Country Club Hospitality & Holidays Limited
NSE: CCHHLINE652F01027·Consumer Services·www.countryclubindia.net ↗·Mcap ₹221 Cr·Listed 2015
₹13.14▼ ₹0.35  (−2.59%)
52W: ₹10 – ₹18 · Vol: 25.0K shares · Close 25 Sept
Set Alert

Quarterly results

consolidated · as filed with NSE · Q1 FY27 back to Q1 FY20
₹ croreQ1 FY27Q4 FY26Q3 FY26Q2 FY26Q1 FY26Q4 FY25Q3 FY25Q2 FY25Q1 FY25Q4 FY24Q3 FY24Q2 FY24Q1 FY24Q4 FY23Q3 FY23Q2 FY23Q1 FY23Q4 FY22Q3 FY22Q2 FY22Q1 FY22Q4 FY21Q3 FY21Q2 FY21Q1 FY21Q4 FY20Q3 FY20Q2 FY20Q1 FY20
Revenue from operations15.418.315.920.12412.811.49.512.312.512.912.814.213.8161420.414.518.516.19.415.615.612.63.830.335.137.850.4
Other income0.533.51.21.81.421.90.51.63.313.51.71.1067.604.2022.80005.80000000
Total expenses15.543.418.321.72525.812.914.215.720.117.417.517.555.321.42323.656.123.724.818.229.625.927.215.967.258.15461.4
EBITDA2.8−22.40.71.72.4−9.42.1−1.10.2−4.2−0.5−0.31.4−37.10.5−42.7−34.40.80.10.3−5.40.3−0−0.7−8.11.96.510.2
EBITDA margin18.5%-122.2%4.5%8.3%9.9%-73.6%18.3%-11.8%2.0%-33.6%-3.9%-2.4%9.5%-269.1%3.0%-28.5%13.3%-237.7%4.6%0.3%3.4%-34.5%2.1%-0.2%-17.1%-26.8%5.4%17.1%20.2%
Finance costs000.10.20.30.40.50.50.50.50.81.21.322.41.52.51.92.15.54.836.310.3713.713.311.99.9
Depreciation32.73.13.13.13.13.13.13.12.93.23.23.22.43.53.53.55.443.34.35.64.44.34.315.211.610.811.2
Profit before tax0.4−17.2−1.30.20.49−1−3.1−0.15.9−2.9−3.6−3.226.1−5.4−4.8−3.2−18.8−5.2−8.7−8.8−8.3−10.3−14.7−12−37−23−16.2−11
Tax−0.1−0.40.10.10.1−0.10.20.20.2−0.20.40.40.4−1.60.60.60.60.40.50.60.80111.41.70.81.11.4
Net profit0.4−16.8−1.30.10.39.1−1.1−3.3−0.36.2−3.3−4.1−3.727.7−5.9−5.3−3.8−19.2−5.7−9.3−9.5−8.3−11.3−15.7−13.5−38.7−23.8−17.3−12.4
Net margin2.7%-91.9%-8.3%0.7%1.1%70.8%-9.8%-34.5%-2.5%49.4%-25.6%-31.7%-25.6%201.0%-37.2%-38.2%-18.4%-132.6%-30.9%-57.6%-101.6%-53.5%-72.3%-125.1%-351.0%-127.9%-67.9%-45.7%-24.5%
EPS (₹)0.03-1.03-0.080.010.020.56-0.07-0.20-0.020.38-0.20-0.25-0.221.69-0.36-0.33-0.23-1.17-0.35-0.57-0.58-0.51-0.69-0.96-0.82-2.37-1.46-1.06-0.76
Net profit YoY+62.2%−285.4%−16.8%+104.1%+185.6%+47.7%+66.0%+19.2%+91.7%−77.8%+44.5%+24.0%+3.0%+244.4%−4.3%+42.6%+60.6%−130.3%+49.6%+40.8%+29.1%+78.5%+52.5%+9.1%−8.9%––––

Annual results

financial years ending March · from the fourth-quarter filings
₹ croreFY26FY25FY24FY23FY22FY21FY20
Revenue from operations78.34652.464.258.547.6154
Other income37.927.316.371.822.85.80
Total expenses10868.572.412312398.6241
EBITDA−17.6−8.2−3.6−37.9−33.2−5.710.4
EBITDA margin-22.5%-17.9%-6.9%-59.0%-56.7%-12.0%6.8%
Finance costs0.51.93.88.414.326.648.8
Depreciation1212.412.712.816.918.748.8
Profit before tax−17.84.8−3.812.7−41.5−45.3−87.1
Tax−0.20.41.10.12.23.55
Net profit−17.64.4−4.912.6−43.7−48.8−92.1
Net margin-22.5%9.5%-9.3%19.7%-74.8%-102.5%-60.0%
EPS (₹)-1.080.27-0.200.77-2.67-2.99-5.64
Net profit YoY−502.7%+190.1%−138.4%+128.9%+10.4%+47.0%–
EPS is as filed for each period and is not restated for later bonus issues or splits.

Cash flow

annual · ₹ crore
₹ croreFY26FY25FY24FY23FY22
Operating cash flow−26.1−8.5−5.1−65.3−16.5
Investing cash flow47.912.637.988.680
Financing cash flow−21.3−4.8−32.7−24.9−65.2
Capital expenditure−48.3−11.90−78.2−63.6
Free cash flow (CFO − capex)−74.4−20.4−5.1−143−80.1

Net profit trend

annual, ₹ crore
FY21
₹−48.8
FY22
₹−43.7+10%
FY23
₹12.6+129%
FY24
₹−4.9−138%
FY25
₹4.4+190%
FY26
₹−17.6−503%

Result filings

as filed with NSE · PDF and XBRL
PeriodBasisFiledDocuments
Q1 FY27Consolidated13 Aug 2026PDF on NSE XBRL
Q1 FY27Standalone13 Aug 2026PDF on NSE XBRL
Q4 FY26Consolidated · audited30 May 2026PDF on NSE XBRL
Q4 FY26Standalone · audited30 May 2026PDF on NSE XBRL
Q3 FY26Consolidated13 Feb 2026PDF on NSE XBRL
Q3 FY26Standalone13 Feb 2026PDF on NSE XBRL
Q2 FY26Consolidated14 Nov 2025 PDF XBRL
Q2 FY26Standalone14 Nov 2025 PDF XBRL
Q1 FY26Consolidated14 Aug 2025 PDF XBRL
Q1 FY26Standalone14 Aug 2025 PDF XBRL

Annual reports

NSE archive
Key ratios
P/E (TTM)-12.2×
P/B0.72×
ROEFY26, on average equity-5.7%
Net margin-22.5%
Debt / equity0.07×
Revenue CAGR (3Y)6.9%
Profit CAGR (3Y)–
EPS (TTM)₹-1.08
Market cap₹215 Cr
Computed from the filings and the last close. Market cap uses the latest share count from the balance sheet.
Balance sheet 31 Mar 2026
Total assets₹519 Cr−13%
Net worth₹298 Cr−6%
Total borrowings₹21 Cr+0%
Cash & bank balances₹1 Cr+63%
Investments₹0 Cr+0%
Inventories₹21 Cr−51%
Trade receivables₹6 Cr+14%
Trade payables₹3 Cr+7%
Change vs the same date a year earlier.
Revenue mix FY26
Hotel & Membership66.4%result ₹−27.4 Cr
Real Estate33.6%result ₹17.3 Cr
Segment revenue as reported, before inter-segment eliminations.
Shareholding 30 Jun 2026
%Jun 26Mar 26Dec 25Sept 25Jun 25Mar 25Dec 24Sept 24Jun 24Mar 24Dec 23Sept 23
Promoter73.8073.8073.8073.8073.8073.8073.8073.8073.8073.8073.8073.80
FII0.490.490.490.490.490.490.490.490.600.490.490.49
Retail23.8223.8523.8823.8423.8623.7923.7023.6923.9423.9024.0224.06
Other public1.891.861.831.871.851.922.012.021.661.811.691.65
29,074 shareholders · NSE shareholding pattern filings.