BSEResult2h ago · 22 Jul 2026, 05:53 pm
Outcome of board meeting held on Wednesday, July 22, 2026, to consider and approve unaudited financial results for the quarter ended on June 30, 2026.
Gala Global Products Ltd · 539228
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Gala Global Products Ltd has announced its unaudited financial results for the quarter ended June 30, 2026, with the Board of Directors considering and approving the results at its meeting held on July 22, 2026. The company's balance sheet as at June 30, 2026, shows total assets of Rs. 7,013.73 lakhs, with equity and liabilities totaling Rs. 7,013.73 lakhs. The company's revenue from operations and other income for the quarter ended June 30, 2026, are not disclosed, and the profit before tax for the quarter is Rs. (48.58) lakhs.
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Growth Catalyst1/10
Governance Concern1/10
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Gala Global Products Ltd - 539228 - Outcome Of Board Meeting Held On Wednesday, July 22, 2026, To Consider And Approve Unaudited Financial Results For The Quarter On June 30, 2026.
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22nd July, 2026
BSE Limited
Department of Corporate Services,
Phiroze Jeejeebhoy Towers,
Dalal Street, Fort,
Mumbai - 400 001
Scrip Code: 539228 Scrip Symbol: GGPL ISIN: INE480S01026
Dear Sir/Mam,
Sub.: Outcome of Board Meeting held today i.e. July 22, 2026:
Ref.: Regulation 30 and 33 of SEBI (Listing Regulations and Disclosure Requirements) Regulations, 2015
We wish to inform you that the Board of Directors of the Company at its meeting held on Wednesday, July
22, 2026 has inter-alia, considered and approved the Unaudited Standalone Financial Results of the
company for the Quarter ended on June 22, 2026.
The aforesaid details will also be hosted on the Company's website viz. https://www.galaglobalhub.com/
The Board meeting commenced at 4.00 P.M. and concluded at 04.30 P.M.
We request you to take the above information on record.
Thanking you,
For Gala Global Products Limited
Vishal Mulchandbhai Gala
Director
DIN: 00692090
GALA GLOBAL PRODUCTS LIMITED
CIN - L29109GJ2010PLC063243
B-1, LAXMI COM. CO.OP. ESTATE, B/H OLD NAVNEET PRESS,SUKHRAMNAGAR,
AHMEDABAD, GUJARAT, INDIA, 380021
BALANCE SHEET AS AT 30TH JUNE, 2026
(Amount in Lakhs)
Year Ended Year To Date
Particulars Note No. 30.06.2026 31.03.2026 30.06.2025 30.06.2026 30.06.2025
Unaudited Audited Unaudited Unaudited Unaudited
I. ASSETS
Non-Current Assets
(1) (a)Property, Plant and Equipment and Intangible Assets 10
(i) Property, Plant and Equipment 76.47 81.06 100.61 76.47 100.61
(ii) Intangible Assets 1,300.00 1,300.00 1,300.00 1,300.00 1,300.00
(iii) Capital Work-in-Progress - - - - -
(iv) Intangible Assets Under Development - - - - -
(b) Non-Current Investments 11 - - - - -
(c) Deferred Tax Assets (Net) 3.20 3.72 3.30 3.20 3.30
(d) Long-term Loans and Advances 12 - - - - -
(e) Other Non-Current Assets 13 2,849.13 4,132.94 - 2,849.13 -
2 Current Assets
(a) Current Investments 14 - - - - -
(b) Inventories 15 - - 19.65 - 19.65
(c) Trade Receivables 16 - 12.69 10,808.55 - 10,808.55
(d) Cash and Cash Equivalents 17 1.61 0.91 1.47 1.61 1.47
(e) Short-Term Loans and Advances 18 13.33 13.33 - 13.33 -
(f) Other Current Assets 19 2,769.99 2,704.84 2,611.16 2,769.99 2,611.16
Total Assets 7,013.73 8,249.48 1 4,844.75 7,013.73 14,844.75
II. EQUITY AND LIABILITIES
(1) Shareholder's Funds
(a) Share Capital 1 2,729.40 2,729.40 2,729.40 2,729.40 2,729.40
(b) Other Equity 2 314.79 363.88 866.70 314.79 866.70
(c) Money received against Share Warrants
(2) Share Application Money Pending Allotment - - - - -
(3) Non-Current Liabilities
(a) Long-Term Borrowings 3 2,534.22 2,531.58 231.59 2,534.22 231.59
(b) Deferred Tax Liabilities (Net) - - - - -
(c) Other Long Term Liabilities 4 465.07 1,746.27 4.98 465.07 4.98
(d) Long-Term Provisions 5 - - - - -
(4) Current Liabilities
(a) Short-Term Borrowings 6 732.92 702.08 2,679.76 732.92 2,679.76
(b) Trade Payables 7 - - - - -
(A) Total outstanding dues of micro enterprises and small enterprises - - - - -
(B) Total outstanding dues Other Than micro enterprises and small enterprises 9.52 15.74 8,273.06 9.52 8,273.06
(c) Other Current Liabilities 8 225.56 158.28 59.26 225.56 59.26
(d) Short-Term Provisions 9 2.25 2.25 - 2.25 -
Total Equity and Liabilities 7,013.73 8,249.48 14,844.75 7,013.73 14,844.75
Place: Ahmedabad PRAHLAD KUMAR AGARWAL
Date : 22/07/2026 Managing Director
DIN: 09851691
GALA GLOBAL PRODUCTS LIMITED
CIN - L29109GJ2010PLC063243
B-1, LAXMI COM. CO.OP. ESTATE, B/H OLD NAVNEET PRESS,SUKHRAMNAGAR,
AHMEDABAD, GUJARAT, INDIA, 380021
STATEMENT OF AUDITED STANDALONE FINANCIAL RESULTS FOR THE QUARTER AND YEAR ENDED ON 30TH JUNE, 2026
(Amount in Rs Lakhs)
Quarter Ended Year Ended
Particulars 30.06.2026 31.03.2026 30.06.2025 30.06.2026 30.06.2025
Unaudited Audited Unaudited Unaudited Unaudited
I Revenue From Operations - - 1.01 - 1.01
II Other Income - - 0.00 - 0.00
III Total Income (I+II) - - 1.01 - 1.01
IV EXPENSES:
Cost of Materials Consumed - - - - -
Purchase of Stock-in-Trade - - - - -
Change in inventory of finished goods, work-in-progress
- - 175.67 - 175.67
and Stock-in-Trade
Employee Benefits Expenses 4.50 18.00 - 4.50 -
Finance costs 30.85 399.97 16.01 30.85 16.01
Depreciation and amortization expenses 2.95 6.34 6.37 2.95 6.37
Other Expenses 10.28 11.35 10.43 10.28 10.43
Total expenses (IV) 48.58 435.67 208.47 48.58 208.47
V Profit/(Loss) before tax (48.58) (435.67) (207.46) (48.58) (207.46)
VI Prior Period Item - - - - -
VII Profit before exceptional & extraordinary items and tax (48.58) (435.67) (207.46) (48.58) (207.46)
VIII Exceptional & Extraordinary items - - - - -
IX Profit/(Loss) before tax (48.58) (435.67) (207.46) (48.58) (207.46)
X Tax expense: -
(1) Current Tax - - - - -
(2) MAT Credit Entitlement - - - - -
(3) Deferred Tax (0.51) 0.14 0.14 (0.51) 0.14
XI Profit/(Loss) for the period from continuing operation (49.09) (435.53) (207.32) (49.09) (207.32)
XII Profit/(Loss) for discontinued operation - - - - -
XIII Tax expenses of discontinued operations - - - - -
XIV Profit/(Loss) form Discontinued operation (after tax) - - - - -
XV Profit/(Loss) for the period (49.09) (435.53) (207.32) (49.09) (207.32)
XVI Other Comprehensive Income
A (i) Items that will not be reclassified to profit or lossor
- - - - -
loss
(ii) Income tax relating to items that will not be
- - - - -
reclabe reclassified to profit or loss
B (i) Items that will be reclassified to profit or loss loss - - - - -
(ii) Income tax relating to items that will be reclr
- - - - -
reclassified to profit or loss
XVII Total Comprehensive Income for the period (XV+XVI) (49.09) (435.53) (207.32) (49.09) (207.32)
(Comprising Profit (Loss) and Other (Comprising Profit
(Loss) and Other period)
XVIIIEarnings per equity share:
(1) Basic (0.09) (0.80) (0.38) (0.09) (0.38)
(2) Diluted (0.09) (0.80) (0.38) (0.09) (0.38)
Place: Ahmedabad PRAHLAD KUMAR AGARWAL
Date : 22/07/2026 Managing Director
DIN: 09851691
GALA GLOBAL PRODUCTS LIMITED
CIN - L29109GJ2010PLC063243
B-1, LAXMI COM. CO.OP. ESTATE, B/H OLD NAVNEET PRESS,SUKHRAMNAGAR,
AHMEDABAD, GUJARAT, INDIA, 380021
CASHFLOW STATEMENT FOR THE PERIOD ENDED ON 30TH JUNE, 2026
Amount in Lakhs Amount in Lakhs
Particulars 30.06.2026 30.06.2025
Rs Rs Rs Rs
A CASH FLOW FROM OPERATING ACTIVITIES
Net Profit Before Tax (48.58) (207.46)
Add Back: -
Depreciation 2.95 6.37
Deferred Revenue Expenditure - -
Loss on sale of Assets - -
Interest expense 30.85 16.01
Others if any - 33.80 - 22.37
Deduct: -
Interest income - -
Profit on sale of Assets - -
Others if any - - 0.00 0.00
Operating profit before working capital changes (14.78) (185.09)
Adjustments for:
Increase/(decrease) in current liabilities & provisions (1,213.92) (2,071.03)
Decrease/(Increase) in Receivables 12.69 (3,382.76)
Decrease/(Increase) in Inventories - 175.67
Decrease/(increase) in other current assets (65.15) 119.24
Decrease/(increase) in Short Term Advances - -
Increase/(Decrease) in Payables (6.22) (1,272.61) 3,410.26 (1,748.61)
Cash generated from operations (1,287.39) (1,933.70)
Income Tax & Other Adjustment 0.00 0.00
Cash flow before extraordinary item (1,287.39) (1,933.70)
Proceeds from extraordinary item - 0.00
Net Cash flow from Operating activities (1,287.39) (1,933.70)
B CASH FLOW FROM INVESTING ACTIVITIES
Purchase of Fixed Assets 1.64 0.00
Sale of Fixed Assets - -
Decrease/(Increase) in Investment - -
Decrease/(Increase) in Other Non Current Asset 1,283.81 1,940.16
Interest income - -
Net Cash used in Investing activities 1,285.45 1,940.16
C CASH FLOW FROM FINANCING ACTIVITIES
Proceeds from issuance of share capital 0.00 -
Proceeds from Long term Borrowings 2.64 (1,847.25)
Proceeds from Short term Borrowings 30.85 1,857.67
Subsidy - -
Interest paid (30.85) (16.01)
Net Cash used in financing activities 2.64 (5.59)
Net increase in cash & Cash Equivalents 0.70 0.88
Cash and Cash equivalents as at 31.03.2026 0.91 31.03.2025 0.59
Cash and Cash equivalents as at 30.06.2026 1.61 30.06.2025 1.47
Place: Ahmedabad PRAHLAD KUMAR AGARWAL
Date : 22/07/2026 Managing Director
DIN: 09851691