Sagar Cements Ltd

NSE :SAGCEM   BSE :502090  Sector : Cement
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22 Nov
214.68
(0.00%)
21 Nov
214.68
(1.92%)
19 Nov
210.63
(1.36%)
18 Nov
207.80
(0.65%)
14 Nov
206.46
(-1.13%)
13 Nov
208.82
(-2.22%)
12 Nov
213.57
(-1.19%)
11 Nov
216.15
(-1.22%)
08 Nov
218.82
(-1.24%)
07 Nov
221.57
(-2.76%)
06 Nov
227.85
(1.61%)
05 Nov
224.24
(-0.65%)
04 Nov
225.71
(0.16%)
01 Nov
225.35
(0.49%)
31 Oct
224.25
(-1.10%)
30 Oct
226.75
(3.87%)
29 Oct
218.30
(1.21%)
28 Oct
215.69
(6.97%)
25 Oct
201.63
(-5.60%)
24 Oct
213.59
(1.34%)
23 Oct
210.77
(1.35%)


Technical Analysis

Short Term Investors

Bearish

Medium Term Investors

Very Bearish

Long Term Investors

Very Bearish

Moving Averages

5 DMA
Bullish

211.68


10 DMA
Bullish

213.51


20 DMA
Bearish

216.79


50 DMA
Bearish

223.7


100 DMA
Bearish

230.45


200 DMA
Bearish

230.49



Intraday Support and Resistance
(Based on Pivot Points) |

Updated On Nov 22, 2024 04:00 PM For Next Trading Session

Pivots Classic Fibonacci Camarilla Woodie DM
R3 226.78 222.88 216.88 - -
R2 222.88 219.82 216.15 222.83 -
R1 218.78 217.94 215.41 218.68 220.83
P 214.88 214.88 214.88 214.83 215.91
S1 210.78 211.82 213.95 210.68 212.83
S2 206.88 209.94 213.21 206.83 -
S3 202.78 206.88 212.48 - -

Key Metrics

EPS

1.28

P/E

167.7

P/B

1.69

Dividend Yield

0.33%

Market Cap

2,806 Cr.

Face Value

2

Book Value

127.35

ROE

-5.4%

EBITDA Growth

23.77 Cr.

Debt/Equity

0.74

Shareholding Pattern

  48.31% Total Promoter Holding
6% Mutual Fund Holdings
2.65% FIIs
31.51% Non Institution
1.03% Insurance Companies
0% Custodians
10.5% Other Parties

Shareholding History


Quarterly Result (Figures in Rs. Crores)


Sagar Cements Ltd Quaterly Results


Sep 2023Dec 2023Mar 2024Jun 2024Sep 2024
INCOME 604.35 673.14 752.45 568.9 479.96
PROFIT -23.19 -8.07 13.25 -28.39 -55.56
EPS -0.81 -0.8 0.89 -2.46 -4.36

Sagar Cements Ltd Quaterly Results


Sep 2023Dec 2023Mar 2024Jun 2024Sep 2024
INCOME 464 507.93 555.04 400.31 336.21
PROFIT -3.21 15.34 32.4 -3.76 -27.29
EPS -0.25 1.17 2.48 -0.29 -2.09

Profit & Loss (Figures in Rs. Crores)


Sagar Cements Ltd Profit & Loss


Mar 2010Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024
INCOME 488.98 754.59 816.01 1059.48 1206.87 1189 1356.74 1659.15 2435.5 2640.46
PROFIT 19.38 44.38 -3.5 26.23 13.72 26.53 186.21 69.37 33.81 -97.55
EPS 2.59 4.79 0 2.57 1.33 2.38 15.84 5.03 0.74 -3.98

Sagar Cements Ltd Profit & Loss


Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024
INCOME 921.7 648.27 555.91 783.09 899.63 869.92 1361.06 1629.24 2168.54 2005.03
PROFIT 35.11 49.3 12.28 49.34 26.64 34.48 188.93 104.02 59.35 9.54
EPS 33.82 5.66 1.22 4.84 2.61 3.12 16.11 8.83 5.63 2.38

Balance Sheet (Figures in Rs. Crores)

Mar 2024Mar 2023Mar 2022Mar 2021Mar 2020Mar 2019Mar 2018Mar 2017Mar 2016Mar 2010
SOURCES OF FUNDS :
Share Capital 26.1426.1423.523.522.2820.420.420.417.3916
Reserves Total 1,915.081,968.481,231.931,167.35922.02766.85758.8742.56531.68197.78
Equity Share Warrants000022.3656.580000
Total Shareholders Funds1,941.221,994.621,255.431,190.85966.66843.83779.2762.96549.07213.78
Minority Interest78.4770.1754.0153.5153.9300006.03
Secured Loans 1,439.041,472.121,503.35806.48488.01509.04478.33486.58343.2229.62
Unsecured Loans 5.045.476.822.352.7800091.070
Total Debt1,444.081,477.591,510.17808.83490.79509.04478.33486.58434.27229.62
Other Liabilities132.38100.7776.3978.5282.1564.1856.8850.5272.40
Total Liabilities3,596.153,643.152,8962,131.711,593.531,417.051,314.411,300.061,055.74449.43
APPLICATION OF FUNDS :
Gross Block 4,860.574,623.672,743.071,912.981,893.351,675.991,419.271,314.451,224497.18
Less: Accumulated Depreciation1,610.291,455.52694.99611.52509.4431.84366.72313.9266.79118.98
Net Block3,250.283,168.152,048.081,301.461,383.951,244.151,052.551,000.55957.21378.2
Capital Work in Progress14.799.18100.5517.48107.99110.05125.3855.3415.1910.31
Investments 00314.6800000.280.2738.11
Inventories 309.79278.76208.57124.28115.8145.0194.91110.3590.5249.31
Sundry Debtors 207.72133.21120.31100.71136.78115.6192.5880.8380.9441.85
Cash and Bank Balance262.12210.48162.69254.1912.7529.558.1170.476.473.1
Loans and Advances 83.37123.96223.57114.4151.8948.6346.0546.1538.6144.32
Total Current Assets863746.41715.14593.59317.22338.75291.64407.8216.54138.58
Current Liabilities 636.42429.1354.81331.12291.74292.62211.29200.41182.8976.59
Provisions 17.912.2415.8316.079.5710.314.62.76.5912.11
Total Current Liabilities & Provisions654.32441.34370.64347.19301.31302.93215.89203.11189.4888.7
Net Current Assets208.68305.07344.5246.415.9135.8275.75204.6927.0649.88
Deferred Tax Assets432.61370.73136.62123.25152.78166.79141.23118.42111.290
Deferred Tax Liability400.14379.71218.91190.56175.5175.08149.65123.82113.0527.07
Net Deferred Tax32.47-8.98-82.29-67.31-22.72-8.29-8.42-5.4-1.76-27.07
Other Assets90.0279.73170.53133.68108.435.3269.1544.657.770
Total Assets3,596.153,643.152,8962,131.711,593.531,417.051,314.411,300.061,055.74449.43
Contingent Liabilities1,086.011,017.55626.74547.63708.14231.645.74190.3620.3412.72
Mar 2024Mar 2023Mar 2022Mar 2021Mar 2020Mar 2019Mar 2018Mar 2017Mar 2016Mar 2015
SOURCES OF FUNDS :
Share Capital 26.1426.1423.523.522.2820.420.420.417.3917.39
Reserves Total 1,679.131,658.041,270.611,171.44987.87824.71803.43764.07536.58503.94
Equity Share Warrants000022.3656.580000
Total Shareholders Funds1,705.271,684.181,294.111,194.941,032.51901.69823.83784.47553.97521.33
Secured Loans 477.95591.01890.8399.55255.57283.79233.6206.29103.76240.27
Unsecured Loans 1.072.475.1311.591.36027.8726.4791.354.98
Total Debt479.02593.48895.93411.14256.93283.79261.47232.76195.11245.25
Other Liabilities123.5796.7975.771.497.0549.0449.9846.5769.3559.79
Total Liabilities2,307.862,374.452,265.741,677.481,386.491,234.521,135.281,063.8818.43826.37
APPLICATION OF FUNDS :
Gross Block 2,503.12,357.712,003.811,918.531,246.951,097.57868.06777.73697.54554.8
Less : Accumulated Depreciation 965.38855.49744.1673.58412.77359.33315.58283.06255.54221.41
Net Block 1,537.721,502.221,259.711,244.95834.18738.24552.48494.67442333.39
Capital Work in Progress14.472.1729.3628.4419.83107.28122.0651.6512.98112.19
Investments 486.65496.42284.73238.88477.26275.28265.95257.8782.460.03
Inventories 207.03221.72173.72124.2880.67106.1167.5772.9665.762.31
Sundry Debtors 163.61140.67124.11100.7494.8678.1458.4746.3446.0158.06
Cash and Bank Balance227.37150.94156.69227.1410.1428.0656.47169.853.67219.28
Loans and Advances 77.47104.02103.8759.24133.72121.11100.0183.05100.29137.33
Total Current Assets675.48617.35558.39511.4319.39333.42282.52372.2215.67476.97
Current Liabilities 446.06325.16316.1319.59236.64216.48134.4120.93130.39107.17
Provisions 15.073.6315.7616.019.19.954.322.186.1816.01
Total Current Liabilities & Provisions461.13328.79331.86335.6245.74226.43138.72123.11136.57123.18
Net Current Assets214.35288.56226.53175.873.65106.99143.8249.0979.1353.79
Deferred Tax Assets108.21106.23100.13122.5264.4953.0534.126.2329.950.51
Deferred Tax Liability216.2209.78197.82190.56108.494.1874.456.2652.8448.05
Net Deferred Tax-107.99-103.55-97.69-68.04-43.91-41.13-40.3-30.03-22.89-47.54
Other Assets162.73118.63563.157.4525.4847.8691.2940.55224.7874.5
Total Assets2,307.862,374.452,265.741,677.481,386.491,234.521,135.281,063.8818.43826.37
Contingent Liabilities1,086.011,017.55626.74547.63684.18220.3134.68185.2314.9218.5

Cash Flow (Figures in Rs. Crores)

Net Profit before Tax and Extr...-84.12
Depreciation214.11
Interest (Net)171.22
P/L on Sales of Assets-6.86
P/L on Sales of Invest-31.89
Prov. and W/O (Net)9.4
P/L in Forex-0.78
Total Adjustments (PBT and Ext...340.51
Operating Profit before Workin...256.39
Trade and 0ther Receivables-74.51
Inventories-36.6
Trade Payables210.33
Total Adjustments (OP before W...153.65
Cash Generated from/(used in) ...410.04
Direct Taxes Paid-9.64
Total Adjustments(Cash Generat...-9.64
Cash Flow before Extraordinary...400.4
Net Cash from Operating Activi...400.4
Sale of Fixed Assets25.71
Sale of Investments48.85
Interest Received12.56
Net Cash used in Investing Act...-187.51
Proceed from 0ther Long Term B...95.86
Of the Long Tem Borrowings-125.76
Of the Short Term Borrowings-3.97
Of Financial Liabilities-2.04
Dividend Paid-9.15
Interest Paid-175.56
Net Cash used in Financing Act...-220.62
Net Profit before Tax and Extr...45.01
Depreciation116.51
Interest (Net)54.17
P/L on Sales of Assets0.65
P/L on Sales of Invest-31.89
Prov. and W/O (Net)9.41
P/L in Forex-0.74
Total Adjustments (PBT and Ext...148.21
Operating Profit before Workin...193.22
Trade and 0ther Receivables-22.94
Inventories14.69
Trade Payables124.8
Total Adjustments (OP before W...157.87
Cash Generated from/(used in) ...351.09
Direct Taxes Paid-9.13
Total Adjustments(Cash Generat...-9.13
Cash Flow before Extraordinary...341.96
Net Cash from Operating Activi...341.96
Sale of Fixed Assets1.68
Sale of Investments48.85
Interest Received11.54
Net Cash used in Investing Act...-117.73
Proceed from 0ther Long Term B...6.23
Of the Long Tem Borrowings-93.55
Of the Short Term Borrowings-26.53
Of Financial Liabilities-1.65
Dividend Paid-9.15
Interest Paid-74.81
Net Cash used in Financing Act...-199.46

Company Details

Registered Office
AddressPlot No 111 Road No 10,
Jubilee Hills
CityHyderabad
StateTelangana
Pin Code500033
Tel. No.91-40-23351571
Fax. No.91-40-23356573
Emailinfo@sagarcements.in; soundar@sagarcements.in
Internethttp://www.sagarcements.in
Registrars
AddressPlot No 111 Road No 10
CityHyderabad
StateTelangana
Pin Code500033
Tel. No.91-40-23351571
Fax. No.91-40-23356573
Emailinfo@sagarcements.in; soundar@sagarcements.in
Internethttp://www.sagarcements.in
Management
Name Designation
S Anand ReddyManaging Director
S Sreekanth ReddyJoint Managing Director
John Eric Fernand Pascal Cesar BertrandNon Executive Director
S RachanaNon Executive Director
Jens Van NieuwenborghAlternate Director
O RekhaIndependent Director
N Sudha RaniNominee (APIDC)
Madhavan GanesanNominee
R RavichandranIndependent Director
K V Vishnu RajuChairman & Independent Directo
J Raja ReddyCompany Sec. & Compli. Officer