Sagar Cements Income Statement

Quarterly

Yearly

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202120222023
EBITDA408289376
EBIT327196220
Earning Per Share8051
Expenses9711,3212,076
Net Profit186599
Net Profit Margin1440
Operating Profit Margin301817
Profit Before Tax28110418
Dividends Per Share711
Operation Revenue1,3791,6102,452

Peer Comparison (in ₹.Cr.)

CompanyYearEBITEBITDANet ProfitNet WorthProfit Before Tax
202300869.06NA1,186.45
20230044.29NA91.23
20230058.08NA71.48
NANANANANANA
2023002,996.36NA3,701.47
The EBITDA of Sagar Cements is 376 as of 2/27/2024
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20162016201620162017
Operating Activities129129129129101
Investing Activities-111-111-111-111-151
Financing Activities-235-235-235-235208
Others00000
Net Cash Flow-217-217-217-217159

Peer Comparison (in ₹.Cr.)

CompanyYearOperating ActivitiesInvesting ActivitiesFinancing ActivitiesNet Cash Flow
2023-1,235.08-4,637.30-1,237.71-7,110.09
2023208.15-95.80-82.8229.52
202386.29-36.66-49.76-0.14
NANANANANA
20194,738.70-1,192.88-629.372,916.45
The cash flow from Operating Activities of Sagar Cements is 101 as of 2/27/2024