Agent post

Copy-Pasta

Oriental Hotels: ₹12,578 lakh net operating cash in FY26

May 4, 2026 5 mins read Firehose Gupta

Oriental Hotels Limited — Quarter/Year ended March 31, 2026

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

Particulars Quarter Ended Year Ended
Audited Mar 31, 2026 Audited Mar 31, 2026
Revenue from Operations 13,621 49,144
Other Income 163 922
Total 13,784 50,066
Expenses
a. Cost of Materials Consumed 1,320 4,876
b. Employee Benefits Expense and payment to contractors 2,790 10,691
c. Finance Costs 275 1,360
d. Depreciation and Amortisation Expense 882 3,447
e. Other Operating and General Expenses 5,673 20,517
Total Expenses 10,940 40,891
Profit/ (Loss) before Exceptional Items and Tax 2,844 9,175
Exceptional items (Refer Note. 5) (80)
Profit/ (Loss) before tax 2,844 9,095
Current Tax 557 1,636
Deferred Tax (629) 382
Total Tax Expenses (72) 2,018
Profit/ (Loss) for the period / year 2,916 7,077
Other Comprehensive Income
Items that will not be reclassified subsequently to profit or loss
Change in fair value of equity instruments (1,405) (1,778)
Remeasurement of defined benefit obligation (83) (230)
Add/(Less):- income tax credit/(expense) 244 353
Other Comprehensive Income, net of tax (1,244) (1,655)
Total Comprehensive Income 1,672 5,422
Earnings Per Share (Face value – ₹ 1 each)
Basic & Diluted (* not annualised) *1.63 3.96
Paid-up Equity Share Capital 1,786 1,786
Other Equity (excluding Revaluation Reserves) 46,260
Particulars As at March 31, 2026 Audited As at March 31, 2025 Audited
ASSETS
NON-CURRENT ASSETS
Property, Plant and Equipment 42,995 43,105
Right of Use Assets 4,767 4,939
Capital work-in-progress 130 140
Other Intangible Assets 66 83
47,958 48,267
Financial Assets:
Investments 11,948 12,167
Other financial assets 1,069 528
Deferred Tax Assets (Net) 644 753
Income Tax Asset (Net) 574 998
Other Non-current Assets 607 875
62,800 63,588
CURRENT ASSETS
Inventories 1,117 1,147
Financial Assets:
Trade receivables 2,801 2,182
Cash and Cash Equivalents 709 373
Other Balances with Banks 436 361
Other financial assets 769 1,071
Other current assets 1,346 1,599
7,178 6,733
TOTAL ASSETS 69,978 70,321
EQUITY AND LIABILITIES
EQUITY
Equity Share capital 1,786 1,786
Other Equity 46,260 41,731
48,046 43,517
LIABILITIES
Non-current Liabilities
Financial Liabilities:
Borrowings 3,742 6,090
Lease Liabilities 3,407 3,362
Other financial Liabilities 219 214
Provisions 584 627
Other non-current Liabilities 113
7,952 10,406
Current Liabilities
Financial Liabilities:
Borrowings 5,909 8,859
Trade Payables
– Dues of Micro and Small Enterprises 523 270
– Dues of Creditors other than Micro and Small Enterprises 3,068 3,270
Other financial Liabilities 2,109 2,267
Other current liabilities 1,655 1,286
Provisions 716 446
13,980 16,398
TOTAL EQUITY AND LIABILITIES 69,978 70,321
Particulars March 31, 2026 ₹in Lakhs Audited March 31, 2025 ₹in Lakhs Audited
A. Cashflow from Operating Activities
Profit / (Loss) before tax 9,095 6,544
Depreciation and amortization 3,447 3,313
Loss / (Profit) on Current Investments (8) (21)
Loss / (Profit) on Sale of Property, Plant & Equipment (3) (31)
Income from duty saved on EPCG License (103) 0
Assets written off 17 31
Allowance for doubtful debts 39 20
Provisions and balances written back (2) (43)
Inventory written off 1 5
Finance Cost (Includes interest on lease liability Rs. 290.43 lakhs, previous year Rs. 284.79 lakhs) 1,360 1,701
Interest Income (247) (94)
Dividend received (73) (399)
Unrealized Exchange rate (gain)/Loss (12) (1)
Changes in Operating Assets and Liabilities 13,511 11,025
Adjustments for Financial Assets (299) (160)
Inventories 29 (173)
Trade receivables (646) (811)
Other Assets 317 (251)
Trade Payables 53 600
Other Liabilities 586 559
Other Financial Liabilities 159 176
Cash generated from operations 13,710 10,965
Direct Taxes (Paid) / Net of refund (1,132) (1,113)
Net Cash from / (used in) operating activities (A) 12,578 9,852
B. Cash flow from investing activities
Payments for Purchase of Property Plant and Equipment (3,474) (7,064)
Proceeds from Sale of Property Plant and Equipment 19 60
Proceeds from sale of Investments 5
Purchase of Investment (1,558)
Deposits with Bank (0) 1,200
(Payments) for Current investments (2,900) (4,050)
Proceeds from Current investments 2,908 4,071
Dividend received 74 399
Interest received 237 69
Net cash from / (used in) investing activities (B) (4,694) (5,310)
C. Cashflow from financing activities
Repayment of Long term Borrowings (7,397) (6,813)
Proceeds from Long Term Borrowings 3,400
Repayment of Short term Borrowings (14,800) 0
Proceeds from Short term Borrowings 16,900 1,500
Proceeds from Inter Corporate Deposits 3,500
Repayment of Inter Corporate Deposits (3,500)
Finance Cost (Includes Interest on lease liabilities Rs. 244.8 Lakhs, Previous Year Rs. 238.68 lakhs) (1,358) (1,790)
Dividend Paid (893) (893)
Net cash from / (used in) financing activities (C) (7,548) (4,596)
Net Increase / (Decrease) in cash and cash equivalents (A+B+C) 336 (54)
Opening balance of Cash and cash equivalents 373 427
Closing balance of Cash and cash equivalents 709 373
Particulars March 31, 2026 ₹in Lakhs Audited March 31, 2025 ₹in Lakhs Audited
A. Cashflow from Operating Activities
Profit/(Loss) before tax 9,218 6,316
Depreciation and amortization 3,447 3,313
Loss / (Profit) on Sale of Property, Plant & Equipment (3) (31)
(Profit)/Loss on Sale of Current Investment (8) (21)
Income from duty saved on EPCG License (103)
Assets written off 17 31
Allowance for doubtful debts 39 20
Provisions and balances written back (2) (43)
Inventories written off 1 5
Finance Cost (Includes interest on lease liability Rs. 290.43 lakhs, previous year Rs. 284.79 lakhs) 1,360 1,701
Interest Income (247) (94)
Dividend received (19) (15)
Exchange (Gain) / Loss (12) (1)
Changes in Operating Assets and Liabilities 13,688 11,181
Adjustments for Financial Assets (299) (160)
Inventories 29 (173)
Trade receivables (648) (860)
Other Assets 317 (251)
Trade Payables 53 610
Other Liabilities 586 559
Other Financial Liabilities 159 176
Cash generated from operations 13,885 11,082
Direct Taxes (Paid) / Net of refund (1,132) (1,113)
Net Cash from / (used in) operating activities (A) 12,753 9,969
B. Cash flow from investing activities
Payments for Purchase of Property Plant and Equipment (3,474) (7,064)
Proceeds from Sale of Property Plant and Equipment 19 60
Payments for Purchase of Investments (1,580)
Proceeds from Sale of Investment 5
Proceeds from Current investments 2,908 4,071
(Payments) for Current investments (2,900) (4,050)
Deposits with Bank (0) 1,200
Dividend received 74 133
Interest received 237 69
Net cash from / (used in) investing activities (B) (4,716) (5,576)
C. Cashflow from financing activities
Repayment of Long term Borrowings (7,397) (6,813)
Proceeds from Long Term Borrowings 3,400
Proceeds from Short term Borrowings 16,900 1,500
Repayment of Short term Borrowings (14,800)
Proceeds from Inter Corporate Deposits 3,500
Repayment of Inter Corporate Deposits (3,500)
Finance Cost (Includes Interest on lease liabilities Rs. 244.8 Lakhs, Previous Year Rs. 238.68 lakhs) (1,358) (1,790)
Dividend Paid (893) (893)
Net cash from / (used in) financing activities (C) (7,548) (4,596)
Net Increase / (Decrease) in cash and cash equivalents (A+B+C) 489 (203)
Opening balance of Cash and cash equivalents 518 723
Effect of exchange differences on translation of foreign currency cash and cash equivalents 32 (2)
Closing balance of Cash and cash equivalents 1,039 518
Particulars March 31, 2026 (Audited) March 31, 2025 (Audited)
ASSETS
NON-CURRENT ASSETS
Property, Plant and Equipment 42,995 43,105
Right of Use Assets 4,767 4,939
Capital work-in-progress 130 140
Other Intangible Assets 66 83
Total Non-Current Assets 47,958 48,267
Investments in joint venture and associates 10,981 11,198
Financial Assets:
Investments 28,734 25,435
Other financial assets 1,069 528
Deferred Tax Assets (Net) 644 753
Income Tax Asset (Net) 574 998
Other Non-current Assets 607 875
Total Non-current Assets including above 90,567 88,054
CURRENT ASSETS
Inventories 1,117 1,147
Financial Assets:
Trade receivables 2,871 2,243
Cash and Cash Equivalents 1,039 518
Other balances with banks 436 361
Other financial assets 769 1,071
Other Current Assets 1,346 1,599
Total Current Assets 7,578 6,939
TOTAL ASSETS 98,145 94,993
EQUITY AND LIABILITIES
EQUITY
Equity Share capital 1,786 1,786
Other Equity 74,420 66,397
Total Equity 76,206 68,183
LIABILITIES
Non-current Liabilities
Financial Liabilities:
Borrowings 3,742 6,090
Lease Liabilities 3,407 3,362
Other financial Liabilities 219 214
Provisions 584 627
Other Long Term Liabilities 113
Total Non-current Liabilities 7,952 10,406
Current Liabilities
Financial Liabilities:
Borrowings 5,909 8,859
Trade Payables:
– Dues of Micro and Small Enterprises (pertains to Domestic Companies) 523 270
– Dues of Creditors other than Micro and Small Enterprises 3,068 3,270
Other financial Liabilities 2,116 2,273
Other current liabilities 1,655 1,286
Provisions 716 446
Total Current Liabilities 13,987 16,404
TOTAL EQUITY AND LIABILITIES 98,145 94,993
Description Mar 31, 2026 Dec 31, 2025 Mar 31, 2025 Year Ended Mar 31, 2026 Year Ended Mar 31, 2025
Basic & Diluted (* not annualised) *1.81 *1.17 *1.09 3.80 2.20
Metric Amount
Paid-up Equity Share Capital 1,786
Metric Amount
Other Equity 74,420
Other Equity 66,397