How has been the historical performance of Howard Hotels?

Oct 28 2025 10:48 PM IST
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Howard Hotels has shown significant growth in net sales, increasing from 1.72 Cr in Mar'21 to 16.16 Cr in Mar'25, while total operating income rose from 4.31 Cr in Mar'22 to the same figure. However, profitability metrics like profit before tax and profit after tax declined in Mar'25, and total liabilities and assets slightly decreased to 19.30 Cr.
Answer:
The historical performance of Howard Hotels shows a significant increase in net sales over the years, rising from 1.72 Cr in Mar'21 to 16.16 Cr in Mar'25. Total operating income has followed a similar upward trend, reaching 16.16 Cr in Mar'25 from just 4.31 Cr in Mar'22. The company has seen fluctuations in operating profit, with a notable operating profit of 1.97 Cr in Mar'25, although it was lower at 1.86 Cr in Mar'24. Profit before tax has also varied, with a profit of 0.57 Cr in Mar'25 compared to 1.28 Cr in Mar'24. The profit after tax was 0.43 Cr in Mar'25, down from 0.95 Cr in Mar'24. The earnings per share (EPS) decreased to 0.47 in Mar'25 from 1.04 in Mar'24. Total liabilities have slightly decreased from 19.60 Cr in Mar'24 to 19.30 Cr in Mar'25, while total assets also saw a decline from 19.60 Cr to 19.30 Cr in the same period. Cash flow from operating activities remained stable at 2.00 Cr in both Mar'25 and Mar'24.

Breakdown:
Howard Hotels has demonstrated a robust growth trajectory in net sales, which increased from 1.72 Cr in Mar'21 to 16.16 Cr in Mar'25, reflecting a strong recovery and expansion in operations. Total operating income mirrored this growth, reaching 16.16 Cr in Mar'25, up from 4.31 Cr in Mar'22. Operating profit showed some volatility, peaking at 1.97 Cr in Mar'25, although profit before tax decreased to 0.57 Cr in the same year from 1.28 Cr in Mar'24. Profit after tax also declined to 0.43 Cr in Mar'25 from 0.95 Cr in Mar'24, while EPS fell to 0.47 from 1.04. On the balance sheet, total liabilities decreased slightly to 19.30 Cr in Mar'25, and total assets also fell to 19.30 Cr, indicating a tightening of financial resources. Cash flow from operating activities remained consistent at 2.00 Cr for both Mar'25 and Mar'24, suggesting stable operational cash generation despite the fluctuations in profitability.
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