Ambuja Cements Ltd

NSE :AMBUJACEM   BSE :500425  Sector : Cement
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24 Dec
543.10
(-1.37%)
23 Dec
550.65
(0.34%)
20 Dec
548.80
(-2.57%)
19 Dec
563.30
(-0.22%)
18 Dec
564.55
(-1.15%)
17 Dec
571.10
(-1.01%)
16 Dec
576.95
(0.73%)
13 Dec
572.75
(0.17%)
12 Dec
571.75
(-1.16%)
11 Dec
578.45
(0.86%)
10 Dec
573.50
(0.39%)
09 Dec
571.30
(1.06%)
06 Dec
565.30
(-1.02%)
05 Dec
571.10
(1.13%)
04 Dec
564.70
(-0.33%)
03 Dec
566.55
(5.15%)
02 Dec
538.80
(1.37%)
29 Nov
531.50
(3.61%)
28 Nov
513.00
(-0.39%)
27 Nov
515.00
(4.31%)
26 Nov
493.70
(-2.23%)


Technical Analysis

Short Term Investors

Very Bearish

Medium Term Investors

Very Bearish

Long Term Investors

Very Bearish

Moving Averages

5 DMA
Bearish

554.13


10 DMA
Bearish

564.13


20 DMA
Bearish

557.61


50 DMA
Bearish

558.02


100 DMA
Bearish

591


200 DMA
Bearish

612.79



Intraday Support and Resistance
(Based on Pivot Points) |

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

Pivots Classic Fibonacci Camarilla Woodie DM
R3 567.74 562.37 547.23 - -
R2 562.37 556.64 545.85 561.3 -
R1 552.74 553.1 544.48 550.6 557.55
P 547.37 547.37 547.37 546.3 549.78
S1 537.74 541.64 541.73 535.6 542.55
S2 532.37 538.1 540.35 531.3 -
S3 522.74 532.37 538.98 - -

Key Metrics

EPS

8.67

P/E

62.61

P/B

2.91

Dividend Yield

0.33%

Market Cap

1,33,772 Cr.

Face Value

2

Book Value

186.45

ROE

12.95%

EBITDA Growth

1,330.48 Cr.

Debt/Equity

0.02

Shareholding Pattern

  67.53% Total Promoter Holding
6.35% Mutual Fund Holdings
10.6% FIIs
6.63% Non Institution
6.74% Insurance Companies
0.05% Custodians
2.1% Other Parties

Shareholding History


Quarterly Result (Figures in Rs. Crores)


Ambuja Cements Ltd Quaterly Results


Sep 2023Dec 2023Mar 2024Jun 2024Sep 2024
INCOME7903.99 8332.66 9342.45 8669.59 7892.36
PROFIT792.96 823.05 856.31 639.86 559.61
EPS3.99 4.14 5.31 2.65 1.85

Ambuja Cements Ltd Quaterly Results


Sep 2023Dec 2023Mar 2024Jun 2024Sep 2024
INCOME4347.92 4547.73 4957.14 4936.13 4478.24
PROFIT643.84 513.68 544.02 576.97 500.66
EPS3.24 2.59 2.68 2.36 2.03

Profit & Loss (Figures in Rs. Crores)


Ambuja Cements Ltd Profit & Loss


Dec 2014Dec 2015Dec 2016Dec 2017Dec 2018Dec 2019Dec 2020Dec 2021Mar 2023Mar 2024
INCOME 10407.78 9809.16 20586.1 24021.79 26622.78 27560.62 24723.75 29868.47 39822.62 34536.52
PROFIT 1422.87 705.85 913.58 1492.6 2279.5 2092.86 2479.16 2866.67 2823.25 3316.11
EPS 8.65 4.64 7.22 9.79 14.97 14.02 15.65 18.69 12.18 21.56

Ambuja Cements Ltd Profit & Loss


Dec 2014Dec 2015Dec 2016Dec 2017Dec 2018Dec 2019Dec 2020Dec 2021Mar 2023Mar 2024
INCOME 10391.19 9794.2 9737.04 10879.02 11804.61 12051.6 11629.78 14616.31 20870.71 18776.75
PROFIT 1432.52 720.07 931.22 1232.42 1575.26 1526.61 1789.17 2132.2 2666.15 2263.31
EPS 8.71 4.63 4.69 6.29 7.49 7.7 9.02 10.49 12.86 10.62

Balance Sheet (Figures in Rs. Crores)

Mar 2024Mar 2023Dec 2021Dec 2020Dec 2019Dec 2018Dec 2017Dec 2016Dec 2015Dec 2014
SOURCES OF FUNDS :
Share Capital 439.54397.13397.13397.13397.13397.13397.13397.13310.38309.95
Reserves Total 38,235.8726,301.0424,956.6122,360.4723,680.8621,973.3520,275.0719,423.799,961.029,760.02
Equity Share Warrants2,779.655,000.0300000000
Total Shareholders Funds41,455.0631,698.225,353.7422,757.624,077.9922,370.4820,672.219,820.9210,271.410,069.97
Minority Interest9,390.847,058.357,145.036,340.895,736.765,231.194,607.964,370.240.720.72
Secured Loans 36.7847.7146.9443.635.2839.6824.1215.7310.6210.74
Unsecured Loans 662.23475.02429.634275.780013.2324.3823.29
Total Debt699.01522.73476.57470.641.0639.6824.1228.963534.03
Other Liabilities255.97302.15318.41311.59325.27189.84189.2193.5142.1642.53
Total Liabilities51,800.8839,581.4333,293.7529,880.6830,181.0827,831.1925,493.4824,413.6310,349.2810,147.25
APPLICATION OF FUNDS :
Gross Block 42,595.5832,335.8429,488.0826,635.5525,59824,426.5223,566.9222,868.7912,119.1411,533.61
Less: Accumulated Depreciation10,034.068,611.37,061.475,991.194,896.663,790.582,668.71,458.465,948.975,223.98
Less: Impairment of Assets173.05173.05173.05158.39000000
Net Block32,388.4723,551.4922,253.5620,485.9720,701.3420,635.9420,898.2221,410.336,170.176,309.63
Capital Work in Progress2,658.452,525.872,167.732,421.851,554.431,008.17667.2582.04416.42692.14
Investments 848.55213.65198.11167.3149.57133.23153.07174.82,148.832,096.6
Inventories 3,608.553,272.792,738.041,648.582,096.52,957.892,458.272,163.51897.76889.97
Sundry Debtors 1,213.141,154.36619.07561.131,068.561,304.54931.53924.07290.46231.65
Cash and Bank Balance11,068.872,961.0411,692.988,935.639,354.556,439.286,231.584,564.012,853.322,462.28
Loans and Advances 8,202.9111,861.181,968.331,659.491,764.151,722.861,473.18636.57360.22351.81
Total Current Assets24,093.4719,249.3717,018.4212,804.8314,283.7612,424.5711,094.568,288.164,401.763,935.71
Current Liabilities 9,249.929,627.749,224.117,871.997,705.457,541.757,274.095,949.172,133.571,965.92
Provisions 2,697.911,811.921,930.541,342.031,359.08906.391,603.231,445.731,084.511,176.28
Total Current Liabilities & Provisions11,947.8311,439.6611,154.659,214.029,064.538,448.148,877.327,394.93,218.083,142.2
Net Current Assets12,145.647,809.715,863.773,590.815,219.233,976.432,217.24893.261,183.68793.51
Deferred Tax Assets918.8476.97465.9455.48498.71477.64532.67549.31167.26134.45
Deferred Tax Liability2,430.961,177.341,222.091,078.571,431.281,589.061,671.091,564.59732.86723.47
Net Deferred Tax-1,512.16-700.37-756.19-623.09-932.57-1,111.42-1,138.42-1,015.28-565.6-589.02
Other Assets5,271.936,181.083,566.773,837.843,489.083,188.842,696.172,368.48995.78844.39
Total Assets51,800.8839,581.4333,293.7529,880.6830,181.0827,831.1925,493.4824,413.6310,349.2810,147.25
Contingent Liabilities7,162.746,941.596,536.486,068.875,799.625,259.743,768.893,506.44677.27684.66
Mar 2024Mar 2023Dec 2021Dec 2020Dec 2019Dec 2018Dec 2017Dec 2016Dec 2015Dec 2014
SOURCES OF FUNDS :
Share Capital 439.54397.13397.13397.13397.13397.13397.13397.13310.38309.95
Reserves Total 33,787.3123,108.3821,807.819,918.7321,808.0520,615.419,576.0818,959.749,996.499,793.38
Equity Share Warrants2,779.655,000.0300000000
Total Shareholders Funds37,006.528,505.5422,204.9320,315.8622,205.1821,012.5319,973.2119,356.8710,306.8710,103.33
Secured Loans 36.7847.7146.9443.635.2839.6824.1215.739.455.86
Unsecured Loans 627.08901.71304.05324.525.780013.2323.2923.29
Total Debt663.86949.42350.99368.1241.0639.6824.1228.9632.7429.15
Other Liabilities95.39123.11102.8895.886.7946.8844.1751.2341.3941.79
Total Liabilities37,765.7529,578.0722,658.820,779.7822,333.0321,099.0920,041.519,437.0610,38110,174.27
APPLICATION OF FUNDS :
Gross Block 13,850.1312,822.6211,157.258,665.778,043.497,607.737,139.176,788.8412,012.6511,429.08
Less : Accumulated Depreciation 5,046.94,202.873,486.422,734.272,231.041,944.131,417.18847.235,920.625,201.97
Net Block 8,803.238,619.757,670.835,931.55,812.455,663.65,721.995,941.616,092.036,227.11
Capital Work in Progress1,548.49841.87951.351,873.741,108.7610.02397.92320.02414.12690.17
Investments 14,058.0811,775.8811,773.8811,792.2111,789.0111,813.7611,844.711,844.72,226.132,172.73
Inventories 1,590.341,639.411,464.13746.61954.071,277.761,052.5937.54895.45888.39
Sundry Debtors 716.81564.91294.73191.51513.22470.26307.97395.77286.36227.98
Cash and Bank Balance8,833.382,533.054,169.242,924.344,699.493,329.973,497.072,578.522,848.392,458.12
Loans and Advances 3,865.616,509.14852.38568.35656.57662.31652.64301.86399.17353.72
Total Current Assets15,006.1411,246.516,780.484,430.816,823.355,740.35,510.184,213.694,429.373,928.21
Current Liabilities 4,332.574,845.174,061.853,530.643,450.053,019.283,043.742,444.042,131.691,961.32
Provisions 1,761.181,262.831,248.48985.01991.59696.151,083.24974.421,084.341,176.22
Total Current Liabilities & Provisions6,093.756,1085,310.334,515.654,441.643,715.434,126.983,418.463,216.033,137.54
Net Current Assets8,912.395,138.511,470.15-84.842,381.712,024.871,383.2795.231,213.34790.67
Deferred Tax Assets288.48232.89220.45213.53210.95254.04208.09216.77166.78134.43
Deferred Tax Liability557.77450.95434.11399.48427.01626.2666.45714.02731.68723.47
Net Deferred Tax-269.29-218.06-213.66-185.95-216.06-372.16-458.36-497.25-564.9-589.04
Other Assets4,712.853,420.121,006.251,453.121,457.221,3591,152.051,032.751,000.28882.63
Total Assets37,765.7529,578.0722,658.820,779.7822,333.0321,099.0920,041.519,437.0610,38110,174.27
Contingent Liabilities3,594.553,642.983,432.793,277.143,125.752,910.622,139.512,027.62673.87681.16

Cash Flow (Figures in Rs. Crores)

Net Profit before Tax and Extr...5,900.62
Depreciation1,623.38
Interest (Net)-660.52
Dividend Received26.04
P/L on Sales of Assets-115.81
Prov. and W/O (Net)-97.26
P/L in Forex-20.43
Others6,660.96
Total Adjustments (PBT and Ext...466.67
Operating Profit before Workin...6,367.29
Trade and 0ther Receivables24.35
Inventories-228.29
Trade Payables102.98
Total Adjustments (OP before W...194.09
Cash Generated from/(used in) ...6,561.38
Direct Taxes Paid-915.56
Total Adjustments(Cash Generat...-915.56
Cash Flow before Extraordinary...5,645.82
Net Cash from Operating Activi...5,645.82
Purchased of Fixed Assets-4,482.46
Sale of Fixed Assets521.32
Purchase of Investments-751.33
Sale of Investments53.47
Interest Received1,003.6
Cancellation of Investment in ...46.05
Acquisition of Companies-2,354.27
Inter Corporate Deposits-2,085.61
Net Cash used in Investing Act...-8,941.03
Of the Long Tem Borrowings-24.05
Of Financial Liabilities-129.25
Dividend Paid-584.81
Interest Paid-234.08
Net Cash used in Financing Act...5,688.77
Net Profit before Tax and Extr...3,107.45
Depreciation937.95
Interest (Net)-403.63
Dividend Received113.89
P/L on Sales of Assets-107.25
Prov. and W/O (Net)-77.77
P/L in Forex1.44
Others6,660.96
Total Adjustments (PBT and Ext...225.29
Operating Profit before Workin...3,332.74
Trade and 0ther Receivables-149.52
Inventories57.38
Trade Payables-86.11
Total Adjustments (OP before W...156.66
Cash Generated from/(used in) ...3,489.4
Direct Taxes Paid-732.05
Total Adjustments(Cash Generat...-732.05
Cash Flow before Extraordinary...2,757.35
Net Cash from Operating Activi...2,757.35
Purchased of Fixed Assets-2,235.64
Sale of Fixed Assets242.41
Purchase of Investments-408.87
Sale of Investments24.92
Interest Received489.35
Cancellation of Investment in ...155.58
Acquisition of Companies-1,935.2
Inter Corporate Deposits-2,506.34
Net Cash used in Investing Act...-7,602.66
Of the Long Tem Borrowings-14.12
Of Financial Liabilities-314.66
Dividend Paid-496.41
Interest Paid-138.75
Net Cash used in Financing Act...5,697.02

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
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