Bharti Hexacom Limited submitted its audited standalone financial results for the quarter ended June 30, 2026 (Q1 FY2026) to the National Stock Exchange of India Limited and BSE Limited in compliance with Regulations 30 and 33 of the SEBI Listing Obligations and Disclosure Requirements Regulations, 2015.
The financial results were reviewed by the Audit Committee and approved by the Board of Directors in meetings held on August 04, 2026. The Board meeting commenced on August 03, 2026 at 1800 Hrs (IST) and was adjourned at 1840 Hrs (IST). The adjourned meeting reconvened on August 04, 2026 at 1500 Hrs (IST) and concluded at 1600 Hrs (IST).
Key Financial Performance (₹ in millions)
Income Statement:
- Revenue from operations: ₹25,099 (Q1 FY2025: ₹22,630)
- Other income: ₹721 (Q1 FY2025: ₹475)
- Total income: ₹25,820 (Q1 FY2025: ₹23,105)
Expenses:
- Network operating expenses: ₹5,376
- Access charges: ₹2,041
- License fee/Spectrum charges: ₹2,303
- Employee benefits expense: ₹268
- Sales and marketing expenses: ₹900
- Other expenses: ₹989
- Total expenses: ₹11,877
Profitability:
- Profit before depreciation, amortization, finance costs, exceptional items and tax: ₹13,943
- Depreciation and amortization expenses: ₹5,925
- Finance costs: ₹1,488
- Profit before exceptional items and tax: ₹6,530
- Exceptional items (net): ₹0
- Profit before tax: ₹6,530
- Tax expense: ₹1,706 (Current tax: ₹2,211; Deferred tax: ₹(505))
- Profit for the quarter: ₹4,824 (Q1 FY2025: ₹3,916)
- Other comprehensive loss: ₹(3)
- Total comprehensive income: ₹4,821
Per Share Data:
- Basic and diluted earnings per share (face value ₹5): ₹9.65 (Q1 FY2025: ₹7.83)
Capital Structure:
- Paid-up equity share capital: ₹2,500 million (unchanged)
- Other equity: ₹73,973 million
Segment-wise Performance (Q1 FY2026)
Revenue:
- Mobile Services: ₹23,953 million
- Homes, Office and Other Services: ₹1,265 million
- Total segment revenue: ₹25,218 million
- Inter-segment eliminations: ₹119 million
- Total revenue: ₹25,099 million
Segment Results:
- Mobile Services profit before finance costs, charity, exceptional items and tax: ₹7,828 million
- Homes, Office and Other Services: ₹(4) million
- Total segment results: ₹7,824 million
- Less: Finance costs (net): ₹1,169 million
- Less: Charity and donation: ₹125 million
- Less: Exceptional items (net): ₹0
- Profit before tax: ₹6,530 million
Segment Assets (as of June 30, 2026):
- Mobile Services: ₹173,705 million
- Homes, Office and Other Services: ₹17,320 million
- Total segment assets: ₹191,025 million
- Unallocated/Adjustment: ₹14,148 million
- Inter-segment eliminations: ₹(6,568) million
- Total assets: ₹198,605 million
Segment Liabilities (as of June 30, 2026):
- Mobile Services: ₹93,484 million
- Homes, Office and Other Services: ₹4,368 million
- Total segment liabilities: ₹97,852 million
- Unallocated/Adjustment: ₹30,848 million
- Inter-segment eliminations: ₹(6,568) million
- Total liabilities: ₹122,132 million
Notes to Financial Results
1. The audited financial results were reviewed by the Audit Committee and approved by the Board of Directors on August 4, 2026.
2. The results are compiled from Audited Interim Condensed Financial Statements prepared in accordance with Indian Accounting Standard ('Ind AS') 34.
3. All amounts are rounded off to the nearest million, except per share data.