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आधिकारिक सूचनाOfficial AnnouncementFinancial Analysis
20 Aug, 2026
चौथो त्रैमासिक नाफा नोक्सान तथा नगद प्रवाह विवरण

चौथो त्रैमासिक नाफा नोक्सान तथा नगद प्रवाह विवरणFourth Quarter Profit & Loss and Cash Flow Statement

वर्ग:Category:
Financial Analysis
प्रकाशित मिति:Published:
Published on August 20, 2026

Profit and Loss (For the Quarter ending Ashadh 32,2083)

Amount in NRs.
Particular This Quarter ending As at Ashadh32,208330,208232,2082
Direct Income5024914146,523,36857817850
Less : Royalty Expenses---
Less : Project Expenses60929674,168,9467371382
Gross Profit44,156,17442,354,42250446468
Other Income2010020,100748036
Operating Expenses
Administrative Expenses27836072,093,3933018723
Employee's Benefits51726293,756,3254765500
Operating Profit36,220,03836,524,80443410281
Non Operating Expenses
Financial Costs1379582210,601,77719847108
Depreciation & ammortization1941955414,550,05819402265
Profit( Loss) Before Bonus & Tax3,004,66111,372,9694160908
Provision for Bonus---
Profit/( Loss) Before & Tax---
Profit After Tax3,004,66111,372,9694160908

P/L Appropriation Account

Profit (Loss) For The Year

Profit/(Loss) Upto Previous Year

Balance Curried to Reserve & Surplus

Earning Per Equity Shares of 1003,000,0003,000,0003000000
Basic Eps1.003.791.39
Dilluted EPS1.003.791.39

Cash Flows Statement As at 32nd Ashadh , 2083

Amount in NPR

Particulars This Quarter ending As at Ashadh 32,2083 Previous Quarter ending As at Chaitra 30,2082 Corresponding Previous Quarter ending As at Ashadh 32,2082

CASH FLOWS FROM OPERATING ACTIVITIES

Net Profit for the year 3,004,661 11,372,969 4,160,908

Adjustment for:

Items of OCI that will not subsequently be reclassified to SoPL

Depreciation/Impairment on Property, Plant and Equipment19,419,55414,550,05819,402,265
Interest Income---
Interest Expense13,795,82210,601,77719,847,108
Loss/(gain) on subsequent measurement of investments---
Income Tax expense charged to statement of income---
Working Capital Adjustments
Decrease/(Increase) in trade receivables5,021,5714,555,225(2,272,094)
Decrease/(Increase) in Advance,Prepayment & other receivables(27,246)(644,305)(817,415)
Decrease/(Increase) in Inventories(199,218)(31,768)3,020,504
Increase/(Decrease) in trade and other payables290,223(654,180)(2,653,209)
Increase/(Decrease) in provisions for Gratuity---
Increase/(Decrease) in other liabilities---
Cash Generated from Operations41,305,36639,749,77540,688,066
Interest paid(13,795,822)(10,601,777)(19,847,108)
Income tax paid---
NET CASH FLOWS FROM OPERATING ACTIVITIES (A)27,509,54429,147,99820,840,958

CASH FLOW FROM INVESTING ACTIVITIES

Proceeds from sale of PPE, Investments/Financial Assets---
Interest/Dividend received---
Acquisition/devaluation of Property, Plant and Equipment(695,569)(529,206)(3,775,078)
NET CASH FLOWS FROM INVESTING ACTIVITIES (B)(695,569)(529,206)(3,775,078)

CASH FLOW FROM FINANCING ACTIVITIES

Proceeds from the issue of Equity and Preference Share---
Proceeds from Long term borrowings(22,897,000)-(21,196,000)
Repayment of other Short-term Borrowings3,677,541(18,098,094)1,471,433
Dividend Paid---
NET CASH FLOW FROM FINANCING ACTIVITIES (C)(19,219,459)(18,098,094)(19,724,567)
Net Increase in Cash and Cash Equivalents7,594,51810,520,698(2,658,686)
Cash and Cash Equivalents at the beginning769,024769,0243,427,711
Exchange gains/(losses) in cash and cash equivalents---
Cash and Cash Equivalents at the end8,363,54211,289,722769,025

Profit and Loss (For the Quarter ending Ashadh 32,2083)

Amount in NRs.
Particular This Quarter ending As at Ashadh32,208330,208232,2082
Direct Income5024914146,523,36857817850
Less : Royalty Expenses---
Less : Project Expenses60929674,168,9467371382
Gross Profit44,156,17442,354,42250446468
Other Income2010020,100748036
Operating Expenses
Administrative Expenses27836072,093,3933018723
Employee's Benefits51726293,756,3254765500
Operating Profit36,220,03836,524,80443410281
Non Operating Expenses
Financial Costs1379582210,601,77719847108
Depreciation & ammortization1941955414,550,05819402265
Profit( Loss) Before Bonus & Tax3,004,66111,372,9694160908
Provision for Bonus---
Profit/( Loss) Before & Tax---
Profit After Tax3,004,66111,372,9694160908

P/L Appropriation Account

Profit (Loss) For The Year

Profit/(Loss) Upto Previous Year

Balance Curried to Reserve & Surplus

Earning Per Equity Shares of 1003,000,0003,000,0003000000
Basic Eps1.003.791.39
Dilluted EPS1.003.791.39

Cash Flows Statement As at 32nd Ashadh , 2083

Amount in NPR

Particulars This Quarter ending As at Ashadh 32,2083 Previous Quarter ending As at Chaitra 30,2082 Corresponding Previous Quarter ending As at Ashadh 32,2082

CASH FLOWS FROM OPERATING ACTIVITIES

Net Profit for the year 3,004,661 11,372,969 4,160,908

Adjustment for:

Items of OCI that will not subsequently be reclassified to SoPL

Depreciation/Impairment on Property, Plant and Equipment19,419,55414,550,05819,402,265
Interest Income---
Interest Expense13,795,82210,601,77719,847,108
Loss/(gain) on subsequent measurement of investments---
Income Tax expense charged to statement of income---
Working Capital Adjustments
Decrease/(Increase) in trade receivables5,021,5714,555,225(2,272,094)
Decrease/(Increase) in Advance,Prepayment & other receivables(27,246)(644,305)(817,415)
Decrease/(Increase) in Inventories(199,218)(31,768)3,020,504
Increase/(Decrease) in trade and other payables290,223(654,180)(2,653,209)
Increase/(Decrease) in provisions for Gratuity---
Increase/(Decrease) in other liabilities---
Cash Generated from Operations41,305,36639,749,77540,688,066
Interest paid(13,795,822)(10,601,777)(19,847,108)
Income tax paid---
NET CASH FLOWS FROM OPERATING ACTIVITIES (A)27,509,54429,147,99820,840,958

CASH FLOW FROM INVESTING ACTIVITIES

Proceeds from sale of PPE, Investments/Financial Assets---
Interest/Dividend received---
Acquisition/devaluation of Property, Plant and Equipment(695,569)(529,206)(3,775,078)
NET CASH FLOWS FROM INVESTING ACTIVITIES (B)(695,569)(529,206)(3,775,078)

CASH FLOW FROM FINANCING ACTIVITIES

Proceeds from the issue of Equity and Preference Share---
Proceeds from Long term borrowings(22,897,000)-(21,196,000)
Repayment of other Short-term Borrowings3,677,541(18,098,094)1,471,433
Dividend Paid---
NET CASH FLOW FROM FINANCING ACTIVITIES (C)(19,219,459)(18,098,094)(19,724,567)
Net Increase in Cash and Cash Equivalents7,594,51810,520,698(2,658,686)
Cash and Cash Equivalents at the beginning769,024769,0243,427,711
Exchange gains/(losses) in cash and cash equivalents---
Cash and Cash Equivalents at the end8,363,54211,289,722769,025
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