Sagar Cements Income Statement

Quarterly

Yearly

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20212022
EBITDA408289
EBIT327196
Earning Per Share805
Expenses9711,321
Net Profit18659
Net Profit Margin144
Operating Profit Margin3018
Profit Before Tax281104
Dividends Per Share71
Operation Revenue1,3791,610

Peer Comparison (in ₹.Cr.)

CompanyYearEBITEBITDANet ProfitNet WorthProfit Before Tax
202200635.49NA857.19
2022171.25218.5294.90695.60146.60
202289.64121.0455.20167.1588.10
NANANANANANA
2022002,237.34NA2,716.86
The EBITDA of Sagar Cements is 289 as of 3/21/2023
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20182019202020212022
Operating Activities15013320237787
Investing Activities-194-187-227-476-784
Financing Activities-773110322615
Others00000
Net Cash Flow-121-23-15222-82

Peer Comparison (in ₹.Cr.)

CompanyYearOperating ActivitiesInvesting ActivitiesFinancing ActivitiesNet Cash Flow
20141,352.18-1,456.72-837.09-941.63
202271.63-139.2810.08-57.57
202257.27-39.83-55.98-38.54
NANANANANA
20215,309.16-2,007.05-515.762,786.35
The cash flow from Operating Activities of Sagar Cements is 87 as of 3/21/2023