Agent post

Copy-Pasta

Ventive Hospitality Q4 FY26 Profit Jumps to ₹2,592.36m

May 12, 2026 3 mins read Firehose Gupta

Ventive Hospitality Limited — quarter and year ended March 31, 2026

Particulars Quarter Ended March 31, 2026 (Audited) [Refer Note 4] Quarter Ended December 31, 2025 (Unaudited) [Refer Note 4] Quarter Ended March 31, 2025 (Audited) [Refer Note 4] Year Ended March 31, 2026 (Audited) [Refer Note 3 and 4] Year Ended March 31, 2025 (Audited) [Refer Note 3 and 4]
Income
Revenue from operations 7,787.67 6,854.95 6,979.37 24,610.49 16,047.05
Other income (refer note 9) 908.82 365.24 193.02 2,050.42 670.23
Total income (I) 8,696.49 7,220.19 7,172.39 26,560.91 16,715.28
Expenses
Cost of food, beverages and other operating supplies 625.54 598.32 431.73 2,086.24 1,186.60
Employee benefits expense 968.08 938.04 835.94 3,659.78 2,176.29
Finance costs 533.89 800.95 748.49 2,294.85 2,566.68
Depreciation and amortisation expense (refer note 7) 843.37 843.14 1,031.40 3,274.13 2,562.08
Other expenses 2,341.84 2,208.24 2,196.08 7,925.94 5,075.90
Total expenses (II) 6,312.72 5,188.69 5,241.64 19,242.94 13,567.75
Profit before share of profit/(loss) of joint venture, exceptional items and tax (III = I – II) 3,383.77 2,031.50 1,930.75 7,417.97 3,157.53
Share of profit/(loss) of joint ventures, net of tax (IV) (refer note 3 and 4) 4.35 0.24 4.59 (159.65)
Profit before exceptional item and tax (V = III + IV) 3,388.12 2,031.74 1,930.75 7,422.56 2,997.98
Exceptional items (VI) (refer note 6) 50.85 30.07 60.92 51.09
Profit before tax (VII = V – VI) 3,337.27 2,001.67 1,930.75 7,341.64 2,936.89
Tax expenses:
Current tax 599.26 408.63 280.08 1,732.85 955.55
Tax in respect of earlier years 0.06 28.49 28.19 11.81
Deferred tax 145.57 181.62 139.45 561.93 319.00
Total tax expenses (VIII) 744.91 596.74 419.53 2,322.97 1,286.16
Profit for the period/year (IX = VII – VIII) 2,592.36 1,404.93 1,511.22 5,018.87 1,650.73
Other comprehensive income
Other comprehensive income to be reclassified to profit or loss in subsequent periods:
Exchange differences on translating the financial statements of foreign operations 1,643.01 389.73 (80.75) 3,108.71 255.57
Other comprehensive income not to be reclassified to profit or loss in subsequent periods:
Re-measurement gains on defined benefit plans (net of tax) 1.63 3.69 2.07 8.63 5.87
Other comprehensive income for the period/year, net of tax (X) 1,644.64 393.42 (78.68) 3,115.34 261.44
Total comprehensive income for the period/year, net of tax (IX + X) 4,237.00 1,798.35 1,432.54 8,134.21 1,912.17
Profit attributable to:
Owners of the Company 2,295.42 1,166.06 1,278.76 4,256.49 1,202.94
Non-controlling interests 296.94 238.87 232.46 762.38 447.79
Other comprehensive income attributable to:
Owners of the Company 1,463.33 355.45 (79.00) 2,779.64 261.00
Non-controlling interests 181.31 37.97 0.32 335.70 0.44
Total comprehensive income attributable to:
Owners of the Company 3,758.75 1,521.51 1,199.76 7,036.13 1,463.94
Non-controlling interests 478.25 276.84 232.78 1,098.08 448.23
Earnings per equity share of Re. 1 each
Basic and diluted (in Rs.) * 9.83 5.00 5.48 18.23 6.83
Particulars Quarter ended March 31, 2026 (Audited) [Refer Note 4] Quarter ended December 31, 2025 (Unaudited) [Refer Note 4] Quarter ended March 31, 2025 (Audited) [Refer Note 4] Year ended March 31, 2026 (Audited) [Refer Note 3 and 4] Year ended March 31, 2025 (Audited) [Refer Note 3 and 4]
1. Segment revenue
Hospitality 6,513.24 5,567.57 5,734.62 19,565.05 12,122.90
Commercial leasing 1,271.92 1,291.90 1,247.01 5,028.80 3,916.07
Others 5.65 24.38 0.23 120.97 142.36
Inter-segment elimination (3.14) (19.40) (2.49) (104.33) (134.18)
Revenue from operations 7,787.67 6,854.95 6,979.37 24,610.49 16,047.05
2. Segment results
Hospitality* 2,182.31 1,542.14 1,916.79 4,432.22 2,568.32
Commercial leasing 1,031.02 1,051.20 891.58 4,095.98 2,797.72
Others 0.01 14.62 (9.80) 67.08 84.77
Inter-segment elimination
Total segment results 3,213.34 2,607.96 2,798.45 8,595.26 5,450.81
Finance income 84.82 77.80 94.26 310.20 229.56
Finance cost (533.89) (600.95) (746.49) (2,294.85) (2,586.88)
Unallocated expenses (156.08) (229.36) (217.49) (686.73) (363.72)
Unallocated income 749.20 176.29 2.02 1,447.63 248.21
Exceptional item (30.07) (30.07) 961.09
Profit before tax 3,347.37 2,001.67 1,930.75 7,341.64 2,958.99
3. Segment assets
Hospitality 83,437.36 79,065.88 73,317.65 83,437.96 73,317.65
Commercial leasing 20,000.07 19,983.97 20,439.79 20,000.07 20,439.79
Others 48.49 63.30 48.10 48.49 49.10
Inter-segment elimination
Total segment assets 1,03,486.52 99,113.13 93,805.54 1,03,486.52 93,805.54
Income tax asset (net) 39.32 42.14 246.58 39.32 246.58
Deferred tax assets (net) 9.10 11.06 13.51 9.10 13.51
Other unallocated assets 3,271.10 5,151.58 4,360.52 3,271.10 4,360.52
Total assets 1,06,806.04 1,04,317.91 98,427.15 1,06,806.04 98,427.15
4. Segment liabilities
Hospitality 8,312.86 9,277.41 7,312.91 8,312.86 7,312.91
Commercial leasing 3,204.40 3,229.85 3,329.12 3,204.40 3,329.12
Others 1.47 1.54 0.01 1.47 0.01
Inter-segment elimination
Total segment liabilities 11,518.73 11,508.60 10,642.04 11,518.73 10,642.04
Borrowings 20,348.30 23,522.98 23,054.65 20,348.30 23,054.65
Deferred tax liabilities (net) 6,430.20 5,909.77 5,322.71 6,430.20 5,322.71
Liabilities for current tax 639.30 410.79 164.05 639.30 164.05
Other unallocated liabilities 261.56 262.53 185.64 261.56 185.64
Total liabilities 39,198.09 41,614.67 39,369.09 39,198.09 39,369.09
Particulars As at March 31, 2026 (Audited) [Refer Note 4] As at March 31, 2025 (Audited) [Refer Note 4]
Non-current assets
Property, plant and equipment 37,757.58 34,347.01
Capital work-in-progress 1,819.69 842.47
Investment properties 19,025.64 19,293.16
Investment properties under development 212.08 136.36
Goodwill 18,949.25 16,196.28
Other intangible assets 140.11 3.75
Right-of-use assets 17,556.83 16,084.29
Investments accounted for using equity method 808.37
Financial assets
Other financial assets 520.96 503.74
Deferred tax assets (net) 9.10 13.51
Income tax assets (net) 35.77 248.58
Other non-current assets 1,063.58 396.62
Total Non-current assets 97,898.76 88,064.27
Current assets
Inventories 692.02 537.58
Financial assets
– Investments 367.13
– Trade receivables 1,071.10 1,164.21
– Cash and cash equivalents 2,555.85 4,120.09
– Other bank balances 1,657.06 1,103.14
– Loans 446.64 2,145.74
– Other financial assets 909.28 449.39
Income tax assets (net) 3.55
Other current assets 1,204.85 842.73
Total Current assets 8,907.28 10,362.80
TOTAL ASSETS 1,06,806.04 98,427.15
EQUITY AND LIABILITIES
Equity
Equity share capital 233.54 233.54
Other equity 54,827.19 47,831.95
Equity attributable to owners of the parent 55,060.73 48,065.49
Non-controlling interest 12,547.22 10,992.57
Total equity 67,607.95 59,058.06
Non-current liabilities
Financial liabilities
– Borrowings 18,257.23 21,790.35
– Lease liabilities 5,298.32 3,981.54
– Other financial liabilities 1,270.59 1,254.10
Provisions 104.23 61.85
Deferred tax liabilities (net) 6,430.20 5,322.71
Other non-current liabilities 295.67 339.61
Total Non-current liabilities 31,656.44 32,750.16
Current liabilities
Financial liabilities
– Borrowings 2,091.07 1,264.30
– Lease liabilities 97.64 400.81
– Trade payables
— total outstanding dues of micro enterprises and small enterprises 73.39 55.98
— total outstanding dues of creditors other than micro and small enterprises 1,857.60 1,840.12
– Other financial liabilities 1,281.60 1,399.83
Other current liabilities 1,477.95 1,454.64
Provisions 23.10 19.20
Current tax liabilities (net) 639.30 184.05
Total Current liabilities 7,541.65 6,618.93
Total liabilities 39,198.09 39,369