Gujarat Sidhee Cement Limited (GSCLCEMENT)
ISIN: INE542A01039 Industry: Building Materials Sector: Basic Materials Website
40.6
0.9(2.27%)

Gujarat Sidhee Cement Limited manufactures and sells cement and clinker in India. The company offers OPC and Portland pozzolana cement under the Sidhee brand name. It also exports its products. The company was incorporated in 1973 and is based in Mumbai, India. Gujarat Sidhee Cement Limited is a subsidiary of Bhadra Textiles and Trading Private Limited.

Pricing Updates

TODAY'S HIGH

40.95

TODAY'S LOW

40.05

52 WEEK HIGH

62.55

52 WEEK LOW

37.1

Major Holders

% of Shares Held by
All Insider

71.71%

% of Shares Held by
Institutions

0.00%

% of Float Held by
Institutions

0.00%

Number of Institutions
Holding Shares

0

Company Overview

MARKET CAP

362.39 Cr.

ETERPRISE VALUE

326.47 Cr.

NO. OF SHARES

8.92 Cr.

BOOK VALUE

57.349

DIV. YIELD

1%

DEBT

39.19 Cr.

GROSS PROFIT

444.78 Cr.

CASH

75.10 Cr.

REVENUE

694.86 Cr.

REVENUE/SHARE

78.275

OHLC Chart 1y 2y 5y 10y

Price Chart

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Volumes Chart

1d 1w 1m 3m 6m 1Yr 2Yr 5Yr

Cashflows

ParticularsMar 2021Mar 2020Mar 2019Mar 2018
Investments2.28 Lakhs2.28 Lakhs2.28 Lakhs3.90 Cr.
Change To Liabilities-7.47 Cr.-21.36 Cr.8.71 Cr.-10.32 Cr.
Total cashflows from Investing Activities-6.18 Cr.-7.80 Cr.-5.51 Cr.-39.76 Cr.
Net Borrowings-7.23 Cr.-10.63 Cr.6.50 Cr.13.39 Cr.
Total Cash from Financing Activities-33.37 Cr.-33.82 Cr.1.15 Cr.9.58 Cr.
Other Liabilities9.55 Lakhs4.58 Cr.1.38 Cr.1.92 Cr.
Total Assets13.14 Lakhs1.15 Cr.75.99 Lakhs75.99 Lakhs
Net Income30.54 Cr.44.83 Cr.-5.86 Cr.44.92 Cr.
Change in Cash2.12 Cr.1.05 Cr.-6.68 Cr.6.03 Cr.
Effect of Exchange Rate0000
Total Cash from Operating Activities41.69 Cr.42.69 Cr.-2.32 Cr.36.22 Cr.
Depreciation10.48 Cr.10.72 Cr.9.74 Cr.9.40 Cr.
Other Cashflows from Investing Activities1.72 Cr.2.40 Cr.1.36 Cr.1.41 Cr.
Dividends Paid0-8.74 Cr.-8.74 Cr.-8.74 Cr.
Change to Inventory-9.02 Cr.-4.93 Cr.-11.92 Cr.10.17 Cr.
Change to Account Receivables3.51 Cr.-7.53 Cr.-1.67 Cr.-3.03 Cr.
Other Cashflows from Financing Activities-26.27 Cr.-15.60 Cr.-6.11 Cr.-3.80 Cr.
Change to Net Income13.47 Cr.16.31 Cr.-2.76 Cr.-16.96 Cr.
Capital Expenditures-8.63 Cr.-10.71 Cr.-9.03 Cr.-45.79 Cr.

Financials

ParticularsMar 2021Mar 2020Mar 2019Mar 2018
Research DevelopmentNoneNoneNoneNone
Effect of Accounting ChargesNoneNoneNoneNone
Income Before Tax48.66 Cr.67.37 Cr.-11.41 Cr.43.80 Cr.
Minority InterestNoneNoneNoneNone
Net Income45.64 Cr.69.40 Cr.-12.75 Cr.30.29 Cr.
Selling General Administrative53.78 Cr.54.32 Cr.52.21 Cr.46.31 Cr.
Gross Profit444.78 Cr.484.49 Cr.448.19 Cr.431.69 Cr.
Ebit45.64 Cr.69.40 Cr.-12.75 Cr.30.29 Cr.
Operating Income45.64 Cr.69.40 Cr.-12.75 Cr.30.29 Cr.
Other Operating Expenses334.88 Cr.350.03 Cr.398.98 Cr.345.55 Cr.
Interest Expense-4.37 Cr.-6.73 Cr.-6.40 Cr.-3.40 Cr.
Extraordinary ItemsNoneNoneNoneNone
Non RecurringNoneNoneNoneNone
Other ItemsNoneNoneNoneNone
Income Tax Expense18.11 Cr.22.53 Cr.-5.54 Cr.-1.12 Cr.
Total Revenue565.69 Cr.584.75 Cr.563.23 Cr.536.34 Cr.
Total Operating Expenses520.05 Cr.515.35 Cr.575.99 Cr.506.04 Cr.
Cost of Revenue120.90 Cr.100.25 Cr.115.04 Cr.104.65 Cr.
Total Other Income Expense Net3.02 Cr.-2.03 Cr.1.34 Cr.13.50 Cr.
Discontinued OperationsNoneNoneNoneNone
Net Income from Continuous Ops.30.54 Cr.44.83 Cr.-5.86 Cr.44.92 Cr.
Net Income Applicable to Common Shares30.54 Cr.44.83 Cr.-5.86 Cr.44.92 Cr.

Balance Sheet

ParticularsMar 2021Mar 2020Mar 2019Mar 2018
Intangible Assets89.49 Lakhs13.23 Lakhs12.89 Lakhs5.44 Lakhs
Capital Surplus5.03 Cr.3.10 Cr.1.83 Cr.0
Total Liabilities235.70 Cr.240.84 Cr.255.48 Cr.247.36 Cr.
Stock Holder Equity454.93 Cr.375.63 Cr.364.56 Cr.395 Cr.
Minority Interest0000
Other Liabilities31.62 Cr.32.09 Cr.27.07 Cr.35.58 Cr.
Total Assets690.63 Cr.616.47 Cr.620.04 Cr.642.36 Cr.
Common Stock88.20 Cr.87.42 Cr.86.91 Cr.86.15 Cr.
Retained Earnings310.29 Cr.279.71 Cr.245.74 Cr.252.04 Cr.
Other Liabilities66.44 Cr.57.28 Cr.46.44 Cr.52.16 Cr.
Good Will0000
Treasury Stock51.39 Cr.5.38 Cr.30.07 Cr.56.79 Cr.
Other Assets3.69 Cr.9.90 Cr.11.82 Cr.17.75 Cr.
Cash5.99 Cr.3.86 Cr.2.81 Cr.9.49 Cr.
Current Liabilities156.35 Cr.160.65 Cr.183.92 Cr.162.60 Cr.
Long Term Asset Charges0000
Short Long Term Debt8.47 Cr.8.89 Cr.7.67 Cr.8.10 Cr.
Other Stockholder Equity51.39 Cr.5.38 Cr.30.07 Cr.56.79 Cr.
Property Plant Equipment416.11 Cr.420.48 Cr.418.48 Cr.421.50 Cr.
Total Cur. Assets183.30 Cr.147.40 Cr.124.61 Cr.108.06 Cr.
Long Term Investments86.62 Cr.38.54 Cr.64.99 Cr.94.98 Cr.
Net Tangible Assets454.03 Cr.375.50 Cr.364.43 Cr.394.94 Cr.
Short Term Investments37.04 Cr.6.07 Cr.1.25 Cr.6.88 Lakhs
Net Receivables20.01 Cr.23.44 Cr.15.68 Cr.13.97 Cr.
Long Term Debt12.67 Cr.20.96 Cr.25.11 Cr.32.59 Cr.
Inventory71.78 Cr.62.76 Cr.57.83 Cr.45.90 Cr.
Accounts Payable48.11 Cr.61.60 Cr.86.07 Cr.71.51 Cr.

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