Ambuja Cements Ltd

NSE :AMBUJACEM   BSE :500425  Sector : Cement
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24 Apr
644.45
(1.24%)
23 Apr
636.55
(3.29%)
22 Apr
616.30
(1.09%)
19 Apr
609.65
(-0.91%)
18 Apr
615.25
(-0.37%)
16 Apr
617.55
(1.76%)
15 Apr
606.85
(-0.33%)
12 Apr
608.85
(-2.69%)
10 Apr
625.65
(0.41%)
09 Apr
623.10
(-1.18%)
08 Apr
630.55
(0.53%)
05 Apr
627.20
(0.40%)
04 Apr
624.70
(-1.61%)
03 Apr
634.95
(0.04%)
02 Apr
634.70
(2.12%)
01 Apr
621.50
(1.49%)
28 Mar
612.35
(1.80%)
27 Mar
601.50
(1.08%)
26 Mar
595.05
(0.97%)
22 Mar
589.35
(0.37%)
21 Mar
587.20
(1.88%)


Technical Analysis

Short Term Investors

Very Bullish

Medium Term Investors

Very Bullish

Long Term Investors

Very Bullish

Moving Averages

5 DMA
Bullish

624.54


10 DMA
Bullish

620.5


20 DMA
Bullish

618.8


50 DMA
Bullish

602.12


100 DMA
Bullish

562.86


200 DMA
Bullish

498.45



Intraday Support and Resistance
(Based on Pivot Points) |

Updated On Apr 24, 2024 04:00 PM For Next Trading Session

Pivots Classic Fibonacci Camarilla Woodie DM
R3 660.84 653.82 647.67 - -
R2 653.82 649.35 646.6 654.4 -
R1 649.14 646.59 645.52 650.3 651.48
P 642.12 642.12 642.12 642.7 643.29
S1 637.44 637.65 643.38 638.6 639.78
S2 630.42 634.89 642.31 631 -
S3 625.74 630.42 641.23 - -

Key Metrics

EPS

11.91

P/E

54.08

P/B

5.26

Dividend Yield

0.39%

Market Cap

1,27,965 Cr.

Face Value

2

Book Value

122.38

ROE

8.48%

EBITDA Growth

1,934.96 Cr.

Debt/Equity

0.02

Shareholding Pattern

  70.29% Total Promoter Holding
5.37% Mutual Fund Holdings
9.89% FIIs
6.84% Non Institution
6.38% Insurance Companies
0.05% Custodians
1.18% Other Parties

Shareholding History


Quarterly Result (Figures in Rs. Crores)


Ambuja Cements Ltd Quaterly Results


Dec 2022Mar 2023Jun 2023Sep 2023Dec 2023
INCOME 8029.62 8254.73 8981.4 7903.99 8332.66
PROFIT 544.32 755.09 905.61 792.96 823.05
EPS 2.19 3.25 4.56 3.99 4.14

Ambuja Cements Ltd Quaterly Results


Dec 2022Mar 2023Jun 2023Sep 2023Dec 2023
INCOME 4204.37 4430.28 4919.18 4347.92 4547.73
PROFIT 417.81 562.64 644.88 643.84 513.68
EPS 1.86 2.53 3.25 3.24 2.59

Profit & Loss (Figures in Rs. Crores)


Ambuja Cements Ltd Profit & Loss


Dec 2013Dec 2014Dec 2015Dec 2016Dec 2017Dec 2018Dec 2019Dec 2020Dec 2021Mar 2023
INCOME 9487.37 10407.78 9809.16 20586.1 24021.79 26622.78 27560.62 24723.75 29868.47 39822.62
PROFIT 1191.05 1422.87 705.85 913.58 1492.6 2279.5 2092.86 2479.16 2866.67 2836.35
EPS 7.66 8.65 4.64 7.22 9.79 14.97 14.02 15.65 18.69 12.18

Ambuja Cements Ltd Profit & Loss


Dec 2013Dec 2014Dec 2015Dec 2016Dec 2017Dec 2018Dec 2019Dec 2020Dec 2021Mar 2023
INCOME 9458.26 10391.19 9794.2 9737.04 10879.02 11804.61 12051.6 11629.78 14616.31 20870.71
PROFIT 1206.18 1432.52 720.07 931.22 1232.42 1575.26 1526.61 1789.17 2132.2 2673.17
EPS 7.76 8.71 4.63 4.69 6.29 7.49 7.7 9.02 10.49 10.29

Balance Sheet (Figures in Rs. Crores)

Mar 2023Dec 2021Dec 2020Dec 2019Dec 2018Dec 2017Dec 2016Dec 2015Dec 2014Dec 2013
SOURCES OF FUNDS :
Share Capital 397.13397.13397.13397.13397.13397.13397.13310.38309.95309.17
Reserves Total 26,301.0424,956.6122,360.4723,680.8621,973.3520,275.0719,423.799,961.029,760.029,152.72
Equity Share Warrants5,000.03000000000
Total Shareholders Funds31,698.225,353.7422,757.624,077.9922,370.4820,672.219,820.9210,271.410,069.979,461.89
Minority Interest7,058.357,145.036,340.895,736.765,231.194,607.964,370.240.720.720.71
Secured Loans 47.7146.9443.635.2839.6824.1215.7310.6210.7413.66
Unsecured Loans 475.02429.634275.780013.2324.3823.2934.62
Total Debt522.73476.57470.641.0639.6824.1228.963534.0348.28
Other Liabilities302.15318.41311.59325.27189.84189.2193.5142.1642.5343.11
Total Liabilities39,581.4333,293.7529,880.6830,181.0827,831.1925,493.4824,413.6310,349.2810,147.259,553.99
APPLICATION OF FUNDS :
Gross Block 32,335.8429,488.0826,635.5525,59824,426.5223,566.9222,868.7912,119.1411,533.6110,928.99
Less: Accumulated Depreciation8,611.37,061.475,991.194,896.663,790.582,668.71,458.465,948.975,223.984,782.24
Less: Impairment of Assets173.05173.05158.390000000
Net Block23,551.4922,253.5620,485.9720,701.3420,635.9420,898.2221,410.336,170.176,309.636,146.75
Capital Work in Progress2,525.872,167.732,421.851,554.431,008.17667.2582.04416.42692.14697.5
Investments 213.65198.11167.3149.57133.23153.07174.82,148.832,096.61,713.54
Inventories 3,272.792,738.041,648.582,096.52,957.892,458.272,163.51897.76889.97936.41
Sundry Debtors 1,154.36619.07561.131,068.561,304.54931.53924.07290.46231.65235.13
Cash and Bank Balance2,961.0411,692.988,935.639,354.556,439.286,231.584,564.012,853.322,462.282,344.98
Loans and Advances 11,861.181,968.331,659.491,764.151,722.861,473.18636.57360.22351.81326.87
Total Current Assets19,249.3717,018.4212,804.8314,283.7612,424.5711,094.568,288.164,401.763,935.713,843.39
Current Liabilities 9,627.749,224.117,871.997,705.457,541.757,274.095,949.172,133.571,965.921,875
Provisions 1,811.921,930.541,342.031,359.08906.391,603.231,445.731,084.511,176.28963.48
Total Current Liabilities & Provisions11,439.6611,154.659,214.029,064.538,448.148,877.327,394.93,218.083,142.22,838.48
Net Current Assets7,809.715,863.773,590.815,219.233,976.432,217.24893.261,183.68793.511,004.91
Deferred Tax Assets476.97465.9455.48498.71477.64532.67549.31167.26134.45130.64
Deferred Tax Liability1,177.341,222.091,078.571,431.281,589.061,671.091,564.59732.86723.47694.52
Net Deferred Tax-700.37-756.19-623.09-932.57-1,111.42-1,138.42-1,015.28-565.6-589.02-563.88
Other Assets6,181.083,566.773,837.843,489.083,188.842,696.172,368.48995.78844.39555.17
Total Assets39,581.4333,293.7529,880.6830,181.0827,831.1925,493.4824,413.6310,349.2810,147.259,553.99
Contingent Liabilities6,941.536,536.486,068.875,799.625,259.743,768.893,506.44677.27684.661,553.94
Mar 2023Dec 2021Dec 2020Dec 2019Dec 2018Dec 2017Dec 2016Dec 2015Dec 2014Dec 2013
SOURCES OF FUNDS :
Share Capital 397.13397.13397.13397.13397.13397.13397.13310.38309.95309.17
Reserves Total 23,108.3821,807.819,918.7321,808.0520,615.419,576.0818,959.749,996.499,793.389,176.37
Equity Share Warrants5,000.03000000000
Total Shareholders Funds28,505.5422,204.9320,315.8622,205.1821,012.5319,973.2119,356.8710,306.8710,103.339,485.54
Secured Loans 47.7146.9443.635.2839.6824.1215.739.455.865.86
Unsecured Loans 901.71304.05324.525.780013.2323.2923.2934.62
Total Debt949.42350.99368.1241.0639.6824.1228.9632.7429.1540.48
Other Liabilities123.11102.8895.886.7946.8844.1751.2341.3941.7942.38
Total Liabilities29,578.0722,658.820,779.7822,333.0321,099.0920,041.519,437.0610,38110,174.279,568.4
APPLICATION OF FUNDS :
Gross Block 12,822.6211,157.258,665.778,043.497,607.737,139.176,788.8412,012.6511,429.0810,826.19
Less : Accumulated Depreciation 4,202.873,486.422,734.272,231.041,944.131,417.18847.235,920.625,201.974,763.66
Net Block 8,619.757,670.835,931.55,812.455,663.65,721.995,941.616,092.036,227.116,062.53
Capital Work in Progress841.87951.351,873.741,108.7610.02397.92320.02414.12690.17694.88
Investments 11,775.8811,773.8811,792.2111,789.0111,813.7611,844.711,844.72,226.132,172.731,788.45
Inventories 1,639.411,464.13746.61954.071,277.761,052.5937.54895.45888.39933.94
Sundry Debtors 564.91294.73191.51513.22470.26307.97395.77286.36227.98231.51
Cash and Bank Balance2,533.054,169.242,924.344,699.493,329.973,497.072,578.522,848.392,458.122,341.09
Loans and Advances 6,509.14852.38568.35656.57662.31652.64301.86399.17353.72346.56
Total Current Assets11,246.516,780.484,430.816,823.355,740.35,510.184,213.694,429.373,928.213,853.1
Current Liabilities 4,845.174,061.853,530.643,450.053,019.283,043.742,444.042,131.691,961.321,868.44
Provisions 1,262.831,248.48985.01991.59696.151,083.24974.421,084.341,176.22963.43
Total Current Liabilities & Provisions6,1085,310.334,515.654,441.643,715.434,126.983,418.463,216.033,137.542,831.87
Net Current Assets5,138.511,470.15-84.842,381.712,024.871,383.2795.231,213.34790.671,021.23
Deferred Tax Assets232.89220.45213.53210.95254.04208.09216.77166.78134.43130.2
Deferred Tax Liability450.95434.11399.48427.01626.2666.45714.02731.68723.47694.52
Net Deferred Tax-218.06-213.66-185.95-216.06-372.16-458.36-497.25-564.9-589.04-564.32
Other Assets3,420.121,006.251,453.121,457.221,3591,152.051,032.751,000.28882.63565.63
Total Assets29,578.0722,658.820,779.7822,333.0321,099.0920,041.519,437.0610,38110,174.279,568.4
Contingent Liabilities3,642.993,432.793,277.143,125.752,910.622,139.512,027.62673.87681.161,550.45

Cash Flow (Figures in Rs. Crores)

Net Profit before Tax and Extr...3,729.49
Depreciation1,644.67
Interest (Net)-347.72
Dividend Received12.39
P/L on Sales of Assets-96.09
P/L on Sales of Invest-16.52
Prov. and W/O (Net)104.94
P/L in Forex9.42
Others5,000.48
Total Adjustments (PBT and Ext...1,216.83
Operating Profit before Workin...4,946.32
Trade and 0ther Receivables-547.07
Inventories-466.99
Trade Payables-27.76
Total Adjustments (OP before W...-3,472.91
Cash Generated from/(used in) ...1,473.41
Direct Taxes Paid-738.49
Total Adjustments(Cash Generat...-738.49
Cash Flow before Extraordinary...734.92
Net Cash from Operating Activi...734.92
Purchased of Fixed Assets-4,231.78
Sale of Fixed Assets165.85
Sale of Investments52.25
Interest Received434.87
Inter Corporate Deposits-0.05
Net Cash used in Investing Act...-14,480.81
Of the Long Tem Borrowings-3.58
Of Financial Liabilities-142.91
Dividend Paid-1,795.48
Interest Paid-127.5
Net Cash used in Financing Act...2,931.01
Net Profit before Tax and Extr...3,055.05
Depreciation832.42
Interest (Net)-186.79
Dividend Received555.2
P/L on Sales of Assets-4.12
P/L on Sales of Invest-14
Prov. and W/O (Net)-45.64
P/L in Forex33.62
Others5,000.48
Total Adjustments (PBT and Ext...74.58
Operating Profit before Workin...3,129.63
Trade and 0ther Receivables-262.56
Inventories-174.52
Trade Payables375.24
Total Adjustments (OP before W...-785.47
Cash Generated from/(used in) ...2,344.16
Direct Taxes Paid-334.57
Total Adjustments(Cash Generat...-334.57
Cash Flow before Extraordinary...2,009.59
Net Cash from Operating Activi...2,009.59
Purchased of Fixed Assets-2,153.65
Sale of Fixed Assets42.1
Purchase of Investments-2
Sale of Investments35.12
Interest Received219.2
Net Cash used in Investing Act...-9,327.09
Of the Long Tem Borrowings-3.59
Of Financial Liabilities-66.07
Dividend Paid-1,251.41
Interest Paid-67.86
Net Cash used in Financing Act...3,611.55

Company Details

Registered Office
AddressAmbujanagar P O,
Taluka Kodinar
CityGir Somnath
StateGujarat
Pin Code362715
Tel. No.91-2795-221137/232365
Fax. No.91-2795-232629
Emailinvestors.relation@adani.com
Internethttp://www.ambujacement.com
Registrars
AddressAmbujanagar P O
CityGir Somnath
StateGujarat
Pin Code362715
Tel. No.91-2795-221137/232365
Fax. No.91-2795-232629
Emailinvestors.relation@adani.com
Internethttp://www.ambujacement.com
Management
Name Designation
N S SekhsariaChairman Emeritus
Gautam AdaniChairman (Non-Executive)
Karan AdaniNon-Exec & Non-Independent Dir
M R KumarNon-Exec & Non-Independent Dir
Maheswar SahuNon-Exec. & Independent Dir.
Rajnish KumarNon-Exec. & Independent Dir.
Ameet DesaiNon-Exec. & Independent Dir.
Purvi ShethNon-Exec. & Independent Dir.
Ajay KapurWhole Time Director & CEO
Hitesh MarthakCompany Sec. & Compli. Officer