Star Cement Ltd

NSE :STARCEMENT   BSE :540575  Sector : Cement
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14 May
217.00
(-0.62%)
13 May
218.35
(-0.30%)
10 May
219.00
(0.39%)
09 May
218.15
(-3.02%)
08 May
224.95
(-2.00%)
07 May
229.55
(-1.54%)
06 May
233.15
(-1.37%)
03 May
236.40
(-1.09%)
02 May
239.00
(0.76%)
30 Apr
237.20
(4.26%)
29 Apr
227.50
(0.07%)
26 Apr
227.35
(-1.00%)
25 Apr
229.65
(0.77%)
24 Apr
227.90
(0.73%)
23 Apr
226.25
(-2.16%)
22 Apr
231.25
(1.92%)
19 Apr
226.90
(2.30%)
18 Apr
221.80
(-2.12%)
16 Apr
226.60
(1.55%)
15 Apr
223.15
(-1.54%)
12 Apr
226.65
(-1.71%)


Technical Analysis

Short Term Investors

Very Bearish

Medium Term Investors

Neutral

Long Term Investors

Bullish

Moving Averages

5 DMA
Bearish

219.32


10 DMA
Bearish

227.07


20 DMA
Bearish

227.03


50 DMA
Bearish

220.6


100 DMA
Bullish

203.76


200 DMA
Bullish

182.1



Intraday Support and Resistance
(Based on Pivot Points) |

Updated On May 14, 2024 04:00 PM For Next Trading Session

Pivots Classic Fibonacci Camarilla Woodie DM
R3 223.25 221.6 218.09 - -
R2 221.6 220.09 217.72 221.44 -
R1 219.3 219.16 217.36 218.98 220.45
P 217.65 217.65 217.65 217.49 218.23
S1 215.35 216.14 216.64 215.03 216.5
S2 213.7 215.21 216.28 213.54 -
S3 211.4 213.7 215.91 - -

Key Metrics

EPS

5.35

P/E

40.79

P/B

5.68

Dividend Yield

0%

Market Cap

8,825 Cr.

Face Value

1

Book Value

38.21

ROE

10.8%

EBITDA Growth

151.89 Cr.

Debt/Equity

0.01

Shareholding Pattern

  66.59% Total Promoter Holding
6.11% Mutual Fund Holdings
1.52% FIIs
25.78% Non Institution
0% Insurance Companies
0% Custodians
0% Other Parties

Shareholding History


Quarterly Result (Figures in Rs. Crores)


Star Cement Ltd Quaterly Results


Dec 2022Mar 2023Jun 2023Sep 2023Dec 2023
INCOME 628.93 842.71 769.2 591.03 655.54
PROFIT 52.87 96.12 93.26 40.67 73.52
EPS 1.31 2.38 2.31 1.01 1.82

Star Cement Ltd Quaterly Results


Dec 2022Mar 2023Jun 2023Sep 2023Dec 2023
INCOME 627.47 838.53 778.43 607.47 663.09
PROFIT 30.3 68.85 54.09 36.73 56.41
EPS 0.75 1.7 1.34 0.91 1.4

Profit & Loss (Figures in Rs. Crores)


Star Cement Ltd Profit & Loss


Mar 2014Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023
INCOME 1046.63 1419.31 1733.44 1542.33 1611.35 1825.83 1880.49 1761.08 2226.65 2774.79
PROFIT -3.37 118.63 134.44 194.72 330.66 298.78 285.55 246.11 246.77 247.6
EPS 0 0 0 0 8.02 7.27 6.97 4.54 6.11 6.13

Star Cement Ltd Profit & Loss


Mar 2014Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023
INCOME 753.52 1106.57 1422.33 1287.51 1464.51 1723.69 1807.88 1688.77 2216.42 2748.9
PROFIT -15.69 46.03 56.85 80.02 210.78 255.89 218.71 186.58 176.32 164.02
EPS 0 10.98 13.43 1.91 5.03 6.1 5.3 3.81 4.36 4.06

Balance Sheet (Figures in Rs. Crores)

Mar 2023Mar 2022Mar 2021Mar 2020Mar 2019Mar 2018Mar 2017Mar 2016Mar 2015Mar 2014
SOURCES OF FUNDS :
Share Capital 40.4240.4241.2441.2441.9241.9241.9241.9241.9241.92
Reserves Total 2,375.962,128.022,032.921,815.881,681.741,434.431,104.051,013.42879.38800.97
Total Shareholders Funds2,416.382,168.442,074.161,857.121,723.661,476.351,145.971,055.34921.3842.89
Minority Interest00070.0568.362.1156.653.0447.7345.06
Secured Loans 26.15.3815.3113.3673.82336.12615.91752.71628.76803.6
Unsecured Loans 9.2510.272.870096.3184.81187.09251.71160.59
Total Debt35.3515.6518.1813.3673.82432.42800.72939.8880.47964.19
Other Liabilities181.69169.3145.02126.55115.09110.15170.3395.8785.8574.38
Total Liabilities2,633.422,353.392,237.362,067.081,980.872,081.032,173.622,144.051,935.351,926.52
APPLICATION OF FUNDS :
Gross Block 1,705.041,607.251,385.581,167.051,096.091,055.621,004.341,673.811,612.431,505.45
Less: Accumulated Depreciation814.1683.77562.62470.92373.77270.89141.11754.68584.46362.83
Net Block890.94923.48822.96696.13722.32784.73863.23919.131,027.971,142.62
Capital Work in Progress550.62109.06126.61237.5574.3135.7454.8748.9740.9799.23
Investments 172.55167.271.661.581.731.441.451.531.531.53
Inventories 374.11195.3234.68256.91277.19294.6161.22209.16109.14155.47
Sundry Debtors 104.69128.75131.73122.22143.76146.47137.78448.8309.8125.01
Cash and Bank Balance311.74384.67471.72283.83211.3119.7820.0823.7620.3111.41
Loans and Advances 206.88255.77386.32396.5516.19935.391,006.23369.38282.77210.32
Total Current Assets997.42964.491,224.451,059.451,148.461,396.251,325.311,051.11722.03502.22
Current Liabilities 494.91387.95317.57286.64303.78410.85292.78308.69204.6185.57
Provisions 3.073.767.224.4212.2113.8213.831.4841.080.31
Total Current Liabilities & Provisions497.98391.71324.79291.07315.99424.67306.61310.17245.69185.88
Net Current Assets499.44572.78899.66768.39832.47971.581,018.7740.94476.34316.34
Deferred Tax Assets293.03355.21319.72298.01281.06242.59190.20.3500.8
Deferred Tax Liability3.991.298.498.6710.039.6713.712.038.664.49
Net Deferred Tax289.04353.92311.23289.34271.03232.92176.5-11.68-8.66-3.69
Other Assets230.82226.8975.2474.1179.0154.6258.88445.15397.2370.49
Total Assets2,633.412,353.392,237.372,067.091,980.872,081.032,173.622,144.051,935.351,926.53
Contingent Liabilities596.91505.29346.06323.5772.3454.554.2445.5270.197.53
Mar 2023Mar 2022Mar 2021Mar 2020Mar 2019Mar 2018Mar 2017Mar 2016Mar 2015Mar 2014
SOURCES OF FUNDS :
Share Capital 40.4240.4241.2441.2441.9241.9241.9241.9241.9241.92
Reserves Total 1,423.281,258.951,234.141,076.811,009.36796.49585.84530.07473.76467.98
Total Shareholders Funds1,463.71,299.371,275.381,118.051,051.28838.41627.76571.99515.68509.9
Secured Loans 8.474.056.865.426.03201.58331.24297.38300.94255.49
Unsecured Loans 35.3779.66118.14142.84151.12226.27290.6276.67150.08162.07
Total Debt43.8483.71125148.26157.15427.85621.84574.05451.02417.56
Other Liabilities172.14158.98132.57112.1398.3190.46104.0977.8863.742.61
Total Liabilities1,679.681,542.061,532.951,378.441,306.741,356.721,353.691,223.921,030.4970.07
APPLICATION OF FUNDS :
Gross Block 883.83800.81671.56462.3398.97374.11332.17577561.9543.98
Less : Accumulated Depreciation 384.76306.22236.14188.06142.7100.4146.66313.56253.32168.7
Net Block 499.07494.59435.42274.24256.27273.7285.51263.44308.58375.28
Capital Work in Progress360.1457.48109.75223.0860.5226.446.2440.7221.5216.93
Investments 346.72408.05279.16238.8238.95238.84238.85238.78238.78238.78
Inventories 168.2696.2894.8784.2680.05122.2762.0385.0652.4670.68
Sundry Debtors 97.56128.78131.09106.93127.94127.1123.27347.37227.2199.02
Cash and Bank Balance207.52236.32365.91262.21194.177.5712.598.0611.986.15
Loans and Advances 124.52151.13243.5207.02370.02724.49678.22316.49226.97137.54
Total Current Assets597.85612.51835.37660.42772.18981.43876.12756.98518.62313.39
Current Liabilities 443.19366.67353.91237.08227.81319.92224.45269.56185.51138.78
Provisions 2.733.16.043.1810.69.659.081.1940.840.17
Total Current Liabilities & Provisions445.92369.77359.94240.26238.41329.56233.53270.74226.35138.95
Net Current Assets151.93242.74475.43420.16533.77651.86642.58486.24292.27174.44
Deferred Tax Assets181.62222.65187.69173.51162.96135.69103.920.8600.44
Deferred Tax Liability000000.120.14001.47
Net Deferred Tax181.62222.65187.69173.51162.96135.57103.780.860-1.03
Other Assets140.2116.5545.548.6654.2930.3636.73193.87169.25165.66
Total Assets1,679.681,542.071,532.961,378.451,306.751,356.721,353.691,223.921,030.4970.06
Contingent Liabilities198.53162.8459.0165.440.119.2720.9717.83349.05493.48

Cash Flow (Figures in Rs. Crores)

Net Profit before Tax and Extr...379.67
Depreciation131.11
Interest (Net)-33.65
P/L on Sales of Assets-0.02
Prov. and W/O (Net)7.55
Total Adjustments (PBT and Ext...104.92
Operating Profit before Workin...484.59
Trade and 0ther Receivables22.01
Inventories-178.82
Trade Payables110.2
Loans and Advances16.79
Total Adjustments (OP before W...-41.65
Cash Generated from/(used in) ...442.94
Direct Taxes Paid-67.71
Total Adjustments(Cash Generat...-67.71
Cash Flow before Extraordinary...375.23
Net Cash from Operating Activi...375.23
Purchased of Fixed Assets-571.86
Sale of Fixed Assets2.41
Sale of Investments64.69
Interest Received46.6
Net Cash used in Investing Act...-271.69
Proceed from Short Tem Borrowi...20.73
Of Financial Liabilities-1.03
Interest Paid-9.7
Net Cash used in Financing Act...10
Net Profit before Tax and Extr...248.84
Depreciation77.52
Interest (Net)-12.54
Prov. and W/O (Net)2.05
Total Adjustments (PBT and Ext...66.95
Operating Profit before Workin...315.79
Trade and 0ther Receivables29.17
Inventories-71.98
Trade Payables49.91
Loans and Advances-22.3
Total Adjustments (OP before W...33.04
Cash Generated from/(used in) ...348.84
Direct Taxes Paid-44.94
Total Adjustments(Cash Generat...-44.94
Cash Flow before Extraordinary...303.9
Net Cash from Operating Activi...303.9
Purchased of Fixed Assets-416.42
Sale of Fixed Assets0.94
Sale of Investments49.39
Interest Received30.06
Net Cash used in Investing Act...-139.88
Proceed from Short Tem Borrowi...4.42
Of the Long Tem Borrowings-43.05
Of Financial Liabilities-1.24
Interest Paid-12.51
Net Cash used in Financing Act...-52.38

Company Details

Registered Office
AddressLumshnong P O Khaliehriat,
CityJaintia Hills
StateMeghalaya
Pin Code793210
Tel. No.91-03655-278215/16/18
Fax. No.91-03655-278217
Emailinvestors@starcement.co.in
Internethttp://www.starcement.co.in
Registrars
AddressLumshnong P O Khaliehriat
CityJaintia Hills
StateMeghalaya
Pin Code793210
Tel. No.91-03655-278215/16/18
Fax. No.91-03655-278217
Emailinvestors@starcement.co.in
Internethttp://www.starcement.co.in
Management
Name Designation
Sajjan BhajankaChairman & Managing Director
RAJENDRA CHAMARIAVice Chairman & M.D.
Sanjay AgarwalManaging Director
Prem Kumar BhajankaManaging Director
Plistina DkharIndependent Director
Ibaridor Katherine WarIndependent Director
Debabrata ThakurtaCompany Sec. & Compli. Officer
Amit Kiran DebIndependent Director
BRIJ BHUSHAN AGARWALDirector
DEEPAK SINGHALIndependent Director
Tushar BhajankaDeputy Managing Director
Nirmalya BhattacharyyaIndependent Director
Vivek ChawlaIndependent Director
JAGDISH CHANDRA TOSHNIWALIndependent Director
Ramit BudhrajaIndependent Director
Keshav BhajankaAdditional Director