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Nicco Parks Reports Q1 FY26 Net Loss of Rs 72.87 Lakhs

May 14, 2026 4 mins read Firehose Gupta

Nicco Parks & Resorts Limited — Quarter and year ended 31-Mar-2026

The following tables are extracted from the provided quarterly results document (figures in Rs. in Lakhs unless otherwise stated).

PARTICULARS QUARTER ENDED YEAR ENDED
31-Mar-26 (Audited) 31-Dec-25 (Unaudited)
1. (a) Revenue from Operations 1,534.90 1,320.14
(b) Other Income 34.78 178.26
Total Income 1,569.68 1,498.40
2. Expenses
(a) Cost of Materials Consumed 29.22 35.98
(b) Purchase of Traded Goods 96.76 129.40
(c) Changes in Inventories of Stock in Trade 6.62 (12.89)
(d) Employee Benefits Expense 530.95 595.40
(e) Finance Costs 0.01
(f) Depreciation and Amortisation Expense 98.98 60.69
(g) Other Expenses 889.93 597.67
Total Expenses 1,652.46 1,406.26
3. Profit Before Exceptional Items & Tax (1 – 2) (82.78) 92.14
4. Exceptional Items (note 3)
5. Profit Before Tax (3 – 4) (82.78) 92.14
6. Tax Expenses – Charge / (Credit)
– Current 20.00 30.00
– Deferred (29.91) (24.20)
– Earlier Years
7. Net Profit for the year/ period (5 – 6) (72.87) 86.34
8. Other Comprehensive Income :
(a) Items that will not to be reclassified to profit or loss in subsequent periods 66.53 20.22
(b) Income tax relating to items that will not be reclassified to profit or loss (10.69) (5.09)
Other Comprehensive Income/ (Loss) (Net of Tax) 55.84 15.13
9. Total Comprehensive Income for the year/ period (Net of Tax) [7 + 8] (17.03) 101.47
10. Paid-up Equity Share Capital (Face Value: Re. 1/-) 468.00 468.00
11. Other Equity
12. Earnings Per Share (EPS) (in Rs.) – Not annualised
– Basic and Diluted (0.16) 0.18
PARTICULARS QUARTER ENDED YEAR ENDED
31-Mar-26 (Audited) 31-Dec-25 (Unaudited)
1 Segment Revenue
(a) Park Operations 1,183.12 1,063.99
(b) Consultancy, Contracts and Sale of Ride Components 219.60
(c) F&B and Other Recreational Facilities 132.18 256.15
Revenue from Operations 1,534.90 1,320.14
2 Segment Results
(a) Park Operations (57.90) (119.51)
(b) Consultancy, Contracts and Sale of Ride Components 45.03 (2.90)
(c) F&B and Other Recreational Facilities 27.84 150.15
Total 14.97 27.74
Less: Finance Costs 0.01
Other Unallocable Expenditure (Net of Unallocable Income) 97.75 (64.41)
Profit Before Tax (82.78) 92.14
3 (a) Segment Assets
(a) Park Operations 4,915.44 4,696.55
(b) Consultancy, Contracts and Sale of Ride Components 208.62 70.11
(c) F&B and Other Recreational Facilities 292.83 224.35
(d) Unallocable Corporate and Other Assets 8,142.05 8,672.61
Total 13,558.94 13,663.62
3(b) Segment Liabilities
(a) Park Operations 2,129.78 1,991.30
(b) Consultancy, Contracts and Sale of Ride Components 141.44 43.53
(c) F&B and Other Recreational Facilities 97.70 130.59
(d) Unallocable Corporate and Other Liabilities 777.86 1,069.01
Total 3,146.78 3,234.43
PARTICULARS As at 31-Mar-26 (Audited) As at 31-Mar-25 (Audited)
I) ASSETS
1) NON CURRENT ASSETS
a) Property, Plant and Equipment 2,953.63 3,008.32
b) Capital Work in Progress 1,684.02 47.38
c) Intangible Assets
d) Financial Assets
(i) Investments in Associates and Joint Venture 81.00 431.00
(ii) Other Investments 1,058.46 336.37
(iii) Other Financial Assets 409.84 330.55
e) Other Non-Current Assets 206.55 230.99
Total Non Current Assets 6,393.50 4,384.61
2) CURRENT ASSETS
a) Inventories 109.92 129.19
b) Financial Assets
(i) Investments 2,847.14 2,781.22
(ii) Trade Receivable 351.32 131.87
(iii) Cash and Cash Equivalents 1,065.67 667.36
(iv) Bank Balances other than Cash & Cash Equivalents 2,418.05 2,558.48
(v) Loans 0.05 0.54
(vi) Other Current Financial Assets 136.75 12.87
c) Current Tax Assets (net) 194.93 11.21
d) Other Current Assets 41.61 179.49
Total Current Assets 7,165.44 6,472.23
TOTAL ASSETS 13,558.94 10,856.84
II) EQUITY AND LIABILITIES
1) EQUITY
a) Equity Share Capital 468.00 468.00
b) Other Equity 9,944.16 8,064.83
TOTAL EQUITY 10,412.16 8,532.83
2) LIABILITIES
i) NON-CURRENT LIABILITIES
a) Provisions 227.23 237.91
b) Deferred Tax Liabilities (Net) 96.97 58.96
c) Other Non Current Liabilities 0.90
Total Non-Current Liabilities 325.10 296.87
ii) CURRENT LIABILITIES
a) Financial Liabilities
(i) Trade Payables – Total outstanding dues of Micro Enterprises and Small Enterprises 82.41 53.08
(i) Trade Payables – Total outstanding dues of Creditors other than Micro Enterprises and Small Enterprises 515.75 448.48
(ii) Other Current Financial Liabilities 763.02 337.55
b) Other Current Liabilities 364.35 356.44
c) Provisions 1,007.99 737.72
d) Liabilities for Current Tax (Net) 88.16 93.87
Total Current Liabilities 2,821.68 2,027.14
TOTAL LIABILITIES 3,146.78 2,324.01
TOTAL EQUITY AND LIABILITIES 13,558.94 10,856.84
PARTICULARS Year ended 31-Mar-26 (Audited) Year ended 31-Mar-25 (Audited)
A. Cash Flow Generated from Operating Activities
Profit before tax 2,758.13 2,472.45
Adjustment for:
Depreciation and Amortisation 278.78 239.49
Interest Income (305.81) (265.31)
Loss on Sale/ Discard of Property, Plant & Equipment (Net) (0.22) 0.84
Loss/ (Profit) on Sale of Current Investments (Net) (16.11) (18.21)
Finance Costs 0.34 3.17
Provision for Doubtful Debts Written Back (0.70) (7.19)
Provision for Doubtful Debts 0.17 2.48
Bad Debt/ Sundry Advances Written Off 0.59 0.10
Fair Value Gain on Investments (57.55) (154.34)
Provision for Restoration of Property, Plant and Equipment 0.25 0.25
Write back of dimunition in value of Equity Share of NJPL (81.00)
Excess Liability and Unclaimed Balance Written Back (16.84) (9.70)
Profit/Loss on Sale of Investments in Associate Company (Net) (1,540.95)
Operating Profit before Working Capital Changes 1,100.08 2,183.03
Adjustment for changes in Working Capital:
(Increase)/ Decrease in Inventories 19.27 (22.37)
(Increase)/ Decrease in Trade Receivables and Other Current & Non-Current Financial & Non-Financial Assets (350.56) 45.01
Increase/ (Decrease) in Trade Payables and Other Current & Non-Current Financial & Non-Financial Liabilities 849.11 2.44
517.82 25.08
**Cash Generated