SKM EGG PROD EXPORT(I) LT (SKMEGGPROD)

NSE: ₹239.31
BSE: ₹238.95
Stock Performance
Corporate Announcements
Compliances-Reg.24(A)-Annual Secretarial Compliance

Annual Secretarial Compliance Report for the year ended 31st March, 2026

2026-05-28 13:45:59
General Updates

General Updates

2026-05-26 09:13:22
2026-05-25 15:28:24
Outcome Of Investor Con Call

Recording of Meetings with Investor

2026-05-23 09:26:19
Financial Results

Financial Results

2026-05-22 12:00:34
2026-05-18 15:00:25
Board Meeting Intimation for Audited Financial Results For The Quarter And Year Ended 31St March 2026

the audited financial results for the quarter and year ended 31st march 2026

2026-05-11 09:21:46
Format of the Initial Disclosure to be made by an entity identified as a Large Corporate : Annexure A

Format of Initial Disclosure to be made by an entity identified as a Large Corporate. Sr. No. Particulars Details 1Name of CompanySKM Egg Products Export (India) Ltd 2CIN NO.L01222TZ1995PLC006025 3 Outstanding borrowing of company as on 31st March / 31st December, as applicable (in Rs cr) 38.48 4Highest Credit Rating during the previous FY A 4aName of the Credit Rating Agency issuing the Credit Rating mentioned in (4)CARE RATINGS LIMITED 5Name of Stock Exchange# in which the fine shall be paid, in case of shortfall in the required borrowing under the frameworkBSE We confirm that we are a Large Corporate as per the applicability criteria given under the SEBI circular SEBI/HO/DDHS/CIR/P/2018/144 dated November 26, 2018. No Name of the Company Secretary: P SEKAR Designation: COMPANY SECRETARY EmailId: shares@skmegg.com Name of the Chief Financial Officer: K S VENKATACHALAPATHY Designation: CHIEF FINANCIAL OFFICER EmailId: cfo@skmegg.com Date: 28/04/2026 Note: In terms para of 3.2(ii) of the circular, beginning F.Y 2022, in the event of shortfall in the mandatory borrowing through debt securities, a fine of 0.2% of the shortfall shall be levied by Stock Exchanges at the end of the two-year block period. Therefore, an entity identified as LC shall provide, in its initial disclosure for a financial year, the name of Stock Exchange to which it would pay the fine in case of shortfall in the mandatory borrowing through debt markets.

2026-04-28 09:39:16
Updates

Updates

2026-04-07 09:06:46

Quarterly Financials

Consolidated Standalone
Particulars Jun 2023 Sep 2023 Dec 2023 Mar 2024 Jun 2024 Sep 2024 Dec 2024 Mar 2025 Jun 2025 Sep 2025 Dec 2025 Mar 2026
Revenue from Operations 210.23 175.68 152.93 162.28 117.84 127.46 135.09 117.44 175.70 201.93 203.71 186.65
YOY Revenue Growth % 58.14% 9.51% -15.85% -13.07% -43.95% -27.45% -11.67% -27.63% 49.1% 58.43% 50.8% 58.93%
Other Income 1.81 -0.08 0.59 9.27 3.11 3.68 2.39 4.85 4.30 2.44 4.74 -3.36
Total Income 212.04 175.60 153.52 171.55 120.95 131.14 137.48 122.29 180.00 204.37 208.45 183.29
Total Expenses + 164.97 139.64 138.29 157.52 107.02 118.25 127.32 112.45 158.02 171.61 168.56 141.31
Cost of Materials Consumed 105.28 106.15 100.73 107.35 71.86 74.20 78.85 80.56 113.28 121.04 128.97 103.94
Employee Benefit Expense 6.74 7.00 6.68 12.99 7.81 8.88 8.44 8.51 9.95 8.22 8.01 8.51
Other Expenses 22.22 21.67 19.81 21.83 12.91 20.69 13.71 12.15 18.40 20.21 22.07 17.66
Operating Profit 45.26 36.04 14.64 4.76 10.82 9.21 7.77 4.99 17.68 30.32 35.15 45.34
OPM % 21.5% 20.5% 9.6% 2.9% 9.2% 7.2% 5.8% 4.2% 10.1% 15% 17.3% 24.3%
Profit Before Tax + 47.07 35.96 15.23 14.03 13.93 12.89 10.16 9.84 21.98 32.76 39.89 41.98
Tax Expense 11.77 7.57 3.57 3.98 1.85 4.28 2.62 3.46 5.71 7.97 9.88 9.20
Tax % 25% 21.1% 23.4% 28.4% 13.3% 33.2% 25.8% 35.2% 26% 24.3% 24.8% 21.9%
Profit After Tax 35.30 28.39 11.66 10.05 12.08 8.61 7.54 6.38 16.27 24.79 30.01 32.78
EPS (Basic) 13.39 10.79 4.45 3.82 4.59 3.28 2.86 2.41 6.18 9.40 11.41 6.21

Yearly Financial Results

Consolidated Standalone
Particulars Mar 2026 Mar 2025 Mar 2024 Mar 2023 Mar 2022 Mar 2021 Mar 2020
Revenue from Operations 768.00 497.83 701.13 661.77 302.47 269.11 313.01
YOY Revenue Growth % 54.27% -29% 5.95% 118.79% 12.4% -14.03% -
Other Income -0.23 14.04 11.59 -2.56 7.84 12.94 20.84
Total Income 767.77 511.87 712.72 659.21 310.31 282.05 333.85
Total Expenses + 631.12 465.04 600.43 556.81 299.68 261.71 254.48
Cost of Materials Consumed 467.23 310.12 419.52 362.76 221.73 146.46 199.08
Employee Benefit Expense 34.68 33.64 33.41 24.68 16.96 15.54 16.25
Other Expenses 71.63 54.81 85.53 89.93 42.67 30.79 39.15
Operating Profit 136.88 32.79 100.70 104.96 2.79 7.40 58.53
OPM % 17.8% 6.6% 14.4% 15.9% 0.9% 2.7% 18.7%
Profit Before Exceptional 136.65 46.83 112.29 102.40 10.63 20.34 8.27
Exceptional Items 0.00 0.00 0.00 0.00 0.00 0.00 0.00
Profit Before Tax + 136.65 46.83 112.29 102.40 10.63 20.34 8.27
Tax Expense 32.76 12.22 26.91 26.47 3.24 3.98 3.55
Tax % 24% 26.1% 24% 25.8% 30.5% 19.6% 42.9%
Profit After Tax 103.89 34.61 85.38 75.93 7.39 16.36 4.72
EPS (Basic) 19.70 13.15 32.44 28.81 2.82 6.19 1.78

Balance Sheet

Particulars Mar 2026 Mar 2025 Mar 2024 Mar 2023 Mar 2022 Mar 2021 Mar 2020
ASSETS
Non-Current Assets + 190.62 193.23 157.49 101.55 74.02 74.73 0.00
Property, Plant & Equipment 178.08 187.88 113.78 75.14 70.39 69.40 0.00
Capital Work in Progress 6.33 0.47 34.39 23.66 1.18 2.27 0.00
Non-Current Investments 2.30 1.54 1.91 0.30 0.16 0.47 0.00
Goodwill 0.00 0.00 0.00 0.00 0.00 0.00 0.00
Other Intangible Assets 0.00 0.00 0.00 0.00 0.00 0.00 0.00
Current Assets + 404.66 300.37 311.68 231.82 161.49 139.35 0.00
Inventories 124.15 104.44 114.21 118.78 92.84 79.56 0.00
Trade Receivables 61.50 28.70 28.92 37.90 25.41 16.35 0.00
Cash and Cash Equivalents 93.08 146.65 140.20 52.79 19.33 10.68 0.00
Current Investments 75.54 6.20 5.73 4.04 15.47 15.30 0.00
LIABILITIES & EQUITY
Total Equity 395.34 303.16 276.98 194.66 119.99 114.61 0.00
Equity Share Capital 26.33 26.33 26.33 26.33 26.33 26.33 0.00
Other Equity 369.01 276.83 250.65 168.33 93.66 88.28 0.00
Non-Current Liabilities 58.30 70.70 62.94 30.04 15.68 17.04 0.00
Current Liabilities 141.64 119.74 129.25 108.67 99.84 82.43 0.00
Total Liabilities 199.94 190.44 192.19 138.71 115.52 99.47 0.00

Cash Flow Statement

Particulars Mar 2026 Mar 2025 Mar 2024 Mar 2023 Mar 2022 Mar 2021 Mar 2020
Cash from Operating Activities 52.66 65.24 109.15 60.16 2.96 34.95 0.00
Cash from Investing Activities -80.61 -22.69 -54.06 -15.87 -8.02 -28.11 0.00
Cash from Financing Activities -30.68 -24.81 13.18 -4.93 -5.77 -7.97 0.00
Net Increase/Decrease in Cash -58.63 17.74 68.27 39.36 -10.83 -1.13 0.00