Chalet Hotels Income Statement

Quarterly

Yearly

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202120222023
EBITDA291200
EBIT-93-20
Earning Per Share-6-39
Expenses287409676
Net Profit-139-81183
Net Profit Margin-46-1516
Operating Profit Margin102445
Profit Before Tax-244-147273
Dividends Per Share000
Operation Revenue3175301,178

Peer Comparison (in ₹.Cr.)

CompanyYearEBITEBITDANet ProfitNet WorthProfit Before Tax
2022-11.7057.40-59.202,901.58-46.50
20221113.026.40200.269.90
202246.7441.1326.7097.7729.80
2022-344.0410.06-453.80218.45-453.80
2010-12.81-8.92-14.7016.33-14
The EBITDA of Chalet Hotels is 0 as of 9/23/2023
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20182018201820182022
Operating Activities24924924924962
Investing Activities-129-129-129-129-396
Financing Activities-157-157-157-157411
Others00000
Net Cash Flow-37-37-37-3777

Peer Comparison (in ₹.Cr.)

CompanyYearOperating ActivitiesInvesting ActivitiesFinancing ActivitiesNet Cash Flow
2018271.76-317.8745.20-0.91
2023-11.76-2.980-14.75
202355.52-8.87-25.1821.47
202214.70-3.13-11.140.43
2010-6.36-2.877.85-1.38
The cash flow from Operating Activities of Chalet Hotels is 62 as of 9/23/2023