Shree Cement Income Statement

Quarterly

Yearly

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20212022
EBITDA4,5174,253
EBIT3,2553,107
Earning Per Share633646
Expenses9,42511,302
Net Profit2,2902,337
Net Profit Margin1712
Operating Profit Margin3423
Profit Before Tax3,0042,892
Dividends Per Share6090
Operation Revenue13,94315,555

Peer Comparison (in ₹.Cr.)

CompanyYearEBITEBITDANet ProfitNet WorthProfit Before Tax
202300869.06NA1,186.45
2023005,069.37NA7,412.22
202300-194.27NA-384.80
2022201.22233.89126.503,749.41192.50
20223,1074,2532,336.6017,424.202,891.80
The EBITDA of Shree Cement is 4,253 as of 12/8/2023
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20132013201320132023
Operating Activities1,2601,2601,2601,2602,569
Investing Activities-270-270-270-270-2,414
Financing Activities-982-982-982-982-277
Others00000
Net Cash Flow8888-122

Peer Comparison (in ₹.Cr.)

CompanyYearOperating ActivitiesInvesting ActivitiesFinancing ActivitiesNet Cash Flow
2023-1,235.08-4,637.30-1,237.71-7,110.09
20196,013.661,058.88-6,756.33316.21
2021258.85-150.41200.64309.08
2023-43.30-27.3353.84-16.79
20232,568.74-2,414.49-276.71-122.46
The cash flow from Operating Activities of Shree Cement is 2,569 as of 12/8/2023