HBGHOTELS.BO · BSE

HBG HOTELS LIMITED

₹71

-3.36% (-₹2.47)

Prev. close

₹73.47

Volume

6,997

As of

BSE · may be slightly delayed · 13:49 IST

Price history

₹73.47-₹18.03 (-19.70%) · 3M
23 Jun 2026 → 24 Sept 2026
₹95.95₹65.4623 Jun16 Jul10 Aug01 Sept24 Sept
Daily closes · updates after each session

No analyst calls on this stock in the last 90 days yet.

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Analyst opinions

No analyst calls on HBG HOTELS LIMITED in the last 90 days.

Fundamentals

About HBG HOTELS LIMITED

HBG HOTELS LIMITED owns and operates hotels and resorts in India. The company operates the Phoenix Island Resort located in Poovar, Kerala; the Phoenix Castle House located in Palolem, Goa; and the Park Inn by Radisson located in Candolim, Goa. HBG HOTELS LIMITED was formerly known as Phoenix Township Limited and changed its name to HBG HOTELS LIMITED in November 2025. The company was incorporated in 1993 and is headquartered in Mumbai, India.

Details

Sector

Consumer Cyclical

Industry

Lodging

CEO

Mr. Samit Prafulla Hede

Headquarters

Mumbai

Employees

157

Key stats

Market cap

₹150.76 Cr

P/E ratio (TTM)

54.4

Dividend yield

0.41%

EPS (TTM)

₹1.35

Beta (1Y · daily vs NIFTY 50)

1.11

Beta (5Y · monthly vs NIFTY 50)

2.08

Shares float

45.62 L

EPS · quarter ended Jun 2026

₹0.12

Financial Performance

01 · Financials

-200 Cr0 Cr200 Cr400 Cr₹-100%-50%0%50%100%FY21FY22FY23FY24FY25FY26
RevenueNet incomeEBITDARevenue growth YoY

Revenue for Mar 2021–Mar 2022 is as filed with BSE (standalone), and the first plotted growth figure is computed against Mar 2020 revenue as filed with BSE; the two sources' revenue definitions differ by 0.1% on Mar 2023. FY21 growth needs FY20 filings, which the data source doesn't provide.

02 · Earnings Per Share (EPS)

050100150₹FY23FY24FY25FY26

03 · Dividend Profile

0000₹-100%-50%0%50%06 Sept 2406 Dec 2422 Sept 2515 May 26
Dividend (₹/share)Annualised yieldAnnual dividend growth (FY)

Growth compares completed fiscal-year dividend totals on the company's own calendar: April–March (Indian FY), taken from its reported period-ends. Payout ledger: Yahoo (no NSE corporate-actions ledger for this listing).

04 · Operating Efficiency (Growth Rates)

Balance-sheet-based · pre-FY23 not filed in verifiable form

-250%0%250%500%FY21FY22FY23FY24FY25FY26
SalesFixed assetsTrade receivablesInventory

05 · Capital Structure & Asset Utilization

Pre-FY23 not filed in verifiable form

0 Cr200 Cr400 Cr600 Cr800 Cr₹0×0.5×1×1.5×FY23FY24FY25FY26
Total assetsTotal debtDebt / equityAsset turnover

Asset turnover needs a prior year of assets — omitted for the earliest available year.

06 · Asset Base Composition

Pre-FY23 not filed in verifiable form

0 Cr200 Cr400 Cr600 Cr800 Cr₹FY21FY22FY23FY24FY25FY26
Fixed assetsCurrent assetsOther assets

07 · Debt Level & Coverage

Pre-FY23 not filed in verifiable form

-200 Cr0 Cr200 Cr400 Cr₹FY21FY22FY23FY24FY25FY26
DebtFree cash flowCash & equivalents

08 · Profit & Loss

Annual

Line itemFY21FY22FY23FY24FY25FY26
₹9.33 Cr₹15.88 Cr₹25.83 Cr₹27.46 Cr₹28.59 Cr₹28.08 Cr
EBITDA₹1.77 Cr₹3.57 Cr₹4.68 Cr₹200.58 Cr₹61.00 Cr₹7.23 Cr
₹-1.74 Cr₹28.70 L₹67.90 L₹196.41 Cr₹56.10 Cr₹2.76 Cr
Diluted EPS——₹0.5₹140.45₹30.26₹1.35

Depreciation & amortisation, Pretax income, Tax provision, Interest expense, Diluted EPS have filed figures for only some of the years shown — the missing years are left blank rather than estimated.

09 · Balance Sheet

Annual

Line itemFY21FY22FY23FY24FY25FY26
——₹49.01 Cr₹462.31 Cr₹711.46 Cr₹794.50 Cr
——₹16.72 Cr₹233.87 Cr₹302.44 Cr₹362.11 Cr
Stockholders' equity——₹24.42 Cr₹220.82 Cr₹350.07 Cr₹373.69 Cr

Total assets, Current assets, Trade receivables, Cash & equivalents, Non-current assets, Fixed assets, Total debt, Long-term debt, Current (short-term) debt, Others, Stockholders' equity have filed figures for only some of the years shown — the missing years are left blank rather than estimated.

Annual only — the data source doesn’t publish quarterly balance-sheet detail for most NSE-listed companies.

10 · Cash Flow Statement

Annual

Line itemFY21FY22FY23FY24FY25FY26
——₹2.29 Cr₹25.03 Cr₹-61.26 Cr₹-33.14 Cr
Investing cash flow——₹-3.61 Cr₹-237.91 Cr₹-100.91 Cr₹-51.64 Cr
Financing cash flow——₹1.01 Cr₹214.71 Cr₹190.28 Cr₹77.83 Cr
Capital expenditure——₹-3.18 Cr₹-215.08 Cr₹-105.97 Cr₹-26.50 Cr
End cash position——₹31.00 L₹2.13 Cr₹30.24 Cr₹23.29 Cr

Operating cash flow, Depreciation & amortization, Change in working capital, Investing cash flow, Financing cash flow, Capital expenditure, End cash position have filed figures for only some of the years shown — the missing years are left blank rather than estimated.

Annual only — the data source has no quarterly cash-flow-statement coverage.

12 · Peer Comparison

Consumer Cyclical

Company
Titan Company Limited₹4.33 L Cr₹4,832.575.327.5732.3%1.95+44.8%+41.4%
Maruti Suzuki India Limited₹3.85 L Cr₹11,99026.83.5913.7%0.00+20.1%-26.2%
Mahindra & Mahindra Limited₹3.64 L Cr₹2,982.718.53.9118.4%1.44+24.1%-16.6%
ETERNAL LIMITED₹3.15 L Cr₹335.5761.410.181.2%0.15+168.6%-0.1%
Bajaj Auto Limited₹3.13 L Cr₹11,20827.18.0727.7%0.58+22.6%+26.8%
Eicher Motors Limited₹2.04 L Cr₹7,338.535.48.1322.0%0.02+23.9%+4.7%
TVS Motor Company Limited₹1.97 L Cr₹4,09157.420.5531.6%3.43+29.2%+18.5%
Samvardhana Motherson International Limited₹1.73 L Cr₹162.539.54.229.4%0.47+11.1%+50.5%
Hyundai Motor India Limited₹1.70 L Cr₹2,060.634.58.5027.1%0.05+2.1%-25.2%
Tata Motors Limited₹1.61 L Cr₹437.1537.512.6423.8%0.44+44.3%—
Trent Limited₹1.48 L Cr₹2,70082.021.1824.6%0.37+17.6%-44.9%
HBG HOTELS LIMITED₹151.58 Cr₹73.8754.70.410.7%0.97-1.8%—

Ranked by market cap within Consumer Cyclical, same metrics as the Fundamentals screener. Click a column to sort.

Documents

HBGHOTELS.BO

HBG Hotels consolidated net profit rises 18.18% in the June 2026 quarter

Business Standard · 1 month ago