
मध्य भोटेकोशी जलविद्युतको चौथो त्रैमासिक वित्तीय विवरणMadhya Bhotekoshi Jalavidyut Q4 Financial Report
- वर्ग:Category:
- Financial Analysis
- प्रकाशित मिति:Published:
- Published on August 15, 2026
Madhya Bhotekoshi Jalavidyut Company Limited
Maharajgunj, Kathmandu
Statement of Financial Position (Unaudited)
As on 31st Ashad 2081 (15th July 2024) (4th Quarter of FY 2080/81)
(Rs. '000)
Particulars 2081.03.31 (15.07.2024) 2080.12.30 (12.04.2024) 2080.03.31 (16.07.2023)
| Assets | |||
| Non-Current Assets | |||
| Property, Plant & Equipment | 21,567,367.34 | 21,551,357.18 | 476,731.85 |
| Capital Work-in-Progress | - | 186,335.37 | 21,116,822.00 |
| Total Non-Current Assets(A) | 21,567,367.34 | 21,737,692.55 | 21,593,553.85 |
| Current Assets | |||
| Inventory | 783.46 | 865.71 | 653.57 |
| Accounts Receivables | 519,281.75 | 450,586.77 | - |
| Advances, Deposits and Other Receivables | 123,410.32 | 632,068.05 | 103,307.95 |
| Investment in Term Deposits | - | - | - |
| Cash and Cash Equivalents | 11,100.87 | 61,700.25 | 177,455.27 |
| Total Current Assets (B) | 654,576.41 | 1,145,220.79 | 281,416.79 |
| Total Assets (A+B) | 22,221,943.76 | 22,882,913.34 | 21,874,971.00 |
| Equity and Liabilities | |||
| Equity | |||
| Share Capital | 6,000,000.00 | 6,000,000.00 | 6,000,000.00 |
| Retained Earnings | (225,258.13) | (318,100.35) | (394,842.00) |
| Total Equity (C) | 5,774,741.87 | 5,681,899.65 | 5,605,158.00 |
| Non-Current Liabilities | |||
| Long-term Borrowing | 14,729,602.67 | 15,515,742.04 | 15,197,301.45 |
| Total Non-current Liabilities (D) | 14,729,602.67 | 15,515,742.04 | 15,197,301.45 |
| Current Liabilities | |||
| Short-term Borrowing | 1,140,000.00 | 1,150,000.00 | 580,000.00 |
| Provisions | 2,819.04 | 2,954.03 | 2,869.28 |
| Trade and Other Payables | 574,780.18 | 532,318.31 | 489,641.92 |
| Total Current Liabilities (E) | 1,717,599.22 | 1,685,272.34 | 1,072,511.20 |
| Total Equity and Liabilities (C+D+E) | 22,221,943.76 | 22,882,913.34 | 21,874,971.00 |
Statement of Financial Performance (Unaudited)
Upto 31st Ashad 2081 (15th July 2024) (4th Quarter of FY 2080/81)
(Rs. '000)
Particulars FY 2080/081 (Upto Ashad) (2023/024) FY 2080/081 (Upto Chaitra) (2023/024) FY 2079/080 (Upto Ashad) (2022/023)
| Income | |||
| Revenue from sale of electricity | 2,144,669.86 | 1,429,765.01 | - |
| Direct Expenses | (166,896.37) | (98,861.85) | - |
| Royalty Expenses | (53,093.40) | (29,783.34) | - |
| Gross Profit | 1,924,680.10 | 1,301,119.82 | - |
| Other Operating Expenses | |||
| Employee Benefit Expenses | (20,232.56) | (17,842.03) | (44,221.67) |
| Administrative Expenses | (29,238.18) | (14,940.04) | - |
| Depreciation | (755,842.14) | (511,817.32) | (614.65) |
| Operating Profit/ (Loss) (A) | 1,119,367.22 | 756,520.43 | (44,836.32) |
| Finance Income | 1,326.52 | 1,102.57 | 3,085.15 |
| Other Income | 485.87 | 129.27 | 55.00 |
| Total Income (B) | 1,812.39 | 1,231.84 | 3,140.15 |
| Finance Cost | (951,595.74) | (681,010.62) | - |
Profit/ (Loss) Before tax and Bonus (A - B) 169,583.87 76,741.66 (41,696.17)
| Employee Bonus | - | - | - |
| Profit/ (Loss) Before tax | 169,583.87 | 76,741.66 | (41,696.17) |
| Less: Tax | |||
| Current year tax | - | - | - |
| Prior year Tax | - | - | - |
| Net Profit/ (Loss) for the period | 169,583.87 | 76,741.66 | (41,696.17) |
| धितोपत्र दर्ता तथा निष्काशन नियमावली, | २०७३ | २६ | (१) |
अनुसार कम्पनीको आ.व. २०८०/०८१ को चौथो त्रैमासिक प्रतिवेदन
१. वित्तीय विवरण
(क) चौथो त्रैमासिक अवधिको संक्षिप्त वासलात र नाफा / (नोक्सान) सम्बन्धी विवरणहरू यसै साथ संलग्न गरिएको छ ।
(ख) प्रमुख वित्तीय सूचकहरू निम्नानुसार रहेका छन् :
विवरण २०८०।८१ आषाढ मसान्त २०७९।८० आषाढ मसान्त
| प्रति शेयर आम्दानी (वार्षिकीकरण गरिएको) | २.८३ | (०.६८) |
| प्रतिशेयर नेटवर्थ | ९६.२५ | ९३.४३ |
| मूल्य आम्दानी अनुपात (P/E Ratio)* | ९४.१७ | (४६४.७८) |
| प्रति शेयर कुल सम्पत्तिको मूल्य | ३७०.३७ | ३६४.५९ |
| तरलता अनुपात | ०.३८ | ०.५७ |
*(P/E Ratio गणना गर्दा त्रैमासिकको अन्तिम बजार मूल्य लाई आधार मानिएको छ ।)
Madhya Bhotekoshi Jalavidyut Company Limited
Maharajgunj, Kathmandu
Statement of Financial Position (Unaudited)
As on 31st Ashad 2081 (15th July 2024) (4th Quarter of FY 2080/81)
(Rs. '000)
Particulars 2081.03.31 (15.07.2024) 2080.12.30 (12.04.2024) 2080.03.31 (16.07.2023)
| Assets | |||
| Non-Current Assets | |||
| Property, Plant & Equipment | 21,567,367.34 | 21,551,357.18 | 476,731.85 |
| Capital Work-in-Progress | - | 186,335.37 | 21,116,822.00 |
| Total Non-Current Assets(A) | 21,567,367.34 | 21,737,692.55 | 21,593,553.85 |
| Current Assets | |||
| Inventory | 783.46 | 865.71 | 653.57 |
| Accounts Receivables | 519,281.75 | 450,586.77 | - |
| Advances, Deposits and Other Receivables | 123,410.32 | 632,068.05 | 103,307.95 |
| Investment in Term Deposits | - | - | - |
| Cash and Cash Equivalents | 11,100.87 | 61,700.25 | 177,455.27 |
| Total Current Assets (B) | 654,576.41 | 1,145,220.79 | 281,416.79 |
| Total Assets (A+B) | 22,221,943.76 | 22,882,913.34 | 21,874,971.00 |
| Equity and Liabilities | |||
| Equity | |||
| Share Capital | 6,000,000.00 | 6,000,000.00 | 6,000,000.00 |
| Retained Earnings | (225,258.13) | (318,100.35) | (394,842.00) |
| Total Equity (C) | 5,774,741.87 | 5,681,899.65 | 5,605,158.00 |
| Non-Current Liabilities | |||
| Long-term Borrowing | 14,729,602.67 | 15,515,742.04 | 15,197,301.45 |
| Total Non-current Liabilities (D) | 14,729,602.67 | 15,515,742.04 | 15,197,301.45 |
| Current Liabilities | |||
| Short-term Borrowing | 1,140,000.00 | 1,150,000.00 | 580,000.00 |
| Provisions | 2,819.04 | 2,954.03 | 2,869.28 |
| Trade and Other Payables | 574,780.18 | 532,318.31 | 489,641.92 |
| Total Current Liabilities (E) | 1,717,599.22 | 1,685,272.34 | 1,072,511.20 |
| Total Equity and Liabilities (C+D+E) | 22,221,943.76 | 22,882,913.34 | 21,874,971.00 |
Statement of Financial Performance (Unaudited)
Upto 31st Ashad 2081 (15th July 2024) (4th Quarter of FY 2080/81)
(Rs. '000)
Particulars FY 2080/081 (Upto Ashad) (2023/024) FY 2080/081 (Upto Chaitra) (2023/024) FY 2079/080 (Upto Ashad) (2022/023)
| Income | |||
| Revenue from sale of electricity | 2,144,669.86 | 1,429,765.01 | - |
| Direct Expenses | (166,896.37) | (98,861.85) | - |
| Royalty Expenses | (53,093.40) | (29,783.34) | - |
| Gross Profit | 1,924,680.10 | 1,301,119.82 | - |
| Other Operating Expenses | |||
| Employee Benefit Expenses | (20,232.56) | (17,842.03) | (44,221.67) |
| Administrative Expenses | (29,238.18) | (14,940.04) | - |
| Depreciation | (755,842.14) | (511,817.32) | (614.65) |
| Operating Profit/ (Loss) (A) | 1,119,367.22 | 756,520.43 | (44,836.32) |
| Finance Income | 1,326.52 | 1,102.57 | 3,085.15 |
| Other Income | 485.87 | 129.27 | 55.00 |
| Total Income (B) | 1,812.39 | 1,231.84 | 3,140.15 |
| Finance Cost | (951,595.74) | (681,010.62) | - |
Profit/ (Loss) Before tax and Bonus (A - B) 169,583.87 76,741.66 (41,696.17)
| Employee Bonus | - | - | - |
| Profit/ (Loss) Before tax | 169,583.87 | 76,741.66 | (41,696.17) |
| Less: Tax | |||
| Current year tax | - | - | - |
| Prior year Tax | - | - | - |
| Net Profit/ (Loss) for the period | 169,583.87 | 76,741.66 | (41,696.17) |
| Fourth Quarterly Report of the Company for FY 2080/081 Pursuant to Schedule-14 of Sub-rule | (1) | 26 | 2073 |
1. Financial Statements
(A) Condensed balance sheet and profit/(loss) statements for the fourth quarter period are attached herewith.
(B) Key financial indicators are as follows:
Particulars 2080।81 Ashad End 2079।80 Ashad End
| Earnings Per Share (Annualized) | 2.83 | (0.68) |
| Net Worth Per Share | 96.25 | 93.43 |
| Price Earnings Ratio (P/E Ratio)* | 94.17 | (464.78) |
| Total Assets Value Per Share | 370.37 | 364.59 |
| Liquidity Ratio | 0.38 | 0.57 |
*(The closing market price of the quarter has been taken as the basis for calculating the P/E Ratio.)