Sagar Cements Limited (SAGCEM)
ISIN: INE229C01021 Industry: Building Materials Sector: Basic Materials Website
217.45
3.0(1.4%)

Sagar Cements Limited engages in the manufacturing and selling of cement in India. It operates through Cement Manufacturing and Power Generation segments. The company offers various cements, such as ordinary Portland, Portland Pozzolana, sulphate resisting Portland, and Portland slag cements, as well as ground granulated blast furnace slag under the Sagar brand. It also operates waste heat recovery, solar power, hydro power, and thermal power plants. Sagar Cements Limited was incorporated in 1981 and is based in Hyderabad, India.

Pricing Updates

TODAY'S HIGH

222

TODAY'S LOW

213.5

52 WEEK HIGH

317

52 WEEK LOW

154.57

Major Holders

% of Shares Held by
All Insider

76.38%

% of Shares Held by
Institutions

13.80%

% of Float Held by
Institutions

58.42%

Number of Institutions
Holding Shares

13

Company Overview

MARKET CAP

2842.24 Cr.

ETERPRISE VALUE

4026.39 Cr.

NO. OF SHARES

13.07 Cr.

BOOK VALUE

106.784

DIV. YIELD

0.5%

DEBT

919.43 Cr.

GROSS PROFIT

839.82 Cr.

CASH

128.11 Cr.

REVENUE

1512.80 Cr.

REVENUE/SHARE

125.97

OHLC Chart 1y 2y 5y 10y

Price Chart

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

Volumes Chart

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Cashflows

ParticularsMar 2021Mar 2020Mar 2019Mar 2018
Investments0-4.44 Cr.-4.44 Cr.28 Lakhs
Change To Liabilities5.91 Cr.10.86 Cr.68.99 Cr.-10.74 Cr.
Total cashflows from Investing Activities-476.59 Cr.-226.98 Cr.-186.82 Cr.-194 Cr.
Net Borrowings317.31 Cr.-24.11 Cr.39.70 Cr.-7.97 Cr.
Total Cash from Financing Activities321.66 Cr.9.92 Cr.30.73 Cr.-76.71 Cr.
Other Liabilities-10.32 Cr.10.60 Cr.-3.27 Cr.20.03 Cr.
Total Assets0000
Net Income186.02 Cr.26.71 Cr.13.59 Cr.26.26 Cr.
Change in Cash222.24 Cr.-15.01 Cr.-23.09 Cr.-120.78 Cr.
Effect of Exchange Rate0000
Total Cash from Operating Activities377.17 Cr.202.05 Cr.133 Cr.149.93 Cr.
Depreciation81.83 Cr.78.86 Cr.65.62 Cr.53.52 Cr.
Other Cashflows from Investing Activities-16.37 Cr.4.66 Cr.8.29 Cr.1.93 Cr.
Dividends Paid-15.28 Cr.-5.10 Cr.-3.71 Cr.-8.17 Cr.
Change to Inventory-8.48 Cr.29.21 Cr.-50.10 Cr.15.44 Cr.
Change to Account Receivables35.22 Cr.-20.03 Cr.-26.35 Cr.-12.74 Cr.
Other Cashflows from Financing Activities19.63 Cr.39.13 Cr.-5.26 Cr.-60.57 Cr.
Change to Net Income86.97 Cr.65.83 Cr.64.44 Cr.58.06 Cr.
Capital Expenditures-461.25 Cr.-227.86 Cr.-195.37 Cr.-196.49 Cr.

Financials

ParticularsMar 2021Mar 2020Mar 2019Mar 2018
Research DevelopmentNoneNoneNoneNone
Effect of Accounting ChargesNoneNoneNoneNone
Income Before Tax281.11 Cr.49.67 Cr.23.20 Cr.45.67 Cr.
Minority Interest53.51 Cr.53.93 Cr.53.93 Cr.53.93 Cr.
Net Income320.10 Cr.109.14 Cr.84.31 Cr.97.67 Cr.
Selling General Administrative311.91 Cr.290.09 Cr.313.98 Cr.53.50 Cr.
Gross Profit839.82 Cr.610.45 Cr.589.19 Cr.871.71 Cr.
Ebit320.10 Cr.109.14 Cr.84.31 Cr.97.67 Cr.
Operating Income320.10 Cr.109.14 Cr.84.31 Cr.97.67 Cr.
Other Operating Expenses127.26 Cr.132.35 Cr.125.20 Cr.666.92 Cr.
Interest Expense-39.53 Cr.-52.81 Cr.-54.99 Cr.-51.83 Cr.
Extraordinary ItemsNoneNoneNoneNone
Non RecurringNoneNoneNoneNone
Other ItemsNoneNoneNoneNone
Income Tax Expense95.51 Cr.23.14 Cr.9.61 Cr.19.41 Cr.
Total Revenue1371.32 Cr.1175.15 Cr.1217.55 Cr.1038.09 Cr.
Total Operating Expenses1051.22 Cr.1066.01 Cr.1133.24 Cr.940.42 Cr.
Cost of Revenue531.50 Cr.564.70 Cr.628.36 Cr.166.38 Cr.
Total Other Income Expense Net-38.99 Cr.-59.47 Cr.-61.11 Cr.-52 Cr.
Discontinued OperationsNoneNoneNoneNone
Net Income from Continuous Ops.185.60 Cr.26.53 Cr.13.59 Cr.26.26 Cr.
Net Income Applicable to Common Shares186.02 Cr.26.71 Cr.13.59 Cr.26.26 Cr.

Balance Sheet

ParticularsMar 2021Mar 2020Mar 2019Mar 2018
Intangible Assets57.57 Cr.59.16 Cr.27.10 Cr.28.82 Cr.
Capital Surplus543.27 Cr.455.07 Cr.320.07 Cr.320.07 Cr.
Total Liabilities1316.60 Cr.918.16 Cr.917.28 Cr.791.40 Cr.
Stock Holder Equity1204.53 Cr.966.66 Cr.843.83 Cr.779.20 Cr.
Minority Interest53.51 Cr.53.93 Cr.00
Other Liabilities107.46 Cr.67.43 Cr.87.36 Cr.69.38 Cr.
Total Assets2574.64 Cr.1938.75 Cr.1761.11 Cr.1570.60 Cr.
Common Stock23.50 Cr.22.28 Cr.20.40 Cr.20.40 Cr.
Retained Earnings639.55 Cr.468.81 Cr.448.25 Cr.438.34 Cr.
Other Liabilities148.10 Cr.114.38 Cr.95.73 Cr.96.59 Cr.
Good Will41.62 Cr.41.62 Cr.38.73 Cr.38.73 Cr.
Treasury Stock-1.79 Cr.20.50 Cr.55.11 Cr.39 Lakhs
Other Assets139.80 Cr.129.59 Cr.68.16 Cr.101.03 Cr.
Cash225.14 Cr.2.90 Cr.17.91 Cr.41 Cr.
Current Liabilities516.17 Cr.502.30 Cr.506.15 Cr.364.50 Cr.
Long Term Asset Charges6.11 Cr.21.19 Cr.32.84 Cr.31.88 Cr.
Short Long Term Debt66.28 Cr.60.14 Cr.64.36 Cr.33.35 Cr.
Other Stockholder Equity-1.79 Cr.20.50 Cr.55.11 Cr.39 Lakhs
Property Plant Equipment1742.06 Cr.1391.16 Cr.1288.37 Cr.1110.38 Cr.
Total Cur. Assets593.59 Cr.317.22 Cr.338.75 Cr.291.64 Cr.
Long Term Investments0000
Net Tangible Assets1105.34 Cr.865.88 Cr.778 Cr.711.65 Cr.
Short Term Investments3.35 Cr.000
Net Receivables143.80 Cr.163.35 Cr.133.63 Cr.107.91 Cr.
Long Term Debt650.45 Cr.298.92 Cr.315.40 Cr.330.31 Cr.
Inventory124.28 Cr.115.80 Cr.145.01 Cr.94.91 Cr.
Accounts Payable228.99 Cr.223 Cr.203.84 Cr.136.80 Cr.

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