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Nine Months Results

You can view the Nine Months Results for the last 5 years.

NINE MONTHS RESULTS

Ambuja Cements Ltd.

GO
Market Cap. ( ₹ in Cr. ) 138797.01 P/BV 2.76 Book Value ( ₹ ) 204.52
52 Week High/Low ( ₹ ) 707/453 FV/ML 2/1 P/E(X) 33.31
Book Closure 13/06/2025 EPS ( ₹ ) 16.92 Div Yield (%) 0.00
(₹ in Crs.)

ParticularsDec 24Dec 23Sep 22Sep 21Sep 20
Net Sales/Income from operations25156.1524265.6523076.0921340.1817063.30
Total Income From Operations25156.1524265.6523076.0921340.1817063.30
      
EXPENDITURE     
Consumption of Raw Materials4129.983181.072799.612395.281736.26
Purchase of Traded Goods649.62312.94296.91229.95256.63
Increase/Decrease in Stocks4.04-157.64-680.18-712.6613.40
Power & Fuel5966.036091.367437.480.003373.41
Employees Cost1047.951038.571102.191143.101100.36
Depreciation1691.991170.32954.95822.15878.53
Other Expenses9255.439098.489246.3813202.326920.12
Total Expenses22745.0420735.1021157.3417080.1414278.71
      
P/L Before Other Inc. , Int., Excpt. Items & Tax2411.113530.551918.754260.042784.59
Other Income2080.99932.94324.88268.11349.73
P/L Before Interest, Excpt. Items & Tax4492.104463.492243.634528.153134.32
Interest201.65183.47112.43107.4699.46
P/L Before Exceptional Items & Tax4290.454280.022131.204420.693034.86
Exceptional Items-156.200.00-31.460.000.00
P/L Before Tax4134.254280.022099.744420.693034.86
Tax266.641087.24343.981156.06904.65
P/L After Tax from Ordinary Activities3867.613192.781755.763264.632130.21
Net Profit/Loss For the Period3867.613192.781755.763264.632130.21
Share Of P/L Of Associates8.5619.4717.4415.448.39
Net P/L After Minority Interest & Share Of Associates3876.173212.251773.203280.072138.60
      
Equity Share Capital492.62397.13397.13397.13397.13
EPS Before Extra Ordinary *     
Basic EPS (Rs.)13.1212.707.5712.548.23
Diluted EPS (Rs.)13.0811.907.5712.548.22
EPS After Extra Ordinary *     
Basic EPS (Rs.) 13.1212.708.8412.548.23
Diluted EPS (Rs.) 13.0811.907.5712.548.22
      
PBITOE Margin (%)9.5814.548.3119.9616.31
PBTE Margin (%)17.0517.639.2320.7117.78
PBT Margin (%)16.4317.639.0920.7117.78
PAT Margin (%)15.3713.157.6015.2912.48
PAT After MI And SOA Margin (%)15.4013.237.6815.3712.53
ParticularsDec 24
Net Sales/Income from operations25156.15
Total Income From Operations25156.15
  
EXPENDITURE 
Consumption of Raw Materials4129.98
Purchase of Traded Goods649.62
Increase/Decrease in Stocks4.04
Power & Fuel5966.03
Employees Cost1047.95
Depreciation1691.99
Other Expenses9255.43
Total Expenses22745.04
P/L Before Other Inc. , Int., Excpt. Items & Tax2411.11
Other Income2080.99
P/L Before Interest, Excpt. Items & Tax4492.10
Interest201.65
P/L Before Exceptional Items & Tax4290.45
Exceptional Items-156.20
P/L Before Tax4134.25
Tax266.64
P/L After Tax from Ordinary Activities3867.61
Net Profit/Loss For the Period3867.61
Share Of P/L Of Associates8.56
Net P/L After Minority Interest & Share Of Associates3876.17
Equity Share Capital492.62
EPS Before Extra Ordinary * 
Basic EPS (Rs.)13.12
Diluted EPS (Rs.)13.08
EPS After Extra Ordinary * 
Basic EPS (Rs.) 13.12
Diluted EPS (Rs.) 13.08
PBITOE Margin (%)9.58
PBTE Margin (%)17.05
PBT Margin (%)16.43
PAT Margin (%)15.37
PAT After MI And SOA Margin (%)15.40