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Sagar Cements Ltd (IN:SAGCEM)
:SAGCEM
India Market

Sagar Cements Ltd (SAGCEM) Financial Statements

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Sagar Cements Ltd Financial Overview

Sagar Cements Ltd's market cap is currently ₹27.96B. The company's EPS TTM is ₹-6.002; its P/E ratio is ―; and it has a dividend yield of 0.33%. Sagar Cements Ltd is scheduled to report earnings on January 22, 2025, and the estimated EPS forecast is ₹―. See an overview of income statement, balance sheet, and cash flow financials.
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Income Statement
Total Revenue₹ 24.98B₹ 22.30B₹ 15.93B₹ 13.53B₹ 11.60B
Gross Profit₹ 6.28B₹ 18.07B₹ 12.59B₹ 10.34B₹ 8.56B
Operating Income₹ 318.70M₹ -500.00K₹ 1.84B₹ 3.20B₹ 1.09B
EBITDA₹ 2.81B₹ 3.76B₹ 2.89B₹ 4.08B₹ 1.90B
Net Income₹ -433.60M₹ 301.50M₹ 691.50M₹ 1.87B₹ 267.10M
Balance Sheet
Cash & Short-Term Investments₹ 1.67B₹ 2.16B₹ 1.43B₹ 2.25B₹ 29.00M
Total Assets₹ 43.56B₹ 38.23B₹ 33.64B₹ 25.75B₹ 19.39B
Total Debt₹ 14.44B₹ 14.76B₹ 15.11B₹ 8.21B₹ 5.02B
Net Debt₹ 12.77B₹ 13.01B₹ 13.68B₹ 5.96B₹ 5.00B
Total Liabilities₹ 23.37B₹ 21.34B₹ 20.55B₹ 13.17B₹ 9.18B
Stockholders' Equity₹ 19.41B₹ 16.37B₹ 12.55B₹ 12.05B₹ 9.67B
Cash Flow
Free Cash Flow₹ 1.75B₹ 574.20M₹ -2.74B₹ -840.80M₹ -258.10M
Operating Cash Flow₹ 4.00B₹ 1.75B₹ 869.80M₹ 3.77B₹ 2.02B
Investing Cash Flow₹ -1.88B₹ 1.70B₹ -7.84B₹ -4.77B₹ -2.27B
Financing Cash Flow₹ -2.21B₹ -3.67B₹ 6.15B₹ 3.22B₹ 99.20M
Currency in INR

Sagar Cements Ltd Earnings and Revenue History

Sagar Cements Ltd Debt to Assets

Sagar Cements Ltd Cash Flow

Sagar Cements Ltd Forecast EPS vs Actual EPS

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