TGV SRAAC Limited (TGVSL)

BSE: ₹108.15
Stock Performance
Corporate Announcements
Announcement under Regulation 30 (LODR)-Newspaper Publication

Submission of newspaper publication with regard to "Special Window for lodgement/re-lodgement of transfer requests" and Second "Shaksham Niveshak" 100 days compaign for physical shareholders.

2026-06-10 11:51:34
Announcement Reg.30 - Special Window For Relodgement Of Transfer Requests Of Physical Shares

Submission of report on special window for relodgement of transfer requests of physical shares for the month of May, 2026 vide SEBI Circular dtd.30.01.2026.

2026-06-06 18:03:22
Announcement Under Reg.30 - Report On Relodgement Of Transfer Requests Of Physical Shares.

Submission of report on re-lodgment of transfer requests of physical shares under Special Window for the month of April, 2026 vide SEBI Circular dtd.30.01.2026.

2026-06-05 15:20:13
Announcement under Regulation 30 (LODR)-Newspaper Publication

Submission of audited financial results for the quarter and year ended 31.03.2026 published in newspapers.

2026-05-23 12:33:26
Announcement Under Reg. 30 - Recommendation Of Dividend And Proposal For Reappointment Of Cost Auditor.

The Board of Directors have given their consent for reappointment of M/s. Aruna Prasad & Co., as Cost Auditors of the Company for the year 2026-27. The Board of Directors have given consent to recommend the proposal for payment of final dividend of Rs.1/- per share (of face value Rs.10/- each) on paid-up capital of the company for the year 2025-26 subject to shareholders approval at the AGM.

2026-05-21 18:36:47
Board Meeting Outcome for Outcome Of Board Meeting

Outcome of Board Meeting - Submission of Audited Financial Results for the quarter and year ended 31st March, 2026. The Board further on consideration of Audit Committee recommendation dtd.21.05.2026 has given approval to recommend the final dividend @ Rs.1/- per share (10% on paid-up capital) subject to shareholders approval.

2026-05-21 18:31:18
Announcement Under Reg. 30 - Report On Relodgement Of Transfer Requests Of Physical Shares

Submission of report on relodgment of transfer requests of physical shares under special window for the month of March, 2026 vide SEBI Circular dtd.30.01.2026.

2026-04-13 16:01:14
Announcement Under Reg. 30 - Intimation Of Capacity Addition With Respect To Chloromethanes And Other Products.

As a result of steps taken by the company for increase in productiion capacities of various products of the company. The company has submitted the required details to the concerned authorities regarding capacity increase for various products manufactured by the company.

2026-04-10 16:50:03
Announcement Under Reg.30 - Newspaper Publication

Submission of newspaper publication with regard to Special Window for lodgement/re-lodgement for transfer requests and "Saksham Niveshak" 100 days campaign for physical shareholders.

2026-04-09 17:38:08

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 415.39 360.35 402.21 368.00 379.07 428.06 455.08 486.83 490.94 499.94 448.25 511.11
YOY Revenue Growth % -30.31% -40.84% -32.02% -30.41% -8.74% 18.79% 13.14% 32.29% 29.51% 16.79% -1.5% 4.99%
Other Income 4.71 3.01 3.96 6.52 2.82 2.31 3.99 5.06 4.76 3.24 6.16 2.39
Total Income 420.10 363.36 406.17 374.52 381.89 430.37 459.07 491.89 495.70 503.18 454.41 513.50
Total Expenses + 392.82 359.12 385.32 383.13 363.22 385.79 426.98 461.68 443.35 453.29 416.37 475.30
Cost of Materials Consumed 133.59 115.28 124.53 122.79 120.54 127.62 127.92 140.16 143.73 156.93 151.10 170.67
Employee Benefit Expense 18.43 16.81 17.34 16.65 19.19 17.29 18.00 18.86 19.92 18.16 20.67 22.79
Other Expenses 221.40 200.15 214.97 213.27 195.89 210.84 257.04 266.51 233.67 236.84 197.53 228.68
Operating Profit 22.57 1.23 16.89 -15.13 15.85 42.27 28.10 25.15 47.59 46.65 31.88 35.81
OPM % 5.4% 0.3% 4.2% -4.1% 4.2% 9.9% 6.2% 5.2% 9.7% 9.3% 7.1% 7%
Profit Before Tax + 27.28 25.48 20.85 10.05 18.67 44.58 32.09 30.21 52.35 49.89 38.04 38.20
Tax Expense 7.53 6.88 5.64 2.88 4.96 11.68 8.28 8.51 13.60 12.84 9.94 10.21
Tax % 27.6% 27% 27.1% 28.7% 26.6% 26.2% 25.8% 28.2% 26% 25.7% 26.1% 26.7%
Profit After Tax 19.75 18.60 15.21 7.17 13.71 32.90 23.81 21.70 38.75 37.05 28.10 27.99
EPS (Basic) 1.84 1.74 1.42 0.67 1.27 3.07 2.22 2.02 3.61 3.46 2.61 2.61

Yearly Financial Results

Consolidated Standalone
Particulars Mar 2026 Mar 2025 Mar 2024 Mar 2023 Mar 2022 Mar 2021
Revenue from Operations 1,950.24 1,749.04 1,545.95 2,325.73 1,525.32 1,008.72
YOY Revenue Growth % 11.5% 13.14% -33.53% 52.47% 51.21% -
Other Income 16.55 14.18 18.20 6.71 7.02 9.88
Total Income 1,966.79 1,763.22 1,564.15 2,332.44 1,532.34 1,018.60
Total Expenses + 1,788.31 1,637.67 1,520.39 1,890.30 1,322.99 969.73
Cost of Materials Consumed 622.43 516.24 496.19 615.62 431.16 361.53
Employee Benefit Expense 81.54 73.34 69.23 68.37 55.96 48.17
Other Expenses 896.72 930.28 849.79 1,106.90 716.55 455.46
Operating Profit 161.93 111.37 25.56 435.43 202.33 38.99
OPM % 8.3% 6.4% 1.7% 18.7% 13.3% 3.9%
Profit Before Exceptional 178.48 125.55 43.76 442.14 209.35 48.87
Exceptional Items 0.00 0.00 39.90 0.00 0.00 0.00
Profit Before Tax + 178.48 125.55 83.66 442.14 209.35 48.87
Tax Expense 46.59 33.43 22.94 80.52 75.18 19.92
Tax % 26.1% 26.6% 27.4% 18.2% 35.9% 40.8%
Profit After Tax 131.89 92.12 60.72 361.62 134.17 28.95
EPS (Basic) 12.31 8.60 5.67 33.77 12.53 2.72

Balance Sheet

Particulars Mar 2026 Mar 2025 Mar 2024 Mar 2023 Mar 2022 Mar 2021
ASSETS
Non-Current Assets + 1,553.83 1,378.12 1,308.77 1,133.88 1,072.18 1,018.51
Property, Plant & Equipment 1,231.30 1,269.15 1,048.34 1,041.44 902.02 773.91
Capital Work in Progress 220.37 12.02 168.26 11.13 55.42 125.09
Non-Current Investments 35.37 35.20 33.16 30.97 89.42 88.61
Goodwill 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
Current Assets + 569.62 589.49 482.92 549.29 525.58 434.39
Inventories 149.19 141.34 125.66 139.65 109.19 116.08
Trade Receivables 291.50 250.56 188.03 226.64 232.22 99.19
Cash and Cash Equivalents 13.13 33.17 11.06 20.10 14.85 32.47
Current Investments 0.00 0.00 0.00 0.00 0.00 0.00
LIABILITIES & EQUITY
Total Equity 1,297.32 1,178.25 1,095.79 1,046.58 743.51 610.21
Equity Share Capital 107.13 107.13 107.13 107.13 107.13 107.13
Other Equity 1,190.19 1,071.12 988.66 939.45 636.38 503.08
Non-Current Liabilities 305.42 272.87 258.75 255.21 393.37 420.44
Current Liabilities 521.12 516.49 437.15 381.38 460.88 422.25
Total Liabilities 826.54 789.36 695.90 636.59 854.25 842.69

Cash Flow Statement

Particulars Mar 2026 Mar 2025 Mar 2024 Mar 2023 Mar 2022 Mar 2021
Cash from Operating Activities 337.98 195.23 164.13 429.16 212.87 136.78
Cash from Investing Activities -312.29 -170.04 -222.66 -168.54 -147.11 -163.40
Cash from Financing Activities -45.74 -3.07 49.49 -255.37 -83.38 52.37
Net Increase/Decrease in Cash -20.04 22.12 -9.04 5.24 -17.62 25.75