NSEOutcome of Board Meeting3d ago · 5 Aug 2026, 04:07 pm
Outcome of Board Meeting
Garware Technical Fibres Limited · GARFIBRES
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Garware Technical Fibres Limited has submitted its unaudited standalone and consolidated financial results for the quarter ended 30th June, 2026, which were approved by the Board of Directors. The company's revenue from operations was Rs. 40,132.78 lakhs, with a net profit of Rs. 4,898.93 lakhs. The earnings per share (EPS) was Rs. 4.97.
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Full Announcement
Garware Technical Fibres Limited has submitted to the Exchange, Outcome of Board Meeting held on 05th August, 2026 including the Unaudited Standalone &Consolidated Financial Results for the quarter ended 301h June, 2026.
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GARWARE
TECHNICAL FIBRES
GTFL:SEC:2026 August 05, 2026
BSE Limited
Corporate Relationship Department,
New Trading Ring,
Rotunda Building, P. J. Towers,
Dalai Street, Fort,
Mumbai 400001. (Company code: 509557)
National Stock Exchange of India Ltd.
Exchange Plaza, Plot No. C/1, 'G' Block,
Bandra-Kurla Complex,
Bandra East,
Mumbai 400051. (Symbol: GARFIBRES, Series: EQ)
Dear Sirs,
Sub: Outcome of Board Meeting held on 05t August, 2026 including the Unaudited Standalone &
Consolidated Financial Results for the quarter ended 301h June, 2026
We refer to our letter dated 29t July, 2026 and inform that the Unaudited Standalone &
Consolidated Financial Results for the quarter ended 30t June, 2026 were taken on record and
approved by the Board of Directors of the Company at its meeting held today i.e. Wednesday, 05th
August, 2026.
We refer to the Regulations 30 and 33 of Securities and Exchange Board of India (Listing Obligation
and Disclosure Requirements) Regulations, 2015 and accordingly enclosed herewith:
The Unaudited Standalone & Consolidated Financial Results for the quarter ended 30 June,
2026.
Limited Review Report on the Unaudited Standalone & Consolidated Financial Results for the
quarter ended 30th June, 2026.
The Board Meeting was commenced at 02.30 p.m. and concluded at 03.45 p.m.
Trading Window will be re-opened after 48 hours of the conclusion of Board Meeting.
Kindly acknowledge.
Thanking you,
Yours faithfully,
For GARWARE TECHNICAL FIBRES LIMITED
,51-A
S uriWAgarwal
Company Secretary
M. No. FC56407
Registered Office
Garware Technical Fibres Ltd. (Formerly Garware-Wall Ropes Ltd.): Plot No. 11, Block D-1, M.I.D.C., Chinchwad, Pune 411 019, India.
T +91 20 2799 0000/0306 E pune_admin@garwarefibres.com www.garwarefibres.com CIN: L25209MH1976PLC018939
Garware Technical Fibres Limited
Regd. Office: Plot No. 11, Block D-1, M.I.D.C., Chinchwad, Pune - 411 019.
/ i\ ..--.. -- GATIWARE Website: www. garwarefibres.com, CIN No. L25209MH1976PLC018939
• 1 1 . • TECHNICAL FIBRES Tel.: (020) 2799 0000, E-mail: secretarial@garwarefibres.com
STATEMENT OF UNAUDITED STANDALONE FINANCIAL RESULTS FOR THE QUARTER ENDED ON 30TH JUNE, 2026
(Rs. in Lakhs)
Sr. Particulars Quarter ended Year ended
30/06/2026 31/03/2026 30/06/2025 31/03/2026
, (Unaudited) (Audited) (Unaudited) (Audited)
PART I
I. Revenue from Operations 40,132.78 37,147.81 34,804.30 1,41,898.37
II. Other Income 845.24 724.80 1,235.16 4,523.88
III. Total income ( I + II) 40,978.02 37,872.61 36,039.46 1,46,422.25
IV. Expenses
Cost of materials consumed 11,526.65 8,607.40 9,199.36 33,564.78
Purchase of stock-in-trade 2,070.36 915.49 2,843.28 8,817.18
Changes in inventories of finished goods, work in progress and stock-in-trade (3,363.23) 418.56 (2,861.25) (1,512.44)
Employee benefits expense 5,573.94 4,869.06 5,586.70 20,897.69
Finance Costs 222.41 223.90 253.53 1,078.93
Depreciation and amortisation expense 822.87 809.58 736.26 3,143.82
Other expenses
Processing and Testing Charges 3,307.79 3,455.37 3,496.47 13,814.10
Others 14,260.03 9,748.35 9,610.48 37,236.88
Total Expenses 34,420.82 29,047.71 28,864.83 1,17,040.94
V. Profit before exceptional Items and tax (III-IV) 6,557.20 8,824.90 7,174.63 29,381.31
VI. Exceptional Items - (1,390.00) - (1,390.00)
VII. Profit before tax (V-VI) 6,557.20 7,434.90 7,174.63 27,991.31
VIII. Tax Expenses
Current Tax 2,038.96 1,913.36 2,019.22 6,898.17
Deferred Tax (380.69) 39.81 (360.32) (33.39)
IX. Profit for the period from Continuing Operation (VII-VIII) 4,898.93 5,481.73 5,515.73 21,126.53
X. Profit/(loss) from discontinued operations -
XI. Tax expense of discontinued operations - -
XII. Profit/(loss) from Discontinued operations (after tax) (X-XI) - - - -
XIII. Profit for the period (1X+XII) 4,898.93 5,481.73 5,515.73 21,126.53
XIV. Other Comprehensive Income
Items that will be reclassified to profit / (loss) -
Items that will not be reclassified to profit / (loss) 4,124.33 470.67 306.90 (992.36)
Other Comprehensive Income (Net of Taxes) 4,124.33 470.67 306.90 (992.36)
XV. Total Comprehensive Income 9,023.26 5,952.40 5,822.63 20,134.17
XVI. Paid-up Equity Share Capital (Face value Rs. 10/- each) 9,764.83 9,926.58 9,926.58 9,926.58
XVII. Other Equity 1,22,798.71
XVIII. Earnings Per Share of Rs. 10/- each (EPS) (for continuing and discontinuing
operations) (Rs.)
Basic EPS 4.97 5.52 5.56 21.28 I•ry
Diluted EPS 4.97 5.52 5.56 21.28
...,:N,NI , i ............ Garware Technical Fibres Limited
...=--- Regd. Office: Plot No. 11, Block 0-1, M.I.D.C., Chinchwad, Pune - 411 019.
/ N•\ ...'. '''' GARAVARE Website: www. garwarefibres.com, CIN No. L25209MH1976PLC018939
. i • . \ TECHNICAL FIBRES Tel.: (020) 2799 0000, E-mail: secretarial@garwarefibres.com
STATEMENT OF UNAUDITED STANDALONE FINANCIAL RESULTS FOR THE QUARTER ENDED ON 30TH JUNE, 2026
(Rs. in Lakhs)
Sr. Particulars Quarter ended Year ended
30/06/2026 31/03/2026 30/06/2025 31/03/2026
(Unaudited) (Audited) (Unaudited) (Audited)
1 Segment Revenue
Synthetic cordage 29,963.93 29,471.78 25,964.49 1,10,545.17
Fibre and Industrial Products & Projects 10,900.29 8,080.39 9,541.51 33,872.85
Total 40,864.22 37,552.17 35,506.00 1,44,418.02
Less: Inter-Segment Revenue (731.44) (404.36) (701.70) (2,519.65)
Net Sales/Income from Operations 40,132.78 37,147.81 34,804.30 1,41,898.37
2. Segment Results
Synthetic cordage 5,443.59 10,563.01 5,216.86 25,732.71
Fibre and Industrial Products & Projects 2,331.29 1,639.10 1,544.15 6,772.86
Total 7,774.88 12,202.11 6,761.01 32,505.57
Less:
Interest (222.41) (223.90) (253.53) (1,078.93)
Other unallocable expenditure net off Unallocable Income (995.27) (4,543.31) 667.15 (3,435.33)
Total Profit Before Tax 6,557.20 7,434.90 7,174.63 27,991.31
3. Segment Assets
Synthetic cordage 88,244.10 80,399.05 73,744.44 80,399.05
Fibre and Industrial Products & Projects 18,391.66 15,674.50 18,538.05 15,674.50
C) Unallocable 78,229.17 81,817.28 85,686.75 81,817.28
Total 1,84,864.93 1,77,890.83 1,77,969.24 1,77,890.83 ,9
4. Segment Liabilities
Synthetic cordage 31,471.51 29,886.56 30,194.78 29,886.56
Fibre and Industrial Products & Projects 9,372.49 8,447.94 7,957.05 8,447.94
C) Unallocable 13,404.98 6,831.04 11,968.21 6,831.04
Total 54,248.98 45,165.54 50,120.04 45,165.54
5. Capital Employed (Segment Assets - Segment Liabilities)
Synthetic cordage 56,772.59 50,512.49 43,549.66 50,512.49
Fibre and Industrial Products & Projects 9,019.17 7,226.56 10,581.00 7,226.56
C) Unallocable & Corporate 64,824.19 74,986.24 73,718.54 74,986.24
Total 1,30,615.95 1,32,725.29 1,27,849.20 1,32,725.29
Garware Technical Fibres Limited
— Regd. Office: Plot No. 11, Block D-1, M.I.D.C., Chinchwad, Pune -411019.
\---.- GAIRWARE
Website: www. garwarefibres.com, CIN No. L25209MH1976PLC018939
i. `, ' TECHNICAL FIBRES Tel.: (020) 2799 0000, E-mail: secretarial@garwarefibres.com
STATEMENT OF UNAUDITED CONSOLIDATED FINANCIAL RESULTS FOR THE QUARTER ENDED ON 30TH JUNE, 2026
(Rs. in Lakhs)
Sr. Particulars Quarter ended Year ended
30/06/2026 31/03/2026 30/06/2025 31/03/2026
(Unaudited) (Audited) (Unaudited) (Audited)
PART I
I. Revenue from Operations 48,237.27 42,641.47 36,722.74 1,52,878.63
II. Other Income 892.52 780.94 1,283.88 4,768.88
III. Total income ( I + II) 49,129.79 43,422.41 38,006.62 1,57,647.51
IV. Expenses
Cost of materials consumed 13,190.23 10,339.90 11,030.60 41,019.63
Purchase of stock-in-trade 2,070.36 915.06 2,843.28 8,817.18
Changes in inventories of finished goods, work in progress and stock-in-trade (1,402.72) 1,652.37 (3,455.66) (4,445.30)
Employee benefits expense 6,436.77 5,740.90 5,791.42 23,676.44
Finance Costs 333.04 312.19 316.00 1,355.93
Depreciation and amortisation expense 932.74 909.16 740.75 3,444.69
Other expenses
Processing and Testing Charges 3,511.35 3,541.94 3,578.45 14,854.20
Others 15,421.84 10,826.92 10,122.32 40,595.70
Total Expenses 40,493.61 34,238.44 30,967.16 1,29,318.47
V. Profit before exceptional Items and tax (III-IV) 8,636.18 9,183.97 7,039.46 28,329.04
VI. Exceptional Items - (1,390.00)
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