M.K. Exim (India) Ltd — Important, 08-06-2026: Company Update
_ "NAMO NARAYAN" ’
L] L] [ ] L] (#44) ). K. Exim (India) Limited
- CIN No. L63040RJ1992PLC007111
Regd. Office : G1/150, Garment Zone, E.P.1.P. Sitapura, Tonk Road, JAIPUR-302022
Tel.: .+91-141-3937500/501 Fax : +91-141-3937502 Website : www.mkexim.com
E-mail : mkexim@gmail.com, mkexim@hotmail.com, info@mkexim.com
Date: 08t June, 2026
To
BSE Limited
Phiroze Jeejeebhoy Towers
Dalal Street,
Mumbai-400 001
Ref: MK. Exim (India) Ltd. Scrip Code: 538890
Sub: Clarification cum Corrigendum to the financial results submitted on 29.05.2026
Ref.: Regulation 30 & 33 of SEBI (LODR), Regulations, 2015
Dear Sir/Madam,
This is in continuation to our Corporate Announcement/Outcome/Financial Results
submitted to your good office on 29.05.2026 regarding the Financial Results for the Quarter
and Financial Year ended 31st March, 2026.
We wish to inform you that an inadvertent typographical/clerical error was noticed in the
annexures/statements accompanying the said financial results. We hereby submit this
clarification letter to rectify the error.
The details of the typographical errors and the corresponding rectifications in Statement
of
Assets and Liabilities are as follows:
Sr. No. | Document / Particulars Incorrectly | To Be Read As /
Stated As Correct Information
1 Statement of Assets and Liabilities - Item (B)
(b) OTHER EQUITY 7995.93
7710.22
[specific Row/Column in 31.03.2026]
2. Statement of Assets and Liabilities - Item (B)
(a) DEFERRED TAX LIABILITY (261.05) 24.65
[specific Row / Column in 31.03.2026] :
We confirm that this clerical error is purely typographical, unintentional, and deliberate.
We
further clarify that this correction does not result in any material change to
the core
financial performance, revenue, or overall financials of the Company.
----------------Page (0) Break----------------
i% M. K. Exim (India) Limited
CIN No. L63040RJ1992PLC007111
Regd. Office : G1/150, Garment Zone, E.P.LP. Sitapura, Tonk Road, JAIPUR-302022
Tel.: +91-141-3937500/501 Fax : +91-141-3937502 Website : www.mkexim.com
E-mail : mkexim@gmail.com, mkexim@hotmail.com, info@mkexim.com
The revised and correct Statement of Assets and Liabilities is enclosed herewith as an
annexure.
All other information provided in the Outcome of the Board Meeting dated 29.05.2026
remains unchanged.
This corrigendum shall be read in conjunction with the said Outcome document. The
corrected documents have been uploaded on the website of the Company. This corrigendum
is also available on the website of the Company, further the XBRL submitted will also be
revised.
We request you to kindly take the same on your record.
Thanking you,
Yours faithfully,
Managing Director
DIN: 05201121
Encl: as above
----------------Page (1) Break----------------
M.K. EXIM (INDIA) LIMITED
Regd. Office: G-1/150, Garment Zone, E.P.LP,, Sitapura, Tonk Road, Jaipur-302022 (Raj.)
CIN No.: L63040RJ1992PLC007111
E-mail: mkexim@gmail.com Website: www.mkexim.com Tel. No.: 0141-3937501
AUDITED STANDALONE STATEMENT OF ASSETS AND LIABILITIES
FOR THE YEAR ENDED 31ST MARCH, 2026
(Amount in Lakhs)
AS AT 31ST AS AT 31ST
PARTICULARS MARCH, 2026 MARCH, 2025
ASSETS
NON-CURRENT ASSETS
(a) PROPERTY, PLANT AND EQUIPMENTS 1,131.43 933.40
(i) INTANGIBLE ASSETS 3.77 4.39
(ii) FINANCIAL ASSETS
(b) INVESTMENTS 111.84 111.84 (c) DEFERRED
TAX ASSETS (NET) - -
(d) OTHER NON-CURRENT ASSETS 158.51 100.22
TOTAL NON-CURRENT ASSETS 1,405.55 1,149.85
ICURRENT ASSETS
(a) INVENTORIES 4,406.37 | . 2,042.71
(b) FINANCIAL ASSETS
(i) TRADE RECEIVABLES 2,318.46 1,791.83
(i) CASH AND CASH EQUIVALENTS 152.60 410.84
(iii) OTHER BANK BALANCE 2,514.34 1,584.49
(iv) LOANS AND ADVANCES 1,462.55 2,794.63
(c) OTHER CURRENT ASSETS 144.97 297.01
TOTAL CURRENT ASSETS 10,999.31 8,921.51
TOTAL ASSETS 12,404.86 10,071.36
EQUITY AND LIABILITIES
EQUITY
() EQUITY SHARE CAPITAL 4,036.73 4.036.73
(b) OTHER EQUITY 7,710.22 5,708.09
TOTAL EQUITY 11,746.95 9,744.82
LIABILITIES
NON-CURRENT LIABILITIES
(a) DEFERRED TAX LIABILITY 24.65 26.85
(b) FINANCIAL LIABILITIES .
(i) BORROWINGS 134.63 4.82
TOTAL NON-CURRENT LIABILITIES 159.28 31.67
CURRENT LIABILITIES
(a) FINANCIAL LIABILITIES
(i) BORROWINGS 40.41 57.20
(i) TRADE PAYABLES
- Due to Micro and Small Enterprises 12.12
- Due to Other than Micro and Small Enterprises 187.83 90.86
(i) OTHER FINANCIAL LIABILITIES 4.53 6.64
(b) PROVISIONS 71.07 38.39
(c) CURRENT TAX LIABILITIES 150.18 87.48
(d) OTHER CURRENT LIABILITIES 3249 14.30
TOTAL CURRENT LIABILITIES 498.63 294.87
TOTAL LIABILITIES 657.91 326.54
TOTAL EQUITY AND LIABILITIES 12,404.86 10,071.36
Place: Jaipur Managing Director
Date: 29.05.2026 DIN: 05201121
----------------Page (2) Break----------------
