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आधिकारिक सूचनाOfficial AnnouncementFinancial Analysis
12 Aug, 2026
कालङ्ग हाइड्रो लिमिटेडको चौथो त्रैमासिक वित्तीय विवरण

कालङ्ग हाइड्रो लिमिटेडको चौथो त्रैमासिक वित्तीय विवरणKalanga Hydro Limited: Q4 Unaudited Financial Report

वर्ग:Category:
Financial Analysis
प्रकाशित मिति:Published:
Published on August 12, 2026

Unaudited Financial Report (Quarterly)

For Fourth Quarter Fiscal Year 2082/83 Ended Asadh 32, 2083 (July 16, 2026)

Statement of Financial Position

( In NPR)

Particulars This Quarter Ending Ashadh End208320822082
Assets
Non-Current Assets:
Properties, Plant & Equipments4,064,028,8884,089,583,3844,205,546,269
Investments---
Total Non-Current Assets4,064,028,8884,089,583,3844,205,546,269
Current Assets:
Deposits500,000500,000810,000
Other Loans & Advances63,330,41679,713,51868,774,819
Sundry Debtors73,975,63674,957,39483,140,961
Cash & Bank Balance81,158,28455,583,60228,435,583
Total Current Assets218,964,336210,754,514181,161,363
Total Assets4,282,993,2244,300,337,8984,386,707,632
Equity
Share Capital1,400,000,000910,000,000910,000,000
Reserve and Surplus25,961,77366,708,111(13,143,534)
Total Equity1,425,961,773976,708,111896,856,466
Liabilities
Non-Current Liabilities:
Secured Loans2,777,213,7262,916,715,4612,452,367,325
Unsecured Loans---
Total Non-Current Liabilities2,777,213,7262,916,715,4612,452,367,325
Current Liabilities:
Trade and Other Payables9,594,1805,746,3557,567,865
Secured Loans70,223,546401,167,9711,029,915,977
Deferred Tax Liabilities---
Total Current Liabilities79,817,726406,914,3261,037,483,842
Total Liabilities2,857,031,4523,323,629,7873,489,851,167
Total Equity and Liabilities4,282,993,2244,300,337,8984,386,707,632

Statement of Profit (Loss)

( In NPR)

Particulars This Quarter Ending Ashadh End208320822082
Revenue from Operations512,008,318409,811,929507,719,096
Less: Direct Expenses57,206,93121,245,09527,424,605
Less : Amortization of project Assets157,951,115118,991,610157,290,675
Gross Profit296,850,272269,575,224323,003,816
Other Income---
Staff Costs14,552,82011,111,76114,109,274
Other Operating Costs8,656,6696,817,5108,394,628
Financial Costs219,844,448174,194,672312,462,168
Depreciation1,344,5201,008,3901,520,358
Net Profit before Tax52,451,81576,442,890(13,482,613)
Income Tax---
Net Profit52,451,81576,442,890(13,482,613)

Notes :

* The figures are regrouped and rearranged where necessary.

* Financial Statement are prepared in accordance with the applicable Nepal Financial Reporting Standards.

* The Unaudited financial figures are subject to change from external auditors and regulatory authority.

Third Quarter Disclosure as of Asadh 32, 2083 (July 16, 2026)

as per Securities Registration and Issuance Regulation Annexure 14

(Related to Sub- Regulation 1 of Regulation 26 )

1. Financial Statement

a) The financial statements for the third quarter have been published as a part of this report.

b) Key Financial Ratios at the end of the quarter :

Particulars This Quarter Ending Ashadh End 2083 Previous Quarter Ending Chaitra End 2082 Corresponding Previous Year Quarter Ending Ashadh End 2082

Earning Per Shares (EPS) - Rs. 3.75 8.40 (1.48)

Networth Per Shares - Rs. 101.85 107.33 98.56

Liquity Ratio 2.74 0.52 0.17

Return of Assets - Rs. 305.93 472.56 482.06

Market Value of Shares - Rs. 473.00 - -

2. Statement relating to Legal Action

During the period, there were no legal cases raised or pending against the company and from the company.

3. Analysis of the share transaction of the company

a) During the 4th quarter, Kalanga Hydro Limited (KAHL) shares traded actively for 11 days till the end of Asadh End 2083.

b) he highlights of the share transactions during the quarter are as follows:

Maximum Price 542.20 Transaction Days 11

Minimum Price295.40378,796
Closing Price473.0032,130

4. Corporate Governance

The Board of Directors are committed to upholding good corporate governance practice within the company through the effective implementation of policies and guidelines for proper functioning of the company. The company has been functioning in compliance with Companies act, 2063 and Corporate Governance Guidelines, 2074 issued by Security Exchange Board of Nepal.

5. Declaration of Chief Executive Officer on Truth, Tactfulness

I, the Managing Director of this Company, take responsibility for accuracy of the information and details mentioned in this report. I also declare that the information and details mentioned in this report are complete, true, based on facts and the information, details necessary for making informed decision by the investors are not concealed

Unaudited Financial Report (Quarterly)

For Fourth Quarter Fiscal Year 2082/83 Ended Asadh 32, 2083 (July 16, 2026)

Statement of Financial Position

( In NPR)

Particulars This Quarter Ending Ashadh End208320822082
Assets
Non-Current Assets:
Properties, Plant & Equipments4,064,028,8884,089,583,3844,205,546,269
Investments---
Total Non-Current Assets4,064,028,8884,089,583,3844,205,546,269
Current Assets:
Deposits500,000500,000810,000
Other Loans & Advances63,330,41679,713,51868,774,819
Sundry Debtors73,975,63674,957,39483,140,961
Cash & Bank Balance81,158,28455,583,60228,435,583
Total Current Assets218,964,336210,754,514181,161,363
Total Assets4,282,993,2244,300,337,8984,386,707,632
Equity
Share Capital1,400,000,000910,000,000910,000,000
Reserve and Surplus25,961,77366,708,111(13,143,534)
Total Equity1,425,961,773976,708,111896,856,466
Liabilities
Non-Current Liabilities:
Secured Loans2,777,213,7262,916,715,4612,452,367,325
Unsecured Loans---
Total Non-Current Liabilities2,777,213,7262,916,715,4612,452,367,325
Current Liabilities:
Trade and Other Payables9,594,1805,746,3557,567,865
Secured Loans70,223,546401,167,9711,029,915,977
Deferred Tax Liabilities---
Total Current Liabilities79,817,726406,914,3261,037,483,842
Total Liabilities2,857,031,4523,323,629,7873,489,851,167
Total Equity and Liabilities4,282,993,2244,300,337,8984,386,707,632

Statement of Profit (Loss)

( In NPR)

Particulars This Quarter Ending Ashadh End208320822082
Revenue from Operations512,008,318409,811,929507,719,096
Less: Direct Expenses57,206,93121,245,09527,424,605
Less : Amortization of project Assets157,951,115118,991,610157,290,675
Gross Profit296,850,272269,575,224323,003,816
Other Income---
Staff Costs14,552,82011,111,76114,109,274
Other Operating Costs8,656,6696,817,5108,394,628
Financial Costs219,844,448174,194,672312,462,168
Depreciation1,344,5201,008,3901,520,358
Net Profit before Tax52,451,81576,442,890(13,482,613)
Income Tax---
Net Profit52,451,81576,442,890(13,482,613)

Notes :

* The figures are regrouped and rearranged where necessary.

* Financial Statement are prepared in accordance with the applicable Nepal Financial Reporting Standards.

* The Unaudited financial figures are subject to change from external auditors and regulatory authority.

Third Quarter Disclosure as of Asadh 32, 2083 (July 16, 2026)

as per Securities Registration and Issuance Regulation Annexure 14

(Related to Sub- Regulation 1 of Regulation 26 )

1. Financial Statement

a) The financial statements for the third quarter have been published as a part of this report.

b) Key Financial Ratios at the end of the quarter :

Particulars This Quarter Ending Ashadh End 2083 Previous Quarter Ending Chaitra End 2082 Corresponding Previous Year Quarter Ending Ashadh End 2082

Earning Per Shares (EPS) - Rs. 3.75 8.40 (1.48)

Networth Per Shares - Rs. 101.85 107.33 98.56

Liquity Ratio 2.74 0.52 0.17

Return of Assets - Rs. 305.93 472.56 482.06

Market Value of Shares - Rs. 473.00 - -

2. Statement relating to Legal Action

During the period, there were no legal cases raised or pending against the company and from the company.

3. Analysis of the share transaction of the company

a) During the 4th quarter, Kalanga Hydro Limited (KAHL) shares traded actively for 11 days till the end of Asadh End 2083.

b) he highlights of the share transactions during the quarter are as follows:

Maximum Price 542.20 Transaction Days 11

Minimum Price295.40378,796
Closing Price473.0032,130

4. Corporate Governance

The Board of Directors are committed to upholding good corporate governance practice within the company through the effective implementation of policies and guidelines for proper functioning of the company. The company has been functioning in compliance with Companies act, 2063 and Corporate Governance Guidelines, 2074 issued by Security Exchange Board of Nepal.

5. Declaration of Chief Executive Officer on Truth, Tactfulness

I, the Managing Director of this Company, take responsibility for accuracy of the information and details mentioned in this report. I also declare that the information and details mentioned in this report are complete, true, based on facts and the information, details necessary for making informed decision by the investors are not concealed

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