Anjani Portland Cement Limited (APCL)
ISIN: - Industry: Building Materials Sector: Basic Materials Website
193.9
10.95(5.99%)

Anjani Portland Cement Limited engages in the manufacture and trading of cement in India. It operates through Cement and Power Plant segments. The company offers ordinary Portland, rapid hardening Portland, Portland Pozollana, and composite cement. It is also involved in the power generation activities. The company was formerly known as Shez Cement Limited and changed its name to Anjani Portland Cement Limited in October 1999. The company was incorporated in 1983 and is based in Hyderabad, India. Anjani Portland Cement Limited is a subsidiary of Chettinad Cement Corporation Private Limited.

Pricing Updates

TODAY'S HIGH

193.9

TODAY'S LOW

183.25

52 WEEK HIGH

531.95

52 WEEK LOW

181.55

Major Holders

% of Shares Held by
All Insider

79.89%

% of Shares Held by
Institutions

0.00%

% of Float Held by
Institutions

0.00%

Number of Institutions
Holding Shares

0

Company Overview

MARKET CAP

490.28 Cr.

ETERPRISE VALUE

976.18 Cr.

NO. OF SHARES

2.52 Cr.

BOOK VALUE

125.889

DIV. YIELD

5%

DEBT

500.89 Cr.

GROSS PROFIT

371.84 Cr.

CASH

12.76 Cr.

REVENUE

801.25 Cr.

REVENUE/SHARE

316.883

OHLC Chart 1y 2y 5y 10y

Price Chart

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Volumes Chart

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Cashflows

ParticularsMar 2022Mar 2021Mar 2020Mar 2019
Investments-506.40 Cr.-114.58 Cr.-50.06 Cr.-12.50 Cr.
Change To Liabilities-9.54 Cr.-6.89 Cr.-2.89 Cr.9.77 Cr.
Total cashflows from Investing Activities-512.39 Cr.-117.58 Cr.-54.55 Cr.-5.65 Cr.
Net Borrowings484.28 Cr.-88 Lakhs-72 Lakhs-35.76 Cr.
Total Cash from Financing Activities409.76 Cr.-13.70 Cr.-8.53 Cr.-43.55 Cr.
Other Liabilities18.21 Cr.2.05 Cr.-6.71 Cr.7.55 Cr.
Total Assets0000
Net Income41.42 Cr.84.98 Cr.40.35 Cr.23.16 Cr.
Change in Cash-4.09 Cr.6.29 Cr.-10.24 Cr.2.35 Cr.
Effect of Exchange Rate0000
Total Cash from Operating Activities98.54 Cr.137.57 Cr.52.84 Cr.51.55 Cr.
Depreciation58.37 Cr.20.26 Cr.20.02 Cr.19.10 Cr.
Other Cashflows from Investing Activities43 Lakhs73 Lakhs-17 Lakhs-57 Lakhs
Dividends Paid-12.64 Cr.-12.64 Cr.-6.32 Cr.-5.06 Cr.
Change to Inventory-6.59 Cr.12.23 Cr.-3.42 Cr.-5.25 Cr.
Change to Account Receivables-22.09 Cr.26.98 Cr.-7.98 Cr.-11.52 Cr.
Other Cashflows from Financing Activities-21.88 Cr.-18 Lakhs-1.49 Cr.-2.73 Cr.
Change to Net Income18.76 Cr.-2.04 Cr.13.45 Cr.8.71 Cr.
Capital Expenditures-7.03 Cr.-3.75 Cr.-4.32 Cr.-4.99 Cr.

Financials

ParticularsMar 2022Mar 2021Mar 2020Mar 2019
Research DevelopmentNoneNoneNoneNone
Effect of Accounting ChargesNoneNoneNoneNone
Income Before Tax58.77 Cr.101.52 Cr.63.56 Cr.36.65 Cr.
Minority Interest3.33 Cr.3.33 Cr.3.33 Cr.3.33 Cr.
Net Income85.68 Cr.98.35 Cr.59.94 Cr.37.25 Cr.
Selling General Administrative145.74 Cr.89.36 Cr.92.26 Cr.117.08 Cr.
Gross Profit371.84 Cr.237.51 Cr.202.52 Cr.211.42 Cr.
Ebit85.68 Cr.98.35 Cr.59.94 Cr.37.25 Cr.
Operating Income85.68 Cr.98.35 Cr.59.94 Cr.37.25 Cr.
Other Operating Expenses82.05 Cr.28.08 Cr.30.28 Cr.37.94 Cr.
Interest Expense-30.01 Cr.-65 Lakhs-33 Lakhs-1.72 Cr.
Extraordinary ItemsNoneNoneNoneNone
Non RecurringNoneNoneNoneNone
Other ItemsNoneNoneNoneNone
Income Tax Expense16.78 Cr.16.54 Cr.23.21 Cr.13.49 Cr.
Total Revenue801.26 Cr.407.20 Cr.408.93 Cr.437.47 Cr.
Total Operating Expenses715.58 Cr.308.85 Cr.348.99 Cr.400.22 Cr.
Cost of Revenue429.42 Cr.169.69 Cr.206.41 Cr.226.05 Cr.
Total Other Income Expense Net-26.91 Cr.3.17 Cr.3.62 Cr.-60 Lakhs
Discontinued OperationsNoneNoneNoneNone
Net Income from Continuous Ops.41.99 Cr.84.98 Cr.40.35 Cr.23.16 Cr.
Net Income Applicable to Common Shares41.42 Cr.84.98 Cr.40.35 Cr.23.16 Cr.

Balance Sheet

ParticularsMar 2022Mar 2021Mar 2020Mar 2019
Intangible Assets81.30 Cr.1 Lakh1 Lakh3 Lakhs
Capital Surplus068.10 Cr.68.10 Cr.68.10 Cr.
Total Liabilities794.95 Cr.119.53 Cr.118.11 Cr.116.69 Cr.
Stock Holder Equity318.32 Cr.346.31 Cr.273.92 Cr.241.65 Cr.
Minority Interest3.33 Cr.000
Other Liabilities127.72 Cr.41.09 Cr.28.20 Cr.29.99 Cr.
Total Assets1116.60 Cr.465.84 Cr.392.03 Cr.358.34 Cr.
Common Stock25.29 Cr.25.29 Cr.25.29 Cr.25.29 Cr.
Retained Earnings0252.92 Cr.180.53 Cr.148.26 Cr.
Other Liabilities112.38 Cr.26.22 Cr.39.30 Cr.30.17 Cr.
Good Will239.22 Cr.000
Treasury Stock293.03 Cr.000
Other Assets30.59 Cr.5.64 Cr.5.63 Cr.4.43 Cr.
Cash13.58 Cr.9.32 Cr.2.83 Cr.13.05 Cr.
Current Liabilities304.45 Cr.91.22 Cr.77.14 Cr.86.52 Cr.
Long Term Asset Charges0000
Short Long Term Debt0000
Other Stockholder Equity293.03 Cr.000
Property Plant Equipment603.83 Cr.202.91 Cr.221.49 Cr.235.49 Cr.
Total Cur. Assets161.66 Cr.257.28 Cr.164.90 Cr.118.39 Cr.
Long Term Investments0000
Net Tangible Assets-2.20 Cr.346.30 Cr.273.91 Cr.241.62 Cr.
Short Term Investments0177.08 Cr.62.52 Cr.12.50 Cr.
Net Receivables62.56 Cr.26.34 Cr.51.40 Cr.41.50 Cr.
Long Term Debt375 Cr.000
Inventory49.25 Cr.27.73 Cr.39.96 Cr.36.54 Cr.
Accounts Payable53.58 Cr.23.28 Cr.30.17 Cr.33.06 Cr.

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