
सिड इनर्जी लिमिटेडको तेस्रो त्रैमासिक वित्तीय प्रतिवेदन सार्वजनिकSeed Energy Limited's Third Quarter Financial Report Published
- वर्ग:Category:
- Financial Analysis
- प्रकाशित मिति:Published:
- Published on May 31, 2026
Unaudited Financial Results (Quarterly)
3rd Quarter ended of Fiscal Year 2082/83
Particulars 3rd Quarter Ending Chaitra 30, (FY2082/83) 2nd Quarter Ending Poush 30, (FY2082/83) Previous Year Ended As on Ashad 32, 2082
Assets
| Cash and Cash Equivalents | 85,590,397.46 | 84,974,459.82 | 37,867,303.61 |
| Investment Securities- Investment Securities through FVTPL | 392,880,552.00 | 377,775,525.00 | 269,986,727.96 |
Investment Securities- Investment Securities through FVTOCI - - -
Financial Investment-Held for Maturity - - -
| Other Financial Assets | 336,156,400.25 | 337,568,958.39 | 406,930,139.72 |
| Other Assets | 165,228.39 | 69,093.48 | 122,615.34 |
| Current Tax Assets | 604,657.54 | 511,977.17 | |
| Investment Property | 390,154,470.04 | 390,481,634.93 | 391,135,558.91 |
| Investment in Associates | 16,005,420.00 | 16,005,420.00 | 19,409,103.28 |
| Property, Plant and Equipment | 1,520,274.48 | 1,484,366.59 | 1,336,116.97 |
| Right-of-use Assets | 2,190,025.79 | 2,372,527.94 | 2,737,532.24 |
| Intangible Assets | 38,696.15 | 42,479.95 | 45,717.63 |
Deferred Tax Assets - - -
Total Assets 1,225,306,122.10 1,211,286,443.27 1,129,570,815.66
Liabilities
Due to Bank and Financial Institutions - - -
| Other Financial Liabilities | 4,847,110.63 | 6,176,925.67 | 5,099,144.66 |
| Other Liabilities | 200,916.86 | 1,768,364.87 | 8,400.00 |
Current Tax Liabilities - - 285,129.01
Other Provisions - - -
| Deferred Tax Liabilities | 75,554,765.67 | 71,089,413.69 | 38,419,156.44 |
| Total Liabilities | 80,602,793.15 | 79,034,704.23 | 43,811,830.11 |
Equity
| Share Capital | 990,150,000.00 | 990,150,000.00 | 990,150,000.00 |
| Share Premium | 17,494,777.84 | 17,494,777.84 | 17,814,101.23 |
| Retained Earning | 137,058,551.11 | 124,606,961.21 | 77,794,884.32 |
| Total Equity | 1,144,703,328.95 | 1,132,251,739.05 | 1,085,758,985.55 |
| Total Liability and Equity | 1,225,306,122.10 | 1,211,286,443.27 | 1,129,570,815.66 |
| Net Assets Value | 115.61 | 114.35 | 109.66 |
Ashish Shrestha
(Chief Executive Officer)
Pankaj Chandra Shrestha
(Chairman/ Director)
Alok Maskey
(Director)
Anish Pradhan
(Director)
Sawar Basnet
(Director)
Sita Ghimire
(Independent Director)
SEED ENERGY LIMITED
Jawalalhel 13, Lalitpur
web: seedenergy.com.np email: [email protected]
Phone no: 01-5912283
Unaudited Financial Results (Quarterly)
3rd Quarter ended of Fiscal Year 2082/83
Particulars 3rd Quarter Ending Chaitra 30, (FY2082/83) 2nd Quarter Ending Poush 30, (FY2082/83) Previous Year Ended As on Ashad 32, 2082
CASH FLOWS FROM OPERATING ACTIVITIES
Profit After Tax 90,531,613.64 78,080,023.73 38,301,329.06
Adjustments for Non-cash Items:
| Depreciation and Amortization | 1,759,859.30 | 1,163,416.35 | 2,304,362.78 |
| Share of Profit in Associates | 3,403,683.28 | 3,403,683.28 | 17,018,400.78 |
Impairment Charges/Fair Value Gain of Other Securities - - (6,102,447.39)
| Impairment Charges/Fair Value Gain(Promoter Share) | (122,893,824.04) | (107,788,797.04) | (47,757,640.46) |
| Deferred Tax Expense | 37,135,609.23 | 32,670,257.25 | 16,985,451.30 |
Adjustments for Non-Operating Items:
Finance Costs - - -
Investment Income - - -
Operating Profit Before Changes to Working Capital 9,936,941.40 7,528,583.57 20,749,455.75
Changes in Working Capital:
| Decrease / (Increase) in Other Financial Assets | 70,773,739.47 | 69,361,181.33 | (18,592,454.12) |
| Decrease / (Increase) in Other Assets | (42,613.05) | 53,521.86 | 26,873.41 |
| Decrease / (Increase) in Current Tax Assets | (604,657.54) | (511,977.17) | 1,104,758.92 |
| Increase / (Decrease) in Other Fianancial Liabilities | (252,034.03) | 1,077,781.01 | (177,217.30) |
| Increase / (Decrease) in Current Tax Liabilities | (285,129.01) | (285,129.01) | 285,129.01 |
| Increase / (Decrease) in Other Liabilities | 192,516.86 | 1,759,964.87 | 4,500.00 |
| Net Cash Flow from Operating Activities | 79,718,764.10 | 78,983,926.46 | 3,401,045.67 |
CASH FLOWS FROM INVESTING ACTIVITIES
Dividend Received - - (33,938,552.29)
Investment Securities- Investment Securities through FVTPL - - -
Investment Securities- Investment Securities through FVTOCI - - -
Financial Investment-Held for Maturity - - 40,000,000.00
Investment in Associates - - -
Purchase of Property, Plant and Equipment, and Intangible Assets (408,400.01) (289,500.01) (208,936.67)
Increase in Right of Use of Assets - - -
Proceeds from Disposal of Property, Plant and Equipment - - -
Net Cash used In Investing Activities (408,400.01) (289,500.01) 5,852,511.04
CASH FLOWS FROM FINANCING ACTIVITIES
Repayment of Subordinated Liabilities - - -
Receipt from Issue of Shares - - -
Share Premium Received - - -
Advance Received for Right Shares - - -
Expenditure from corporate social responsibility - - -
| Share Issue Expenses (Charged directly to Equity) | (319,323.39) | (319,323.39) | (890,028.77) |
| Dividends Paid | (31,267,946.85) | (31,267,946.85) |
Interest Paid - - -
| Net Cash from Financing Activities | (31,587,270.24) | (31,587,270.24) | (890,028.77) |
| Net Increase (Decrease) In Cash And Cash Equivalents | 47,723,093.85 | 47,107,156.21 | 8,363,527.94 |
SEED ENERGY LIMITED
Jawalakhel 13, Lalitpur
web: seedenergy.com.np email: [email protected]
Phone no: 01-5912283
Unaudited Financial Results (Quarterly)
3rd Quarter ended of Fiscal Year 2082/83
Particulars 3rd Quarter Ending 2nd Quarter Ending Previous Year Ended
Chaitra 30, (FY2082/83) Poush 30, (FY2082/83) As on Ashad 32, 2082
Revenue
| Revenue from Operation | 22,025,088.12 | 15,458,835.34 | 60,816,980.43 |
| Other Income | 1,364,989.21 | 1,005,708.86 | 1,716,896.03 |
| Share of Profit in Associates | (3,403,683.28) | (3,403,683.28) | (17,018,400.47) |
| Increase/(Decrease) on Financial Investments | 122,893,824.04 | 107,788,797.04 | 30,929,832.54 |
| Total Revenue | 142,880,218.09 | 120,849,657.96 | 76,445,308.53 |
Expenses
| Operating Expenses | 6,611,446.90 | 4,469,781.27 | 8,783,282.26 |
| Administrative Expenses | 2,424,961.63 | 1,539,911.38 | 2,642,601.20 |
| Employee Benefit Expenses | 1,610,600.00 | 1,091,600.00 | 300,000.00 |
| Depreciation and Amortization | 1,759,859.30 | 1,163,416.35 | 2,304,362.78 |
| Finance costs | 236,636.05 | 157,757.37 | 378,917.20 |
| Total Expenses | 12,643,503.88 | 8,422,466.37 | 14,409,163.44 |
| Profit before Tax from Continuing Operations | 130,236,714.21 | 112,427,191.59 | 62,036,145.09 |
Income Tax
| Current Year Tax | 2,569,491.35 | 1,676,910.62 | 6,749,364.74 |
| Deferred Tax (Income)/Expenses | 37,135,609.23 | 32,670,257.25 | 16,985,451.30 |
| Profit for the Year | 90,531,613.64 | 78,080,023.73 | 38,301,329.06 |
| Earning Per Share | 9.14 | 7.89 | 3.87 |
Ashish Shrestha (Chief Executive Officer)
Pankaj Chandra Shrestha (Chairman/ Director)
Alok Maskey (Director)
Anish Pradhan (Director)
Sawar Basnet (Director)
Sita Ghimire (Independent Director)
Cash and Cash Equivalents at Shrawan 1, 2081 37,867,303.61 37,867,303.61 29,503,775.67
Effect of Exchange Rate Fluctuations on Cash and Cash Equivalents Held - - -
Cash and Cash Equivalents at Ashad end 2082 85,590,397.46 84,974,459.82 37,867,303.61
Ashish Shrestha
(Chief Executive Officer)
Pankaj Chandra Shrestha
(Chairman/ Director)
Alok Maskey
(Director)
Anish Pradhan
(Director)
Sawar Basnet
(Director)
Sita Ghimire
(Independent Director)
Unaudited Financial Results (Quarterly)
3rd Quarter ended of Fiscal Year 2082/83
Particulars 3rd Quarter Ending Chaitra 30, (FY2082/83) 2nd Quarter Ending Poush 30, (FY2082/83) Previous Year Ended As on Ashad 32, 2082
Assets
| Cash and Cash Equivalents | 85,590,397.46 | 84,974,459.82 | 37,867,303.61 |
| Investment Securities- Investment Securities through FVTPL | 392,880,552.00 | 377,775,525.00 | 269,986,727.96 |
Investment Securities- Investment Securities through FVTOCI - - -
Financial Investment-Held for Maturity - - -
| Other Financial Assets | 336,156,400.25 | 337,568,958.39 | 406,930,139.72 |
| Other Assets | 165,228.39 | 69,093.48 | 122,615.34 |
| Current Tax Assets | 604,657.54 | 511,977.17 | |
| Investment Property | 390,154,470.04 | 390,481,634.93 | 391,135,558.91 |
| Investment in Associates | 16,005,420.00 | 16,005,420.00 | 19,409,103.28 |
| Property, Plant and Equipment | 1,520,274.48 | 1,484,366.59 | 1,336,116.97 |
| Right-of-use Assets | 2,190,025.79 | 2,372,527.94 | 2,737,532.24 |
| Intangible Assets | 38,696.15 | 42,479.95 | 45,717.63 |
Deferred Tax Assets - - -
Total Assets 1,225,306,122.10 1,211,286,443.27 1,129,570,815.66
Liabilities
Due to Bank and Financial Institutions - - -
| Other Financial Liabilities | 4,847,110.63 | 6,176,925.67 | 5,099,144.66 |
| Other Liabilities | 200,916.86 | 1,768,364.87 | 8,400.00 |
Current Tax Liabilities - - 285,129.01
Other Provisions - - -
| Deferred Tax Liabilities | 75,554,765.67 | 71,089,413.69 | 38,419,156.44 |
| Total Liabilities | 80,602,793.15 | 79,034,704.23 | 43,811,830.11 |
Equity
| Share Capital | 990,150,000.00 | 990,150,000.00 | 990,150,000.00 |
| Share Premium | 17,494,777.84 | 17,494,777.84 | 17,814,101.23 |
| Retained Earning | 137,058,551.11 | 124,606,961.21 | 77,794,884.32 |
| Total Equity | 1,144,703,328.95 | 1,132,251,739.05 | 1,085,758,985.55 |
| Total Liability and Equity | 1,225,306,122.10 | 1,211,286,443.27 | 1,129,570,815.66 |
| Net Assets Value | 115.61 | 114.35 | 109.66 |
Ashish Shrestha
(Chief Executive Officer)
Pankaj Chandra Shrestha
(Chairman/ Director)
Alok Maskey
(Director)
Anish Pradhan
(Director)
Sawar Basnet
(Director)
Sita Ghimire
(Independent Director)
SEED ENERGY LIMITED
Jawalalhel 13, Lalitpur
web: seedenergy.com.np email: [email protected]
Phone no: 01-5912283
Unaudited Financial Results (Quarterly)
3rd Quarter ended of Fiscal Year 2082/83
Particulars 3rd Quarter Ending Chaitra 30, (FY2082/83) 2nd Quarter Ending Poush 30, (FY2082/83) Previous Year Ended As on Ashad 32, 2082
CASH FLOWS FROM OPERATING ACTIVITIES
Profit After Tax 90,531,613.64 78,080,023.73 38,301,329.06
Adjustments for Non-cash Items:
| Depreciation and Amortization | 1,759,859.30 | 1,163,416.35 | 2,304,362.78 |
| Share of Profit in Associates | 3,403,683.28 | 3,403,683.28 | 17,018,400.78 |
Impairment Charges/Fair Value Gain of Other Securities - - (6,102,447.39)
| Impairment Charges/Fair Value Gain(Promoter Share) | (122,893,824.04) | (107,788,797.04) | (47,757,640.46) |
| Deferred Tax Expense | 37,135,609.23 | 32,670,257.25 | 16,985,451.30 |
Adjustments for Non-Operating Items:
Finance Costs - - -
Investment Income - - -
Operating Profit Before Changes to Working Capital 9,936,941.40 7,528,583.57 20,749,455.75
Changes in Working Capital:
| Decrease / (Increase) in Other Financial Assets | 70,773,739.47 | 69,361,181.33 | (18,592,454.12) |
| Decrease / (Increase) in Other Assets | (42,613.05) | 53,521.86 | 26,873.41 |
| Decrease / (Increase) in Current Tax Assets | (604,657.54) | (511,977.17) | 1,104,758.92 |
| Increase / (Decrease) in Other Fianancial Liabilities | (252,034.03) | 1,077,781.01 | (177,217.30) |
| Increase / (Decrease) in Current Tax Liabilities | (285,129.01) | (285,129.01) | 285,129.01 |
| Increase / (Decrease) in Other Liabilities | 192,516.86 | 1,759,964.87 | 4,500.00 |
| Net Cash Flow from Operating Activities | 79,718,764.10 | 78,983,926.46 | 3,401,045.67 |
CASH FLOWS FROM INVESTING ACTIVITIES
Dividend Received - - (33,938,552.29)
Investment Securities- Investment Securities through FVTPL - - -
Investment Securities- Investment Securities through FVTOCI - - -
Financial Investment-Held for Maturity - - 40,000,000.00
Investment in Associates - - -
Purchase of Property, Plant and Equipment, and Intangible Assets (408,400.01) (289,500.01) (208,936.67)
Increase in Right of Use of Assets - - -
Proceeds from Disposal of Property, Plant and Equipment - - -
Net Cash used In Investing Activities (408,400.01) (289,500.01) 5,852,511.04
CASH FLOWS FROM FINANCING ACTIVITIES
Repayment of Subordinated Liabilities - - -
Receipt from Issue of Shares - - -
Share Premium Received - - -
Advance Received for Right Shares - - -
Expenditure from corporate social responsibility - - -
| Share Issue Expenses (Charged directly to Equity) | (319,323.39) | (319,323.39) | (890,028.77) |
| Dividends Paid | (31,267,946.85) | (31,267,946.85) |
Interest Paid - - -
| Net Cash from Financing Activities | (31,587,270.24) | (31,587,270.24) | (890,028.77) |
| Net Increase (Decrease) In Cash And Cash Equivalents | 47,723,093.85 | 47,107,156.21 | 8,363,527.94 |
SEED ENERGY LIMITED
Jawalakhel 13, Lalitpur
web: seedenergy.com.np email: [email protected]
Phone no: 01-5912283
Unaudited Financial Results (Quarterly)
3rd Quarter ended of Fiscal Year 2082/83
Particulars 3rd Quarter Ending 2nd Quarter Ending Previous Year Ended
Chaitra 30, (FY2082/83) Poush 30, (FY2082/83) As on Ashad 32, 2082
Revenue
| Revenue from Operation | 22,025,088.12 | 15,458,835.34 | 60,816,980.43 |
| Other Income | 1,364,989.21 | 1,005,708.86 | 1,716,896.03 |
| Share of Profit in Associates | (3,403,683.28) | (3,403,683.28) | (17,018,400.47) |
| Increase/(Decrease) on Financial Investments | 122,893,824.04 | 107,788,797.04 | 30,929,832.54 |
| Total Revenue | 142,880,218.09 | 120,849,657.96 | 76,445,308.53 |
Expenses
| Operating Expenses | 6,611,446.90 | 4,469,781.27 | 8,783,282.26 |
| Administrative Expenses | 2,424,961.63 | 1,539,911.38 | 2,642,601.20 |
| Employee Benefit Expenses | 1,610,600.00 | 1,091,600.00 | 300,000.00 |
| Depreciation and Amortization | 1,759,859.30 | 1,163,416.35 | 2,304,362.78 |
| Finance costs | 236,636.05 | 157,757.37 | 378,917.20 |
| Total Expenses | 12,643,503.88 | 8,422,466.37 | 14,409,163.44 |
| Profit before Tax from Continuing Operations | 130,236,714.21 | 112,427,191.59 | 62,036,145.09 |
Income Tax
| Current Year Tax | 2,569,491.35 | 1,676,910.62 | 6,749,364.74 |
| Deferred Tax (Income)/Expenses | 37,135,609.23 | 32,670,257.25 | 16,985,451.30 |
| Profit for the Year | 90,531,613.64 | 78,080,023.73 | 38,301,329.06 |
| Earning Per Share | 9.14 | 7.89 | 3.87 |
Ashish Shrestha (Chief Executive Officer)
Pankaj Chandra Shrestha (Chairman/ Director)
Alok Maskey (Director)
Anish Pradhan (Director)
Sawar Basnet (Director)
Sita Ghimire (Independent Director)
Cash and Cash Equivalents at Shrawan 1, 2081 37,867,303.61 37,867,303.61 29,503,775.67
Effect of Exchange Rate Fluctuations on Cash and Cash Equivalents Held - - -
Cash and Cash Equivalents at Ashad end 2082 85,590,397.46 84,974,459.82 37,867,303.61
Ashish Shrestha
(Chief Executive Officer)
Pankaj Chandra Shrestha
(Chairman/ Director)
Alok Maskey
(Director)
Anish Pradhan
(Director)
Sawar Basnet
(Director)
Sita Ghimire
(Independent Director)