other current assets 2,580.00
Total of other current assets 2,580.00
Total current assets 9,048.12
3 Non-current assets classified as held for sale 3,670.96
4 Regulatory deferral account debit balances and related deferred tax Assets 0.00
Total assets 57,673.39
Equity and liabilities
1 Equity
Equity attributable to owners of parent
Equity share capital 1,437.37
Other equity 36,103.32
Total equity attributable to owners of parent 37,540.69
Non controlling interest
Total equity 37,540.69
2 Liabilities
Non-current liabilities
Non-current financial liabilities
Borrowings, non-current 8,143.00
Trade payables, non-current
(A) Total outstanding dues of micro enterprises and small enterprises 0.00
(B) Total outstanding dues of creditors other than micro enterprises and small enterprises 0.00
Total Trade payable 0.00
Other non-current financial liabilities
1 Other non-current financial liabilities 302.49
Total of other non-current financial liabilities 302.49
Total non-current financial liabilities 8,445.49
Provisions, non-current 306.70
Deferred tax liabilities (net) 0.00
Deferred government grants, Non-current 0.00
Other non-current liabilities
1 Other non-current liabilities 46.25
Total of other non-current liabilities 46.25
Total non-current liabilities 8,798.44
Current liabilities
Current financial liabilities
Borrowings, current 4,153.00
Trade payables, current
(A) Total outstanding dues of micro enterprises and small enterprises 62.83
(B) Total outstanding dues of creditors other than micro enterprises and small enterprises 3,064.39
Total Trade payable 3,127.22
Other current financial liabilities
1 Other current financial liabilities 1,560.20
Total of other current financial liabilities 1,560.20
Total current financial liabilities 8,840.42
Other current liabilities 2,204.35
1 Other current liabilities 2,204.35
Total of other current liabilities 2,204.35
Provisions, current 166.37
Current tax liabilities (Net) 123.12
Deferred government grants, Current 0.00
Total current liabilities 11,334.26
3 Liabilities directly associated with assets in disposal group classified as held for sale 0.00
4 Regulatory deferral account credit balances and related deferred tax liability 0.00
Total liabilities 20,132.70
Total equity and liabilites 57,673.39
Disclosure of notes on assets and liabilities



Format for Reporting Segment wise Revenue, Results and Capital Employed along with the company results

Amount in (Lakhs)

Particulars 3 months/ 6 month ended (dd-mm-yyyy) Year to date figures for current period ended (dd-mm-yyyy)
Date of start of reporting period 01-01-2026 01-04-2025
Date of end of reporting period 31-03-2026 31-03-2026
Whether results are audited or unaudited Audited Audited
Nature of report standalone or consolidated Consolidated Consolidated
1 Segment Revenue (Income)
(net sale/income from each segment should be disclosed)
1 Chemicals and Related products 6,168.19 21,814.51
2 PVC-O Pipes 1,311.24 9,346.75
Total Segment Revenue 7,479.43 31,161.26
Less: Inter segment revenue 1.86 58.99
Revenue from operations 7,477.57 31,102.27
2 Segment Result
Profit (+) / Loss (-) before tax and interest from each segment
1 Chemicals and Related products 143.74 (1,709.99)
2 PVC-O Pipes (87.08) 1,589.88
Total Profit before tax 56.66 (120.11)
i. Finance cost 214.24 768.69
ii. Other Unallocable Expenditure net off Unallocable income (280.08) (868.80)
Profit before tax 122.50 (20.00)
3 (Segment Asset - Segment Liabilities)
Segment Asset
1 Chemicals and Related products 31,989.11 31,989.11
2 PVC-O Pipes 21,906.91 21,906.91
Total Segment Asset 53,896.02 53,896.02
Un-allocable Assets 3,777.37 3,777.37
Net Segment Asset 57,673.39 57,673.39
4 Segment Liabilities
Segment Liabilities
1 Chemicals and Related products 5,453.32 5,453.32
2 PVC-O Pipes 2,194.70 2,194.70
Total Segment Liabilities 7,648.02 7,648.02
Un-allocable Liabilities 12,484.68 12,484.68
Net Segment Liabilities 20,132.70 20,132.70
Disclosure of notes on segments



Other Comprehensive Income

Amount in (Lakhs)

Particulars 3 months/ 6 months ended (dd-mm-yyyy) Year to date figures for current period ended (dd-mm-yyyy)
A Date of start of reporting period 01-01-2026 01-04-2025
B Date of end of reporting period 31-03-2026 31-03-2026
C Whether results are audited or unaudited Audited Audited
D Nature of report standalone or consolidated Consolidated Consolidated
Other comprehensive income [Abstract]
1 Amount of items that will not be reclassified to profit and loss
1 - Remeasurement of net defined benefit liability 42.64 86.21
2 - Fair value gain on investments in equity instruments designated as at FVTOCI (2.04) (2.02)
Total Amount of items that will not be reclassified to profit and loss 40.60 84.19
2 Income tax relating to items that will not be reclassified to profit or loss 12.42 25.11
3 Amount of items that will be reclassified to profit and loss
Total Amount of items that will be reclassified to profit and loss
4 Income tax relating to items that will be reclassified to profit or loss
5 Total Other comprehensive income 28.18 59.08



Cash flow statement, indirect

Amount in (Lakhs)

Particulars Year ended (dd-mm-yyyy)
A Date of start of reporting period 01-04-2025
B Date of end of reporting period 31-03-2026
C Whether results are audited or unaudited Audited
D Nature of report standalone or consolidated Consolidated
Statement of cash flows
Cash flows from used in operating activities
Profit before tax (20.00)
Adjustments for reconcile profit (loss)
Adjustments for finance costs 768.69
Adjustments for decrease (increase) in inventories 128.00
Adjustments for decrease (increase) in trade receivables, current (329.07)
Adjustments for decrease (increase) in trade receivables, non-current 0.00
Adjustments for decrease (increase) in other current assets 0.00
Adjustments for decrease (increase) in other non-current assets 38.57
Adjustments for other financial assets, non-current 0.00
Adjustments for other financial assets, current 0.00
Adjustments for other bank balances 0.00
Adjustments for increase (decrease) in trade payables, current 887.80
Adjustments for increase (decrease) in trade payables, non-current 0.00
Adjustments for increase (decrease) in other current liabilities 0.00
Adjustments for increase (decrease) in other non-current liabilities 0.00
Adjustments for depreciation and amortisation expense 2,841.95
Adjustments for impairment loss reversal of impairment loss recognised in profit or loss 0.00
Adjustments for provisions, current 0.00
Adjustments for provisions, non-current 0.00
Adjustments for other financial liabilities, current 0.00
Adjustments for other financial liabilities, non-current 0.00
Adjustments for unrealised foreign exchange losses gains 10.97
Adjustments for dividend income 0.08
Adjustments for interest income 3.70
Adjustments for share-based payments 0.00
Adjustments for fair value losses (gains) (24.84)
Adjustments for undistributed profits of associates 0.00
Other adjustments for which cash effects are investing or financing cash flow (289.69)
Other adjustments to reconcile profit (loss) 0.00
Other adjustments for non-cash items (98.71)
Share of profit and loss from partnership firm or association of persons or limited liability partnerships 0.00
Total adjustments for reconcile profit (loss) 3,929.89
Net cash flows from (used in) operations 3,909.89
Dividends received 0.00
Interest paid 0.00
Interest received 0.00
Income taxes paid (refund) 100.52
Other inflows (outflows) of cash 0.00
Net cash flows from (used in) operating activities 3,809.37
Cash flows from used in investing activities
Cash flows from losing control of subsidiaries or other businesses 0.00
Cash flows used in obtaining control of subsidiaries or other businesses 0.00
Other cash receipts from sales of equity or debt instruments of other entities 0.00
Other cash payments to acquire equity or debt instruments of other entities 0.00
Other cash receipts from sales of interests in joint ventures 0.00
Other cash payments to acquire interests in joint ventures 0.00
Cash receipts from share of profits of partnership firm or association of persons or limited liability partnerships 0.00
Cash payment for investment in partnership firm or association of persons or limited liability partnerships 0.00
Proceeds from sales of property, plant and equipment 1,524.56
Purchase of property, plant and equipment 9,121.91
Proceeds from sales of investment property 0.00
Purchase of investment property 0.00
Proceeds from sales of intangible assets 0.00
Purchase of intangible assets 0.00
Proceeds from sales of intangible assets under development 0.00
Purchase of intangible assets under development 0.00
Proceeds from sales of goodwill 0.00
Purchase of goodwill 0.00
Proceeds from biological assets other than bearer plants 0.00
Purchase of biological assets other than bearer plants 0.00
Proceeds from government grants 0.00
Proceeds from sales of other long-term assets 0.00
Purchase of other long-term assets 0.00
Cash advances and loans made to other parties 0.00
Cash receipts from repayment of advances and loans made to other parties 0.00
Cash payments for future contracts, forward contracts, option contracts and swap contracts 0.00
Cash receipts from future contracts, forward contracts, option contracts and swap contracts 0.00
Dividends received 0.08
Interest received 23.17
Income taxes paid (refund) 0.00
Other inflows (outflows) of cash (486.20)
Net cash flows from (used in) investing activities (8,060.30)
Cash flows from used in financing activities
Proceeds from changes in ownership interests in subsidiaries 0.00
Payments from changes in ownership interests in subsidiaries 0.00
Proceeds from issuing shares 9.78
Proceeds from issuing other equity instruments 0.00
Payments to acquire or redeem entity's shares 0.00
Payments of other equity instruments 0.00
Proceeds from exercise of stock options 0.00
Proceeds from issuing debentures notes bonds etc 0.00
Proceeds from borrowings 3,650.00
Repayments of borrowings (392.50)
Payments of lease liabilities 44.78
Dividends paid 179.92
Interest paid 749.43
Income taxes paid (refund) 0.00
Other inflows (outflows) of cash (21.38)
Net cash flows from (used in) financing activities 3,056.77
Net increase (decrease) in cash and cash equivalents before effect of exchange rate changes (1,194.16)
Effect of exchange rate changes on cash and cash equivalents
Effect of exchange rate changes on cash and cash equivalents 0.00
Net increase (decrease) in cash and cash equivalents (1,194.16)
Cash and cash equivalents cash flow statement at beginning of period 1,948.66
Cash and cash equivalents cash flow statement at end of period 754.50





Details of Impact of Audit Qualification

Amount in (Lakhs)

Whether results are audited or unaudited Audited
Declaration of unmodified opinion or statement on impact of audit qualification Declaration of unmodified opinion
Auditor's opinion
Declaration pursuant to Regulation 33 (3) (d) of SEBI (LODR) Regulation, 2015: The company declares that its Statutory Auditor/s have issued an Audit Report with unmodified opinion for the period on Standalone results Yes
Sr No. Audit firm's name Whether the firm holds a valid peer review certificate issued by Peer Review Board of ICAI Certificate valid upto
1 Deloitte Haskins and Sells LLP Yes 31-07-2027