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Blue Coast Hotels Q1 FY26: Net loss, finance costs surge

May 5, 2026 4 mins read Firehose Gupta

Blue Coast Hotels Limited — Quarter ended and year ended March 31, 2026

Particulars Quarter ended Year ended
31.03.2026
Audited
31.12.2025
Unaudited
1 Income
a) Income from operations 123.37 10.00
b) Other Income 5.08 36.67
Total Income 128.45 46.67
2 Expenses
a) Employee benefits expense 22.34 18.61
b) Finance Cost 45.13 44.11
c) Depreciation & Amortization 5.54 6.77
d) Other expenses 39.61 14.50
Total Expenses 112.62 83.99
3 Profit before Exceptional Items & Tax (1-2) 15.83 (37.32)
4 Exceptional Items (Net)
Preference Dividend Waiver
Settlement Charges
5 Profit before Tax (3-4) 15.83 (37.32)
6 Income Tax
Income Tax – Current Period
Income Tax – Prior Period 29.32
7 Net Profit for the period (5-6) (13.49) (37.32)
8 Other Comprehensive Income
Net change in fair values of investments carried at fair value through OCI (9.55) 11.45
9 Total Comprehensive Income (23.04) (25.87)
10 Paid-up Equity Share Capital (face Value of Rs. 10/- per share) 1,719.25 1,719.25
11 Reserves excluding Revaluation Reserve
12 Earnings per share (in Rs.)
Basic EPS (0.13) (0.15)
Diluted EPS (0.12) (0.13)
13 Earning per share before Exceptional Items (in Rs.)
Basic EPS (0.13) (0.15)
Diluted EPS (0.12) (0.13)
PARTICULARS As at 31.03.2026 (Audited) As at 31.03.2025 (Audited)
A ASSETS
1 Non – Current Assets
Property Plant and Equipment 26.79 32.73
Right of Use Assets 50.28 70.37
Financial Assets :
  Investments 23.01 7.01
  Other Financial Assets 17.50 16.70
Other Non-Current Assets 139.56 168.88
Non – Current Assets 257.14 295.69
2 Current Assets
Financial Assets :
  Investments 163.25 208.12
  Trade Receivables 29.44
  Cash and cash equivalents 16.38 10.47
  Bank Balances Other Than Cash And Cash Equivalents 29.21
  Other Financial Assets 1.64
Other current assets 19.18 38.90
Current Assets 228.25 288.34
TOTAL ASSETS 485.39 584.03
B EQUITY AND LIABILITIES
1 Equity
Equity Share Capital 1,719.25 1,464.05
Instruments entirely equity in nature 248.71 503.91
Other Equity (3,862.28) (3,629.00)
Equity (1,894.32) (1,661.04)
2 Non – Current Liabilities
Financial Liabilities :
  Borrowings 827.68 1,072.57
  Lease Liabilities 34.23 52.79
Non-Current Liabilities 861.91 1,125.36
3 Current Liabilities
Financial Liabilities :
  Borrowings 966.89 551.89
  Lease Liabilities 18.56 17.39
  Trade Payables
   – Total outstanding dues of micro enterprises and small enterprises
   – Total outstanding dues other than of micro enterprises and small enterprises 15.56 25.90
  Other Financial liabilities 500.03 490.40
Other Current Liabilities 16.76 9.13
Provisions 25.00
Current Liabilities 1,517.80 1,119.71
TOTAL EQUITY AND LIABILITIES 485.39 584.03
PARTICULARS Year Ended 31.03.2026 (Audited) Year Ended 31.03.2025 (Audited)
A. CASH FLOWS FROM OPERATING ACTIVITIES:
Net Profit/(Loss) before Tax and extraordinary items (178.75) 8,084.44
Adjustments for:
– Depreciation & Amortization 26.49 27.40
– Finance cost 174.53 198.18
– Interest Income (0.81) (2.23)
– Dividend Income (0.57) (0.39)
– Capital Gain/Loss 15.91 (39.31)
– Gain on Sale of Fixed Assets (0.08)
– Dividend Waiver (8,453.55)
– Net gain on disposal/fair valuation of Investments (25.21) 5.54
Operating profit before changes in current assets and liabilities 11.51 (179.92)
Changes in current assets and current liabilities
– Trade Receivable (29.44)
– Trade Payables (10.34)
– Other Current Assets & Other Financial Assets 21.36 165.03
– Current liabilities 408.43 16.20
Cash generated from Operation 401.52 1.31
Current Tax
MAT Credit Written Off 29.32 83.60
NET CASH GENERATED/(USED) FROM OPERATING ACTIVITIES 372.20 (82.29)
B. CASH FLOWS FROM INVESTING ACTIVITIES:
Sale / (Purchase) of Property, Plant & Equipments (0.36) (89.24)
Purchase/Sale of Investments – Short Term 44.87 (125.41)
Term Deposit 29.21 56.80
Sale / (Purchase) in Other Non-Current Assets (16.00) 5.00
Interest Income 0.81 2.23
Dividend Income 0.57 0.39
Capital Gain/Loss (15.91) 39.31
NET CASH GENERATED/(USED) IN INVESTING ACTIVITIES 43.19 (110.92)
C. CASH FLOWS FROM FINANCING ACTIVITIES:
Finance cost (net) (174.53) (198.18)
Change in Equity 255.20 189.20
Change in Instruments entirely equity in nature (255.20) 503.91
Change in Other Equity (Financial Instruments) 1,986.40
Other Non-Current Assets 29.32 87.24
Change in Other Financial Assets (0.81) 0.31
Change in Other Financial liabilities (263.46) (10,843.14)
Dividend Waived off 8,453.55
NET CASH GENERATED/(USED) IN FINANCING ACTIVITIES (409.48) 179.29
Net Increase/(Decrease) in Cash and Cash equivalents (A+B+C) 5.91 (13.92)
Cash and Cash equivalents as at beginning of the period 10.47 24.39
Cash and Cash equivalents as at end of the period 16.38 10.47
Particulars Quarter ended Year ended
31.03.2026 Audited 31.12.2025 Unaudited
1 Income
a) Income from operations 123.37 10.00
b) Other Income 5.08 36.67
Total Income 128.45 46.67
2 Expenses
a) Employee benefits expense 22.34 18.61
b) Finance Cost 45.13 44.11
c) Depreciation & Amortization 5.54 6.77
d) Other expenses 40.15 14.90
Total Expenses 113.16 84.39
3 Profit before Exceptional Items & Tax (1-2) 15.29 (37.72)
4 Exceptional Items (Net)
Preference Dividend Waiver
Settlement Charges
5 Profit before Tax (3-4) 15.29 (37.72)
6 Income Tax
Income Tax – Current Period
Income Tax – Prior Period 29.32
7 Net Profit for the period (5-6) (14.03) (37.72)
8 Other Comprehensive Income
Net change in fair values of investments carried at fair value through OCI (9.55) 11.45
9 Total Comprehensive Income (23.58) (26.27)
10 Paid-up Equity Share Capital (face Value of Rs. 10/- per share) 1,719.25 1,719.25
11 Reserves excluding Revaluation Reserve
12 Earnings per share (in Rs.)
Basic EPS (0.14) (0.15)
Diluted EPS (0.12) (0.13)
13 Earnings per share before Exceptional Items (in Rs.)
Basic EPS (0.14) (0.