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June 23, 2026
BSE Limited, National Stock Exchange of India Limited,
Department of Corporate Services, The Listing Department,
Phiroze Jeejeebhoy Towers, Exchange Plaza,
Dalal Street, Fort, Bandra Kurla Complex,
Mumbai-400001 Mumbai-400051
Scrip Code: 544545 Symbol: TRUALT
Sub: Resubmission of Audited Financial Results for the quarter and year ended March 31, 2026
in Machine-Readable Form - Pursuant to NSE Circular No. NSE/CML/2018/02 dated January
16, 2018
Dear Sir/Madam,
This is to inform you that NSE Limited (“NSE”) has issued an observation via email, wherein it was
observed that the Audited Financial Results (Standalone and Consolidated) for the quarter and year
ended March 31, 2026, submitted by the Company on May 22, 2026, along with the Auditor's Report
thereon, were not in machine-readable/legible form as required under NSE Circular No.
NSE/CML/2018/02 dated January 16, 2018.We regret this inadvertent error.
In this regard, we are resubmitting herewith a machine-readable/legible copy of the said Audited
Financial Results (Standalone and Consolidated) along with the Auditor's Report thereon, for your
records. We assure you that necessary steps are being taken to ensure accurate and timely submission
of future filings.
We request you to kindly take the above on record.
For TruAlt Bioenergy Limited
Monu Kumar
Company Secretary & Compliance Officer
(Membership No.: A38853)
Encl.: As above
TRU LT®
TRUALT BIOENERGY LIMITED
BIOENERGY (FORMERLY KNOWN AS TRUALT ENERGY LIMITED)
~ 080-23255000123255600
E:I contact@trualtbioenergy.com
www.trualtbioenergy.com
GSTIN-29AAICT5347A1ZB
CIN-L15400KA2021PLC145978
STANDALONE FINANCIAL RESULTS FOR THE QUARTER AND YEAR ENDED 31 MARCH 2026
(All amounts are in"' lakhs, unless otheroNise st aced)
Quarter Ended Year Ended
Sr. March 31, December 31, March 31, March 31, March 31,
Particulars
No. 2026 2025 2025 2026 2025
Unaudited Unaudited Audited Audited Audited
1 Income
(a) Revenue from Operations 60.322.11 70,302.26 89,927.45 1,70,465,34 1,88,0ll.66
(b) Other Income 1,339.56 1,770.18 1,364.87 6,828.35 6,058.94
Total Income 61,661.67 72,072.44 91,292,32 1,77,293.69 1,94,070,60
2 Expenses
(a) Cost of Materials Consumed 49,810.84 42,173.33 54,533.85 1,08,031.39 1,03,573,70
(b) Purchases of Stock-in-trade 5,368,75 11,986.02 3,640.55 19,967.15 28,286.34
(c) Changes in Inventories of Finished Goods (24,586.69) (4,944.40) 1,433.65 (17,089.29) (5,062.84)
(d) Employee Benefits Expense 1,274.59 1,174.30 1,104.05 4,494.32 3,715.13
{e) Finance Costs 4,294.38 3,964.74 3,845.92 15,785.20 14,103.64
{f) Depreciation and Amortisation Expense 2,243.27 2,129.13 1,697.37 8,409.06 6,459.57
(g) Other Expenses 15,356.26 7,007.78 14,123.33 26,748.36 27,779.95
Total Expenses 53,761.40 63,490.90 80,378,72 1,66,346.21 1,78,855,49
3 Profit before Exceptional Items and Tax (1-2) 7,900.27 8,581.54 10,913.60 10,947.48 15,215.11
4 Exceptional Items
5 Profit before Tax (3-4) 7,900.27 8,581.54 10,913,60 10,947.48 15,215.11
6 Tax Expense: (2,227.12) (1,979.64) 109.21 (2,944.48) (1,153.58)
-Current Tax (refer note 14 below)
• Deferred Tax (Charge) I Credit (2,227.12) (1,979.64) 109.21 (2,944.48) (1,153.58)
7 Profit for the period/ year (5•6) 5,673.15 6,601.90 11,022.81 8,003,00 14,061.53
8 Other Comprehensive Income/ (Expense)
Items that will not be reclassified to Statement of Profit and Loss
-Remeasurementgain/(loss) on defined benefit plans (Net of Tax) 1011 4.67 (4,63) 23.20 0.36
10,11 4.67 (4,63) 23.20 0.36
9 Other Comprehensive Income/ (Expense) for the period I year (Net of Tax)
10 Total Comprehensive Income for the period I year (7+8) 5,883.26 6,606.57 11,018.18 8,026.20 14,061.89
11 Paid up Equity Share Capital (Face Value of no each) 8,575.26 8,575.26 7,063.16 8,575.26 7,063.16
12 Other Equity excluding Revaluation Reserves 1,42,774.81 69,836.74
13 Earnines Per Equity Share (Face Value oH 10 each) (Not annualised for quarter)
-Basic(~) 6.62 7.70 15,60 10.23 20.08
__ -Diluted(~) 6.62 7.70 15.60 10,23 20.08
Registered Office : Corporate Office :
Survey No. 166, Kulall Cross, Jamkhandi # 15th floor, Unit No. N· 1501, World Trade Center, Brigade Gateway Campus,
Mudhol Road, Bagalkot, Karnataka-587313, India #26/1, Dr Rajkumar Road, Malleswaram West, Bengaluru -560 055
TRU LT ®
TRUALT BIOENERGY LIMITED
BIOENERGY (FORMERLY KNOWN AS TRUALT ENERGY LIMITED)
~ 080-23255000123255600
S contact@trualtbioenergy.com
www.trualtbioenergy.com
GSTIN -29MICT5347 A1 Z B
CIN-L15400KA2021PLC145978
STANDALONE BALANCE SHEET AS ON 31 MARCH 2026
(All amounts are in~ lakhs, unless otherwise stated)
Asat
Sr. March 31, March 31,
Particulars
No. 2026 2025
Audited Audited
1 ASSETS
Non-Current Assets
Property, Plant and Equipment 1,99,170.47 1,63,415.89
Capital Work-in-Progress 2,279.73 277.63
Goodwill 4,786.18 4,786.18
Other Intangible Assets 7,190.38 8,296.39
Right-of-use Assets 529.81 678.34
Financial Assets
Investments 4,533.63 1,691.52
Other Financial Assets 2,328.11 204.35
Other Non~Current Assets 165.67 13,696.23
Total Non-Current Assets 2,20,983.98 1,93,046.53
Current Assets
Inventories 52,182.71 20,420.23
financial Assets
Investments 406.53 436.08
Loans 250.00 250.00
Trade Receivables 40,586.96 33,780.40
Cash and Cash Equivalents 4,805.55 14,782.67
Bank Balances Other than Cash and Cash Equivalents 150.80 0.00
Other Financial Assets 1,693.52 1,515.47
Government Grant 12,353.05 9,561.50
Income Tax Assets (net) 725.36 170.98
Other Current Assets 28,786.82 23,812.15
Total Current Assets 1,41,941.30 1,04, 729.48
TOTAL ASSETS 3,62,925.28 2,97,776.01
EQUITY AND LIABILITIES
Equity
Equity Share Capital 8,575.26 7,063.16
Other Equity 1,42,774.81 69,690.06
Total Equity 1,51,350.07 76,753.22
Liabilities
Non-Current Liabilities
Financial Liabilities
Borrowings 93,030.81 1,10,286.41
Lease Liabilities 403.55 519. 70
Other Financial Liabilities 0.40 0.40
Provisions 430.95 308.18
Deferred Tax liability (net) 10,718.76 7,767.16
Total Non-Current Liabilities 1,04,584.47 1,18,881.85
Current Liabilities
Financial Liabilities
Borrowings 65,015.42 42,958.31
Lease Liabilities 172.33 166.46
Trade Payables
(i) Total outstanding dues of micro enterprises and small enterprises 2,717.76 1,338.86
(ii) Total outstanding dues of creditors other than micro enterprise and small enterprise 24,257.49 45.488.04
Other Financial Liabilities 14,619.46 11.981.78
Other Current Liabilities 178.48 183.33
Provisions 29.80 24.16
Total Current Liabilities 1,06,990.74 1,02,140.94
Total Liabilities 2,11,575.21 2,21,022.79
TOTAL EQUITY AND LIABILITIES 3,62,925.28 2,97,776.01
Registered Office: Corporate Office:
Survey No. 166, Kulali Cross, Jamkhandi #15th floor, Unit No. N-1501, World Trade Ce
Mudhol Road, Bagalkot, Karnataka -587313, lndla #26/1, Dr Rajkumar Road, Malleswaram West, sm.1'lml.&r0
TRU LT®
TRUALT BIOENERGY LIMITED
BIOE' E GY (FORMERLY KNOWN AS TRUALT ENERGY LIMITED)
~ 080-23255000123255600
B contact@trualtbioenergy.com
www.trualtbioenergy.com
GSTIN-29AAICT5347A1ZB
CIN-L15400KA2021PLC145978
AUDITED STANDALONE CASH FLOW STATEMENT FOR THE YEAR ENDED 31 MARCH 2026
(All amounts are in~ lakhs, unless otherwise stated)
March 31, March 31,
Particulars 2026 2025
Audited Audited
A Cash flow from operating activities
Profit before tax 10,947.48 15,215.11
Adjustments for:
Depreciation and amortisation expense 8,409.08 6,459.57
Interest Income (647.08) {17.93)
Finance costs 15,785.20 14,103.64
Unwinding of discount on security deposits at amortised cost {8.73) (6.67)
Net gain on sale of quoted equity investments measured at FVTPL (46.53)
Unrealised fair value loss on investments measured at FVTPL 29.55 3.96
Unrealised forex loss 2.65
Provision no longer required written back (207.13) (1,187.67)
Operating profit before working capital changes 34,308.37 34,526.13
Changes in working capital
Increase/ (Decrease) in trade payables {19,851.65) 33,061.84
(Increase) in inventories (31,762.48) (4,868.85)
(Increase) in trade receivables (6,806.56) (4,087.61)
Increase/ (Decrease) in other current liabilities {4.88) 44
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