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Samhi Hotels Ltd.

HospitalityHotel, Resort & Restaurants
₹160.75BSE5.86%

16 Sep, 4:01 PM

₹160.75
₹3.57K Cr
7.08
1.63
34.79%
₹164.10
₹146.25
₹216.40
₹127.30

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Price Performance

Peer Comparison

Name
INDIAN HOTEL

INDHOTEL

713.0047.301,01,490.720.46390.8118.67%2,339.1914.61%25.70
ITCHOTELS

ITCHOTELS

153.4036.9831,953.310.65181.9136.05%936.0214.77%10.54
CHALET

CHALET

843.9034.9718,480.910.2486.13-57.60%512.27-42.73%17.19
EIH LTD.

EIHOTEL

292.3025.6918,279.400.51120.31226.22%656.9614.54%19.68
THELEELA

THELEELA

522.0039.5017,432.600.0048.76460.27%351.9628.08%8.97
VENTIVE

VENTIVE

562.0027.3713,125.040.00124.18227.44%542.806.97%13.15
LEMONTREE

LEMONTREE

103.1534.808,172.020.0057.3419.21%344.619.13%18.72
Samhi Hotels Ltd.

SAMHI

160.757.083,566.650.0024.9329.72%305.2112.12%12.38

Quarterly Results

consolidated figures in ₹ Crores · Quarterly

ParticularsMar 2024Jun 2024Sep 2024Dec 2024Mar 2025Jun 2025Sep 2025Dec 2025Mar 2026Jun 2026
279.16247.52262.13292.09318.79272.21292.97337.75344.86305.21
Expenses193.71165.16170.14182.59195.53181.71185.84215.63233.26206.98
85.4582.3691.99109.50123.2690.50107.14122.13111.6098.23
30.61%33.27%35.09%37.49%38.66%33.25%36.57%36.16%32.36%32.18%
14.336.694.732.03-14.8615.0987.513.0333.103.08
Interest57.6553.8554.5059.9154.0250.6242.7040.2737.3337.69
31.5429.6528.5428.8228.6729.0729.6129.8338.1630.88
10.595.5513.6722.8025.7125.91122.3355.0669.2232.73
-6.67%-13.51%-3.05%-1.60%-90.63%14.93%16.27%12.57%-477.04%23.85%
11.294.2312.6222.7945.8717.2892.4339.61353.6718.25
0.510.190.571.042.070.784.181.7915.920.82

Profit & Loss

consolidated figures in ₹ Crores · Annual

ParticularsFY 2021-22 (Mar)FY 2022-23 (Mar)FY 2023-24 (Mar)FY 2024-25 (Mar)FY 2025-26 (Mar)
No of Months12.0012.0012.0012.0012.00
INCOME :
Operating Income322.74738.57957.391,120.541,247.80
Operating Income (Net)322.74738.57957.391,120.541,247.80
EXPENDITURE :
Foods, Beverages Consumed32.7757.9771.8780.80100.01
Power & Fuel Cost41.4957.2369.0873.3174.65
Employee Cost90.55122.98213.79178.96195.41
Other Operating & Servicing Cost53.2083.6297.14103.78126.62
Selling and Administration Expenses88.14166.65231.37264.71309.77
Miscellaneous Expenses5.1712.397.6311.869.99
311.31500.83690.88713.42816.44
Operating Profit (Excl OI)11.43237.75266.52407.11431.36
14.6346.9137.9118.0331.20
26.06284.66304.43425.14462.56
Interest350.28546.12361.68222.28170.91
PBDT-324.22-261.47-57.26202.86291.65
100.6096.28113.67115.68126.67
Profit Before Taxation & Exceptional Items-424.82-357.74-170.9387.18164.98
Exceptional Income / Expenses-18.4119.18-73.21-19.44107.53
-443.23-338.56-244.1467.74272.51
Provision for Tax0.030.03-9.52-24.84-299.49
-443.25-338.59-234.6292.58572.00
Extra items-7.08-5.45
Minority Interest-63.56
Consolidated Net Profit-443.25-338.59-234.6285.50502.99
Profit Balance B/F-1,375.25-1,818.60-2,149.90-2,384.05-2,299.07
Appropriations-1,818.50-2,157.19-2,384.52-2,298.55-1,796.08
-58.12-39.68-10.663.8722.64
Adjusted EPS-58.12-39.68-10.663.8722.64

Balance Sheet

consolidated figures in ₹ Crores

ParticularsFY 2021-22 (Mar)FY 2022-23 (Mar)FY 2023-24 (Mar)FY 2024-25 (Mar)FY 2025-26 (Mar)
7.638.5322.0022.1222.21
Share Warrants & Outstandings7.662.6119.8720.1416.11
Total Reserves-654.13-818.79996.671,099.792,143.86
Reserve excluding Revaluation Reserve-654.13-818.79996.671,099.792,143.86
Revaluation reserve0.00
-638.84-807.651,038.541,142.052,182.18
Minority Interest104.25
Secured Loans2,026.381,981.571,548.591,946.981,508.53
Unsecured Loans347.8473.7111.1116.36
Deferred Tax Assets / Liabilities39.1151.59-247.97
Other Long Term Liabilities233.4475.0665.02127.77143.01
Long Term Trade Payables8.001.36
Long Term Provisions4.445.257.678.5911.22
Total Non-Current Liabilities2,620.092,136.961,671.502,151.291,414.80
Trade Payables122.51139.98126.8995.4497.55
Other Current Liabilities250.34697.49506.14204.61223.49
Short Term Borrowings30.3593.1395.7742.1682.85
Short Term Provisions2.133.086.287.577.05
Total Current Liabilities405.32933.69735.08349.79410.94
Total Liabilities2,386.582,263.003,445.123,643.134,112.17
Gross Block2,850.172,768.853,994.644,343.804,607.53
Less: Accumulated Depreciation698.95867.831,058.441,151.721,133.13
Less: Impairment of Assets123.95
Net Block2,027.271,901.022,936.203,192.083,474.41
Capital Work in Progress19.7420.2132.4695.41139.38
Long Term Investment0.00
Long Term Loans & Advances39.4242.8865.8660.9194.71
Other Non Current Assets24.5637.05115.0889.3471.87
Total Non-Current Assets2,125.912,015.773,163.903,437.743,780.36
Inventories2.523.284.044.154.11
Sundry Debtors24.7851.2760.5467.3367.82
Cash and Bank160.68131.43147.4269.97193.88
Other Current Assets12.7029.5741.2428.7332.33
Short Term Loans and Advances22.9924.6927.9735.2233.67
Total Current Assets223.67240.23281.22205.39331.80
Net Current Assets (Including Current Investments)-181.65-693.46-453.86-144.39-79.14
Total Assets2,386.582,263.003,445.123,643.134,112.17
Contingent Liabilities22.6825.3326.3542.5247.99
Total Debt2,593.322,689.982,076.352,128.481,708.20
-84.76-94.9646.3050.7297.51
Adjusted Book Value-84.76-94.9646.3050.7297.51

Cash Flow

consolidated figures in ₹ Crores

ParticularsFY 2021-22 (Mar)FY 2022-23 (Mar)FY 2023-24 (Mar)FY 2024-25 (Mar)FY 2025-26 (Mar)
No of Months12.0012.0012.0012.0012.00
-443.23-338.56-244.1460.66267.06
Adjustment458.31583.52563.21369.88175.79
Changes In working Capital14.74-26.73-32.97-73.98-22.54
Cash Flow after changes in Working Capital29.82218.23286.10356.56420.31
Cash Flow from Operating Activities26.31217.45274.69357.04406.98
Cash Flow from Investing Activities-2.5468.39-56.95-260.01-199.54
Cash Flow from Financing Activitie-17.44-318.69-212.32-182.16-112.04
Net Cash Inflow / Outflow6.33-32.855.43-85.1395.40
Opening Cash & Cash Equivalents145.07151.40118.55132.3763.38
Cash & Cash Equivalent of Subsidiaries under liquidations8.3916.14
Closing Cash & Cash Equivalent151.40118.55132.3763.38158.77

Ratios

Valuation

7.08
1.63
11.09
2.78
22.66
98.53

Profitability

34.79
12.38
14.75
34.57
45.84

Leverage & Liquidity

0.79
0.81
2.59

Returns

0.00
0.32

Shareholding Pattern

Numbers in percentages

ParticularsJun '24Sep '24Dec '24Mar '25Jun '25Sep '25Dec '25Mar '26Jun '26
81.2178.0673.3065.9062.5262.3562.2160.6861.97
18.7921.9526.6934.0937.4837.6537.7939.3238.03
100.00100.00100.00100.00100.00100.00100.00100.00100.00
No. of Shareholders60,39066,70579,72588,89293,56894,27890,84588,88983,908

Corporate Actions

Showing: All
DateTypeDetailsEx-DateRecord Date
2026-08-10AGM
2026-08-03Substantial Acquisition of Shares Inter alia, approved:- 1) Approved the increase in Authorized Share Capital of the Company from INR 25,00,00,000/- (Indian Rupees Twenty Five Crores Only) divided into 25,00,00,000 (Twenty-Five Crore) equity shares of INR 1/- (Indian Rupee One) each to INR 29,00,00,000/- (Indian Rupees Twenty Nine Crores Only) divided into 29,00,00,000 (Twenty-Nine Crore) equity shares of INR /- (Indian Rupee One) each and consequent amendment in the Capital Clause (Clause V) of the Memorandum of Association of the Company, subject to approval of the shareholders of the Company. (2) Approved the enabling resolution for raising of funds for an aggregate amount not exceeding INR 750,00,00,000/- (Indian Rupees Seven Hundred Fifty Crores) by way of issuance of equity shares (including warrants, or otherwise), fully convertible debentures, with or without warrants and/ or convertible preference shares or any security convertible into Equity Shares or any combination thereof, in one or more tranches through permissible modes, including but not limited to a private placement, a qualified institutions placement, preferential issue, or any other method or combination of methods as may be permitted under the applicable laws, subject to such regulatory/ statutory approvals as may be required and the approval of shareholders of the Company at the forthcoming Annual General Meeting of the Company. The Company has planned a strong capital expenditure cycle to add significant room inventory in the next few years, continues to see attractive acquisition/ growth opportunities and is prepared to operate in an increasingly volatile geo-political environment. While the Company has a visibility of strong internal accruals, a stronger balance sheet would help to strengthen its position and continue to grow rapidly. The proposed enabling resolution will provide the Company with the necessary flexibility to access capital markets in a timely manner and efficiently capitalize on emerging opportunities to preserve and build on the shareholder value. The timing and terms for such infusion is dependent on prevailing market conditions and will be in consultation with the committee of the Board of Directors of the Company. (3) Approved to hold the 16 (Sixteenth) Annual General Meeting ( AGM ) of the shareholders of the Company on Monday, 31 * day of August 2026 & Notice convening the said AGM and the Board s Report for the financial year 2025-26. India (4) Approved the acquisition of 29,582 (Twenty Nine Thousand Five Hundred and Eighty Two) fully paid-up equity shares of face value of INR 10/- (Indian Rupees Ten only) each, constituting 100% (one hundred per cent) of the issued, subscribed and paid-up equity share capital of Itmenaan Lodges Private Limited, a company incorporated under the laws of India, bearing CIN: U74999DL2011PTC212592 and having its registered office at 26/13, Third Floor, Old Rajinder Nagar, New Delhi 110060 ( Target ), from existing shareholders of the Target, for an aggregate cash consideration of INR 12,00,00,000/- (Indian Rupees Twelve Crores only) ( Proposed Transaction ), pursuant to a share purchase agreement to be executed between the Company, existing shareholders and the Target ( SPA ) with a total approved investment (including any further capital expenditure for expansion and/or renovation) not exceeding INR 25,00,00,000/- (Indian Rupees Twenty Five Crores Only). The Target is engaged in the business of promoting, operating and managing the hotel, restaurants and the provisioning of hospitality services in respect of the hotel premises known as Itmenaan Estate situated at Village: Naugaon, Tehsil: Bhanoli, District Almora, Uttarakhand, which is a part of RARE India.
2026-07-29Board Meeting Quarterly Results & A.G.M.

Insider Trading

DatePersonCategoryTransaction TypeSharesValue (₹)
2026-06-08Manav ThadaniMarketBuy60,000

Sector Overview

HospitalityHotel, Resort & Restaurants

Samhi Hotels Ltd. operates in the Hospitality sector under the Hotel, Resort & Restaurants industry. This sector is one of the key drivers of the Indian economy and is closely tracked by the relevant Nifty sectoral index.

Company Profile

Corporate information and contact details

Company Information

Industry

Hotel, Resort & Restaurants

Founded

2010

Headquarters

New Delhi, Delhi

Group

Private

Chairman

Ashish Jakhanwala

Managing Director

Ashish Jakhanwala

Company Secretary

Sanjay Jain

Face Value

₹1

CIN

L55101DL2010PLC211816

Key Management

9 members across the board and senior leadership

Sanjay Jain

Senior Director - Corporate Affairs, Company Secretary and Compliance Officer

Ashish Jakhanwala

Chairman, Managing Director & Chief Executive Officer

Manav Thadani

Non Independent & Non Executive Director

Ajish Abraham Jacob

Non Independent & Non Executive Director

Aditya Jain

Non Executive Independent Director

Archana Capoor

Non Executive Independent Director

Michael David Holland

Non Executive Independent Director

Michael Holland

Non Executive Independent Director

Krishan Dhawan

Non Executive Independent Director

SAMHI Latest News

SAMHI

₹160.75

+5.86%