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Wonderla Holidays Q1 FY26: Profit jumps, exceptional labour code impact

May 7, 2026 2 mins read Firehose Gupta

Wonderla Holidays Limited — Quarter and year ended 31 March 2026

S No. Particulars Quarter ended Year ended
31 Mar 2026 (Unaudited) 31 Dec 2025 (Unaudited)
1. Revenue from operations 13,584.57 13,453.00
Other income 620.27 692.32
Total income 14,204.84 14,145.32
2. Expenses
Cost of materials consumed 910.74 1,020.88
Purchase of stock-in-trade 507.80 734.31
Changes in inventories of stock-in-trade 82.33 (160.69)
Employee benefits expense 2,603.63 2,286.43
Finance costs 14.09 26.26
Depreciation and amortization expenses 2,788.00 2,098.93
Other expenses 5,462.90 5,549.45
Total expenses 12,369.49 11,555.57
3. Profit before tax and exceptional item (1-2) 1,835.35 2,589.75
Exceptional item
Impact of new labour code (Refer note 8) (363.48) 805.22
Profit before tax 2,198.83 1,784.53
4. Tax expense
Current tax 290.43 270.41
Deferred tax charge/(credit) (Refer note 7) 266.10 65.72
5. Profit for the period (3-4) 1,642.30 1,448.40
Other comprehensive income
Items that will not be reclassified to profit or loss
Remeasurements of defined benefit plans 46.43 (17.64)
Income tax relating to items that will not be reclassified to profit or loss (11.69) 4.44
6. Other comprehensive income / (loss) 34.74 (13.20)
Total comprehensive income (5+6) 1,677.04 1,435.20
7. Paid-up equity share capital
(Face value of the share Rs.10/- each) 6,342.28 6,342.28
8. Reserves and surplus i.e. ‘Other equity’
9. Earnings per share (face value of Rs.10/- each) (not annualised for the quarters)
(a) Basic in (Rs.) 2.59 2.28
(b) Diluted in (Rs.) 2.58 2.27
S No. Particulars Quarter ended Year ended
31 Mar 2026 (Unaudited) 31 Dec 2025 (Unaudited)
1 Segment revenue
Operating revenue
Amusement parks and Resort 10,024.47 9,735.16
Others 3,560.10 3,717.84
Total operating revenue (a) 13,584.57 13,453.00
Allocable other income
Amusement parks and Resort 53.62 41.59
Unallocated* 566.65 650.73
Total other income (b) 620.27 692.32
Total revenue (a+b) 14,204.84 14,145.32
2 Segment result
Amusement parks and Resort 975.32 1,502.88
Others 1,604.44 1,750.69
Total 2,579.76 3,253.57
Less: Unallocated expenses* (Refer note 8) 947.58 2,119.77
Operating profit 1,632.18 1,133.80
Add: Interest, dividend, gain from mutual funds and others 566.65 650.73
Profit before tax 2,198.83 1,784.53
3 Segment Assets
Amusement parks and Resort 1,47,246.85 1,43,152.19
Others 512.39 613.32
Unallocated* 46,940.00 50,714.13
Total 1,94,699.24 1,94,479.64
4 Segment Liabilities
Amusement parks and Resort 6,664.31 8,018.44
Others 399.66 478.39
Unallocated* 7,945.59 8,178.85
Total 15,009.56 16,675.68
5 Capital employed (Segment assets – segment liabilities)
Amusement parks and Resort 1,40,582.54 1,35,133.75
Others 112.73 134.93
Unallocated* 38,994.41 42,535.28
Total 1,79,689.68 1,77,803.96
S No. Particulars As at 31 March 2026 (Audited) As at 31 March 2025 (Audited)
A ASSETS
1 Non-current assets
Property, plant and equipment 1,30,766.58 94,135.14
Right of use assets 983.40 1,038.64
Capital work-in-progress 10,293.92 22,548.10
Other intangible assets 466.52 569.11
Intangible assets under development 67.20
Financial assets
(i) Loans 11.28 11.37
(ii) Other financial assets 252.25 265.36
Income tax assets (net) 48.76 48.76
Other non current assets 3,597.14 5,800.28
Total non-current assets 1,46,419.85 1,24,483.96
2 Current assets
Inventories 1,854.67 1,398.95
Financial assets
(i) Investments 40,248.11 13,595.94
(ii) Trade receivables 269.19 454.69
(iii) Cash and cash equivalents 1,679.51 1,924.20
(iv) Bank balance other than (iii) above 479.00 40,376.47
(v) Loans 75.87 79.49
(vi) Other financial assets 18.17 943.20
Other current assets 3,654.87 2,707.50
Assets-held-for-sale 196.05
Total current assets 48,279.39 61,676.49
Total assets 1,94,699.24 1,86,160.45
B EQUITY AND LIABILITIES
1 Equity
Equity share capital 6,342.28 6,340.88
Other equity 1,73,347.40 1,66,027.61
Total equity 1,79,689.68 1,72,368.49
2 Liabilities
Non-current liabilities
Financial liabilities
(i) Borrowings 123.97
(ii) Lease liabilities 437.12 472.43
Provisions 1,599.19 1,020.89
Deferred tax liabilities (net) 5,192.42 4,983.54
Total non-current liabilities 7,352.70 6,476.86
Current liabilities
Financial liabilities
(i) Borrowings