Hannah Joseph Hospital Limited
Financial Results Approval
The Board of Directors approved the audited financial results for the half year and financial year ended March 31, 2026. The results were recommended by the Audit Committee and include an unmodified opinion from the independent auditor.
Key Financial Figures (FY2026)
- Revenue from operations: ₹920.52 crore
- Total income: ₹925.89 crore
- Profit before tax: ₹160.35 crore
- Current tax: ₹106.67 crore
- Deferred tax: ₹12.42 crore
- Profit for the year: ₹160.35 crore
- Earnings per share: Not annualized for half year
- Total comprehensive income: ₹595.51 crore
Dividend Recommendation
The Board recommended a final dividend of ₹2 per equity share (20% on face value of ₹10) for FY2026, subject to shareholder approval at the ensuing Annual General Meeting.
Internal Auditor Reappointment
Reappointed M/s. Pandiarajan.T & Co., Chartered Accountants, Madurai (Firm Registration No. 014311S) as internal auditors for financial year 2026-27.
IPO Proceeds Utilization
The company confirmed no deviation or variation in utilization of IPO proceeds from objects stated in the offer document for the half year ended March 31, 2026.
IPO Funds Utilization Details
- Total amount raised: ₹4,200 lakh
- Capital expenditure for Radiation Oncology Centre: ₹70.80 lakh utilized (₹3,427.41 lakh unutilized in fixed deposits)
- General corporate purposes: ₹32.15 lakh utilized (fully utilized)
- Issue related expenses: ₹650.34 lakh utilized (₹19.30 lakh unutilized)
- Total utilized: ₹753.29 lakh
- Total unutilized: ₹3,446.71 lakh
Large Corporate Status
The company confirmed it does not meet the criteria for Large Corporate as per SEBI Circular dated October 19, 2023 for FY2026.
- Outstanding qualified borrowings: ₹25.09 crore
- Incremental borrowing during year: ₹0.00
- Borrowings via debt securities: ₹0.00
Balance Sheet Highlights (as at March 31, 2026)
- Total assets: ₹13,310.53 lakh
- Property, plant and equipment: ₹7,030.20 lakh
- Cash and cash equivalents: ₹87.23 lakh
- Bank balances: ₹3,490.25 lakh
- Total equity: ₹9,736.63 lakh
- Equity share capital: ₹2,269.84 lakh
- Borrowings: ₹234.53 lakh (non-current), ₹16.36 lakh (current)
Cash Flow Statement
- Net cash from operating activities: ₹2,068.12 lakh
- Net cash used in investing activities: ₹-1,408.40 lakh
- Net cash from financing activities: ₹2,495.00 lakh
- Net increase in cash: ₹3,155.00 lakh
Additional Information
- The financial results have been prepared in accordance with Indian Accounting Standards (Ind AS)
- The company operates in a single business segment
- There were no exceptional or extraordinary items for the reporting period
- The meeting commenced at 2:08 PM and concluded at 1:30 PM