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CORPORATE INFORMATION   
UHM Vacation Ltd
Industry :  Travel Agencies
BSE Code
ISIN Demat
Book Value()
544779
INE0YZ901011
60.7183235
NSE Symbol
P/E(TTM)
Mar.Cap( Cr.)
N.A
327.79
30.5
EPS(TTM)
Face Value()
Div & Yield %
0.14
10
0
Detailed Quotes
BSE
Last Price() 50.47 arrowupp
Jul 02,2026 EOD
Today's Change( ) 4.58 (9.98%) arrowupp
Open( ) 44.00
Prev Close( ) 45.89
Volume 188,000.00
Today's Range( ) 50.47 - 44.00
52-Week Range( ) 132.80 - 44.00
Buy (Size) N.A
Sell (Size) N.A
Company Background
Incorporation Year 2009
Registered Office C 715 Dattani Plaza Safed Pool,Saki Naka Andheri (East),
Mumbai,
Maharashtra-400072
Telephone 022-4607 9484
Fax NA
Chairman NA
Managing Director NA
Company Secretary NA
Auditor S C Mehra & Associates LLP
Face Value 10
Market Lot 800
Listing BSE - SMEBSE - SME
Registrar MUFG Intime India Pvt Ltd
C-101 247 Park,L B S Marg,Vikhroli West,Mumbai-400083
Board of Directors
No Data Found..!
Balance Sheet
Particulars (Sources Of Funds)Mar 2022
( Cr)
Mar 2021
( Cr)
Mar 2020
( Cr)
Share Capital 0.110.110.11
Reserves Total 0.900.810.79
Equity Share Warrants0.000.000.00
Equity Application Money0.000.000.00
Total Shareholders Funds1.010.920.90
Secured Loans 0.020.100.20
Unsecured Loans 0.000.090.08
Total Debt0.020.190.28
Other Liabilities0.000.000.00
Total Liabilities1.031.111.18
APPLICATION OF FUNDS :
Gross Block 1.471.461.46
Less : Accumulated Depreciation 0.750.690.63
Less:Impairment of Assets0.000.000.00
Net Block 0.720.770.83
Lease Adjustment0.000.000.00
Capital Work in Progress0.000.000.00
Producing Properties0.000.000.00
Investments 0.000.000.00
Current Assets, Loans & Advances
Inventories 0.000.000.00
Sundry Debtors 0.810.471.97
Cash and Bank Balance1.050.400.72
Loans and Advances 0.000.000.00
Total Current Assets1.860.872.69
Less : Current Liabilities and Provisions
Current Liabilities 1.480.492.32
Provisions 0.020.010.00
Total Current Liabilities & Provisions1.500.502.32
Net Current Assets0.360.370.37
Miscellaneous Expenses not written off 0.000.000.00
Deferred Tax Assets0.000.000.00
Deferred Tax Liability0.050.050.05
Net Deferred Tax-0.05-0.05-0.05
Other Assets0.000.020.03
Total Assets1.031.111.18
Contingent Liabilities0.330.330.33
Profit and Loss
Particulars(INCOME)Mar 2022
( Cr)
Mar 2021
( Cr)
Mar 2020
( Cr)
Sales Turnover 10.910.928.31
Excise Duty0.010.000.00
Net Sales10.900.928.31
Other Income 0.020.010.04
Stock Adjustments 0.000.000.00
Total Income10.920.938.35
EXPENDITURE :
Raw Materials 0.000.000.00
Power & Fuel Cost0.020.020.01
Employee Cost 0.380.210.61
Other Manufacturing Expenses 10.130.547.43
Selling & Administrative Expenses 0.130.040.11
Miscellaneous Expenses 0.050.010.01
Less : Pre-operative Expenses Capitalised 0.000.000.00
Total Expenditure10.710.828.17
Operating Profit0.210.110.18
Interest 0.050.030.07
Gross Profit0.160.080.11
Depreciation0.050.060.07
Profit Before Tax0.110.020.04
Tax0.020.000.01
Fringe Benefit tax0.000.000.00
Deferred Tax0.000.000.01
Reported Net Profit0.090.020.02
Extraordinary Items 0.000.000.00
Adjusted Net Profit0.090.020.02
Adjustment below Net Profit 0.000.000.00
P & L Balance brought forward0.810.790.77
Statutory Appropriations0.000.000.00
Appropriations 0.000.000.00
P & L Balance carried down0.900.810.79
Dividend0.000.000.00
Preference Dividend0.000.000.00
Equity Dividend %0.000.000.00
Dividend Per Share(Rs)0.000.000.00
Earnings Per Share-Unit Curr8.181.821.82
Earnings Per Share(Adj)-Unit Curr8.181.821.82
Book Value-Unit Curr91.8283.6481.82
Book Value(Adj)-Unit Curr91.8283.6481.82
Quarterly Results
 
Quarters
Financial Ratios
   ParticularsMar 2022Mar 2021
Debt-Equity Ratio0.110.26
Long Term Debt-Equity Ratio0.030.08
Current Ratio1.211.10
Fixed Assets7.450.63
Inventory0.000.00
Debtors17.050.75
Interest Cover Ratio3.201.67
PBIDTM (%)1.9211.96
PBITM (%)1.475.43
PBDTM (%)1.478.70
CPM (%)1.288.70
APATM (%)0.822.17
ROCE (%)14.954.37
RONW (%)9.332.20
Share Price
Year High () Low () Close () P/E High P/E Low P/E Close Mkt Cap.( In Cr.)
Jun 2026 132.80 50.95 50.95 0.00 0.00 0.00 33.86

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