Sagar Cements Ltd - Stock Price

As on22 Oct 2021
  • NSE : SAGCEM
  • BSE : 502090
  • ISIN CODE : INE229C01021
  • Industry : Cement & Construction Materials
  • House : Priyadarshini
Sagar Cements Ltd is not traded on BSE/NSE
NSE
287.35
-0.45 %-1.3
BSE
288.35
+1.07 %+3.05

Profit & Loss

Parameter MAR 21  MAR 20  YoY %Change
Gross Sales13713.2011751.5016.69
     Sales13493.7011609.0016.23
     Job Work/ Contract ReceiptsNANANA
     Processing Charges / Service IncomeNANANA
     Revenue from property developmentNANANA
     Other Operational Income219.50142.5054.04
Less: Excise DutyNANANA
Net Sales13713.2011751.5016.69
EXPENDITURE :NANANA
Increase/Decrease in Stock223.60-98.20327.70
Raw Material Consumed2173.802371.00-8.32
     Opening Raw Materials111.7097.1015.04
     Purchases Raw Materials2030.002061.90-1.55
     Closing Raw Materials170.70111.7052.82
     Other Direct Purchases / Brought in cost202.80323.70-37.35
     Other raw material cost0.000.000.00
Power & Fuel Cost3116.003555.20-12.35
     Electricity & Power2614.303091.80-15.44
     Oil, Fuel & Natural gas0.000.000.00
     Coals etc501.70463.408.26
     Other power & fuel0.000.000.00
Employee Cost763.60648.7017.71
     Salaries, Wages & Bonus687.40537.6027.86
     Contributions to EPF & Pension Funds60.4058.103.96
     Workmen and Staff Welfare Expenses54.0063.30-14.69
     Other Employees Cost-38.20-10.30-270.87
Other Manufacturing Expenses587.90584.800.53
     Sub-contracted / Out sourced servicesNANANA
     Processing ChargesNANANA
     Repairs and Maintenance303.30282.407.40
     Packing Material ConsumedNANANA
     Other Mfg Exp284.60302.40-5.89
General and Administration Expenses208.30226.40-7.99
     Rent , Rates & Taxes30.3039.10-22.51
     Insurance21.8016.2034.57
     Printing and stationery3.703.505.71
     Professional and legal fees60.6060.300.50
     Traveling and conveyance21.9041.40-47.10
     Other Administration91.90107.30-14.35
Selling and Distribution Expenses2595.902519.403.04
     Advertisement & Sales PromotionNANANA
     Sales Commissions & IncentivesNANANA
     Freight and Forwarding2342.202237.504.68
     Handling and Clearing Charges0.000.000.00
     Other Selling Expenses253.70281.90-10.00
Miscellaneous Expenses78.2099.30-21.25
     Bad debts /advances written offNANANA
     Provision for doubtful debts8.5027.80-69.42
     Losson disposal of fixed assets(net)NANANA
     Losson foreign exchange fluctuationsNA24.40NA
     Losson sale of non-trade current investmentsNANANA
     Other Miscellaneous Expenses69.7047.1047.98
Less: Expenses CapitalisedNANANA
Total Expenditure9747.309906.60-1.61
Operating Profit (Excl OI)3965.901844.90114.97
Other Income116.3050.40130.75
     Interest Received0.000.000.00
     Dividend ReceivedNANANA
     Profit on sale of Fixed Assets5.003.3051.52
     Profits on sale of InvestmentsNANANA
     Provision Written Back4.605.20-11.54
     Foreign Exchange Gains33.30NANA
     Others73.4041.9075.18
Operating Profit4082.201895.30115.39
Interest465.60609.90-23.66
     InterestonDebenture / BondsNANANA
     Interest on Term LoanNANANA
     Intereston Fixed deposits23.2027.30-15.02
     Bank Charges etc70.3081.80-14.06
     Other Interest372.10500.80-25.70
PBDT3616.601285.40181.36
Depreciation805.50788.702.13
Profit Before Taxation & Exceptional Items2811.10496.70465.96
Exceptional Income / ExpensesNANANA
Profit Before Tax2811.10496.70465.96
Provision for Tax955.10231.40312.75
     Current Income Tax661.0085.00677.65
     Deferred Tax294.10231.4027.10
     Other taxes588.20377.8055.69
Profit After Tax1856.00265.30599.59
Extra itemsNANANA
Minority Interest4.201.80133.33
Share of AssociateNANANA
Other Consolidated ItemsNANANA
Consolidated Net Profit1860.20267.10596.44
Adjustments to PATNANANA
Profit Balance B/F4328.304122.704.99
Appropriations6188.504389.8040.97
     General ReservesNANANA
     Proposed Equity DividendNANANA
     Corporate dividend taxNANANA
     Other Appropriation152.8061.50148.46
Equity Dividend %65.0025.00160.00
Earnings Per Share79.0012.00558.33
Adjusted EPS16.002.00700.00

About Sagar Cements Ltd.

Sagar Cements Ltd. was incorporated in the year 1981. Its today's share price is 288.35. Its current market capitalisation stands at Rs 3388.11 Cr. In the latest quarter, company has reported Gross Sales of Rs. 10017 Cr and Total Income of Rs.10225.7 Cr. The company's management includes O Rekha, R Soundararajan, Jens Van Nieuwenborgh, N Sudha Rani, V H Ramakrishnan, S Rachana, S Sreekanth Reddy, S Anand Reddy, K Thanu Pillai.

It is listed on the BSE with a BSE Code of 502090 , NSE with an NSE Symbol of SAGCEM and ISIN of INE229C01021. It's Registered office is at Plot No.111,Road No.10,Jubilee HillsHyderabad-500033, Telangana. Their Registrars are ACC Ltd. It's auditors are Deloitte Haskins & Sells, Deloittee Haskins & Sells, P Srinivasan & Co

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