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Artemis Medicare Profit Jumps to ₹10,344 Lacs in FY26

May 8, 2026 4 mins read Firehose Gupta

Artemis Medicare Services Limited — Quarter and year ended March 31, 2026

The following tables are extracted from the provided quarterly results document (figures in ₹ in Lacs).

S No. Particulars 31-Mar-26 (Audited) (Refer Note 3) 31-Dec-25 (Unaudited) 31-Mar-25 (Audited) (Refer Note 3) 31-Mar-26 (Audited) 31-Mar-25 (Audited)
1. Income
(a) Revenue from Operations 27,378.66 26,712.34 23,480.13 1,06,049.17 91,326.13
(b) Other Income 767.57 748.80 1,223.30 2,990.48 3,291.50
Total Income 28,146.23 27,461.14 24,703.43 1,09,039.65 94,617.63
2. Expenses
(a) Operative Expenses 16,019.04 16,341.97 14,297.74 64,091.48 55,160.06
(b) Purchases of Stock in Trade 0.54
(c) Changes in inventories of Stock in Trade
(d) Employee Benefits Expense 4,396.36 4,231.24 3,799.93 16,183.67 14,371.00
(e) Finance Costs 630.67 659.39 752.82 2,694.40 3,048.26
(f) Depreciation and Amortization Expense 1,238.29 1,204.62 1,124.82 4,632.79 4,301.80
(g) Other Expenses 1,934.21 1,759.27 1,828.40 7,261.42 6,810.51
Total Expenses 24,218.57 24,196.49 21,803.71 94,863.76 83,692.17
3. Profit before exceptional items and tax (1-2) 3,927.66 3,264.65 2,899.72 14,175.89 10,925.46
4. Exceptional Items (Impact of Labour Code) 307.44 307.44
5. Profit before tax (3-4) 3,927.66 2,957.21 2,899.72 13,868.45 10,925.46
6. Tax Expense:
(a) Current Tax 774.71 647.75 356.03 2,916.95 2,111.26
(b) Earlier Year Tax (13.83) 20.96 (13.83) 20.96
(c) Deferred Tax Charge / (Credit) 212.08 58.18 202.27 621.18 447.46
Total Tax Expense 972.96 705.93 579.26 3,524.30 2,579.68
7. Net Profit after tax (5-6) 2,954.70 2,251.28 2,320.46 10,344.15 8,345.78
8. Other comprehensive income / (Loss)
Items that will not be reclassified to profit or loss
(a) Remeasurement gain/(loss) of defined employee benefit plans 26.19 (58.55) 50.01 (80.76) (79.15)
(b) Income Tax relating to items that will not be reclassified to profit or loss (6.59) 14.74 (12.59) 20.33 19.92
(c) Deferred Tax adjustment on revaluation that will not be reclassified to profit or loss 11.01 11.02 12.71 44.05 50.83
Net Other comprehensive income / (Loss) 30.61 (32.79) 50.13 (16.38) (8.40)
9. Total comprehensive income (7+8) 2,985.31 2,218.49 2,370.59 10,327.77 8,337.38
10. Paid up Equity Share Capital (Face value Re. 1/- each) 1,583.06 1,583.06 1,376.02 1,583.06 1,376.02
11. Other Equity (Excluding Revaluation Reserves) 85,390.61 75,954.72
12. Earning per Equity Share (Face value Re. 1/- each)
(a) Basic 1.87* 1.42* 1.48* 6.55 5.42
(b) Diluted 1.87* 1.42* 1.47* 6.55 5.36
Region Revenue from Operations
Quarter ended Year ended
31-Mar-26 31-Dec-25 31-Mar-25 31-Mar-26 31-Mar-25
India 19,152.45 17,962.42 16,233.11 73,781.09 65,893.47
Outside India 8,226.21 8,749.92 7,247.02 32,268.08 25,432.66
Total 27,378.66 26,712.34 23,480.13 1,06,049.17 91,326.13
Region Carrying amount of Non-Current Assets
Quarter ended Year ended
31-Mar-26 31-Dec-25 31-Mar-25 31-Mar-26 31-Mar-25
India 98,241.62 84,558.23 79,363.07 98,241.62 79,363.07
Outside India
Total 98,241.62 84,558.23 79,363.07 98,241.62 79,363.07
Particulars As At 31st March 2026 (Audited) As At 31st March 2025 (Audited)
Assets
Non-current assets
Property, plant and equipment 70,764.53 63,989.74
Capital work-in-progress 3,212.12 3,872.40
Right-of-use assets 2,988.37 3,946.50
Goodwill 4,162.07 4,162.07
Other Intangible assets 1,123.34 812.42
Other Intangible assets under development 82.90 167.56
Financial assets
    i. Investments 1,501.50 1,501.50
    ii. Loans 129.32 148.17
    iii. Other financial assets 6,687.37 563.30
Non-current tax assets (Net) 1,132.85 1,906.90
Other non-current assets 14,775.44 880.48
Total non-current assets 1,06,559.81 81,951.04
Current assets
Inventories 1,301.33 933.39
Financial assets
    i. Trade receivables 11,145.34 9,285.88
    ii. Cash and cash equivalents 3,303.65 4,101.12
    iii. Bank balances other than (ii) above 17,273.65 35,225.12
    iv. Loans 575.36 163.68
    v. Other financial assets 1,655.07 2,126.03
Other current assets 545.47 524.27
Total current assets 35,799.87 52,359.49
Total Assets 1,42,359.68 1,34,310.53
Equity and liabilities
Equity
Equity share capital 1,583.06 1,376.02
Other equity 92,283.71 82,803.77
Total equity 93,866.77 84,179.79
Non-current liabilities
Financial liabilities
    i. Borrowings 18,995.01 20,412.35
    ii. Lease Liabilities 3,092.04 3,964.04
Provisions 1,442.44 1,255.84
Deferred tax liabilities (Net) 4,306.81 3,750.01
Total non-current liabilities 27,836.30 29,382.24
Current liabilities
Financial liabilities
    i. Borrowings 3,574.63 3,191.97
    ii. Lease Liabilities 378.13 481.50
    iii. Trade payables
(A) Total Outstanding dues of Micro Enterprises and Small Enterprises 1,656.28 1,595.45
(B) Total Outstanding dues of Creditors other than Micro Enterprises and Small Enterprises 7,904.59 8,125.33
    iv. Other financial liabilities 2,505.87 3,334.77
Other current liabilities 2,665.16 2,615.43
Current Tax liabilities (Net) 37.35
Provisions 1,934.60 1,404.05
Total current liabilities 20,656.61 20,748.50
Total liabilities 48,492.91 50,130.74
Total equity and liabilities 1,42,359.68 1,34,310.53
Particulars Year ended 31st March 2026 (Audited) Year ended 31st March 2025 (Audited)
Cash flow from operating activities
Profit before tax 13,868.46 10,925.46
Adjustments for:
Depreciation and amortization expense 4,632.79 4,301.80
Interest Income (2,429.71) (2,652.61)
Finance Cost 2,694.40 3,048.26
Employee Cost towards Stock Based Payments 92.98
Unclaimed Credit balances / provisions no longer required written back (126.94) (44.72)
Allowance for Expected Credit Loss 156.10 174.29
Bad Debts Written Off 21.96 29.53
Unrealised foreign exchange gain (net) 8.85 10.66
Export Incentive (Deferred government grant) (152.14)
Loss / (Gain) on Lease Adjustment (130.75) (219.19)
Loss / (Gain) on Sale / Scrap of Property, Plant and Equipment (Net) 0.76 9.96
Operating cash flow before working capital changes 18,543.78 15,676.42
Adjustments for Changes in Working Capital
– (Increase)/Decrease in trade receivables (2,046.37) (1,150.41)
– (Increase)/Decrease in inventories (367.94) (23.96)
– (Increase)/Decrease in other financial assets 19.99 (46.60)
– (Increase)/Decrease in Other Assets (516.81) (26.57)
– Increase/(Decrease) in Trade Payables (32.97) 872.71
– Increase/(Decrease) in Provisions 636.39 293.26
– Increase / (Decrease) in Other current liabilities 201.87 445.29
– Increase / (Decrease) in Other financial liabilities (1,427.28) 378.76
Cash generated from operations 15,010.66 16,418.90
Income tax refund / (paid) (2,129.07) (1,401.29)
Net cash generated from operating activities 12,881.59 15,017.61
Cash flow from investing activity
Purchase of Property, Plant & Equipment / CWIP