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HOME   >  CORPORATE INFO > PROFIT & LOSS
Profit & Loss      
Shree Cement Ltd.
BSE Code 500387
ISIN Demat INE070A01015
Book Value 5709.59
NSE Code SHREECEM
Dividend Yield % 0.39
Market Cap 976433.44
P/E 54.04
EPS 500.77
Face Value 10  
(Rs. in Millions)
Particulars Mar 2024Mar 2023Mar 2022Mar 2021Mar 2020
INCOME :          
Gross Sales145820.00  123170.00  105630.00  161280.00  119040.00  
     Sales125930.00  110990.00  97450.00  156540.00  111240.00  
     Job Work/ Contract Receipts          
     Processing Charges / Service Income          
     Revenue from property development          
     Other Operational Income19900.00  12180.00  8180.00  4740.00  7800.00  
Less: Excise Duty-50030.00  -45210.00  -37430.00  34600.00    
Net Sales195860.00  168370.00  143060.00  126690.00  119040.00  
EXPENDITURE :          
Increase/Decrease in Stock-960.00  -1290.00  -1700.00  270.00  -210.00  
Raw Material Consumed18980.00  13380.00  12850.00  8340.00  7630.00  
     Opening Raw Materials580.00  540.00  540.00  520.00  380.00  
     Purchases Raw Materials14850.00  13040.00  10020.00  8360.00  7770.00  
     Closing Raw Materials780.00  580.00  540.00  540.00  520.00  
     Other Direct Purchases / Brought in cost4330.00  380.00  2830.00      
     Other raw material cost0.00  0.00  0.00  0.00  0.00  
Power & Fuel Cost56570.00  55450.00  31610.00  20820.00  23480.00  
     Electricity & Power56570.00  55450.00  31610.00  20820.00  23480.00  
     Oil, Fuel & Natural gas0.00  0.00  0.00  0.00  0.00  
     Coals etc0.00  0.00  0.00  0.00  0.00  
     Other power & fuel0.00  0.00  0.00  0.00  0.00  
Employee Cost9380.00  8660.00  8070.00  7600.00  7310.00  
     Salaries, Wages & Bonus8120.00  7480.00  6980.00  6590.00  6300.00  
     Contributions to EPF & Pension Funds1040.00  990.00  910.00  870.00  850.00  
     Workmen and Staff Welfare Expenses230.00  190.00  180.00  140.00  160.00  
     Other Employees Cost0.00  0.00  0.00  0.00  0.00  
Other Manufacturing Expenses19670.00  17820.00  16150.00  12800.00  12230.00  
     Sub-contracted / Out sourced services          
     Processing Charges          
     Repairs and Maintenance5500.00  4270.00  3630.00  2790.00  2990.00  
     Packing Material Consumed5230.00  5550.00  5570.00  4170.00  3440.00  
     Other Mfg Exp8940.00  8000.00  6950.00  5830.00  5800.00  
General and Administration Expenses1700.00  1650.00  770.00  1020.00  710.00  
     Rent , Rates & Taxes180.00  290.00  270.00  580.00  240.00  
     Insurance180.00  140.00  120.00  100.00  50.00  
     Printing and stationery          
     Professional and legal fees710.00  750.00        
     Traveling and conveyance600.00  440.00  340.00  310.00  380.00  
     Other Administration630.00  470.00  380.00  340.00  420.00  
Selling and Distribution Expenses44870.00  41400.00  36370.00  33530.00  28850.00  
     Handling and Clearing Charges0.00  0.00  0.00  0.00  0.00  
     Other Selling Expenses0.00  0.00  0.00  0.00  0.00  
Miscellaneous Expenses2250.00  1980.00  2480.00  2510.00  2290.00  
     Bad debts /advances written off20.00  10.00  0.00      
     Provision for doubtful debts20.00  0.00    0.00  0.00  
     Losson disposal of fixed assets(net)          
     Losson foreign exchange fluctuations      0.00  10.00  
     Losson sale of non-trade current investments230.00  50.00        
     Other Miscellaneous Expenses1980.00  1930.00  2480.00  2510.00  2280.00  
Less: Expenses Capitalised          
Total Expenditure152460.00  139060.00  106610.00  86890.00  82290.00  
Operating Profit (Excl OI)43390.00  29320.00  36450.00  39800.00  36750.00  
Other Income5850.00  4420.00  5400.00  4330.00  2720.00  
     Interest Received2500.00  2850.00  3030.00  2250.00  1730.00  
     Dividend Received60.00  60.00  60.00  90.00  410.00  
     Profit on sale of Fixed Assets50.00  90.00  50.00  40.00  40.00  
     Profits on sale of Investments    140.00  240.00    
     Provision Written Back    0.00    10.00  
     Foreign Exchange Gains10.00  60.00  30.00      
     Others3230.00  1370.00  2090.00  1710.00  530.00  
Operating Profit49250.00  33740.00  41850.00  44130.00  39460.00  
Interest2640.00  2690.00  2180.00  2470.00  2870.00  
     InterestonDebenture / Bonds          
     Interest on Term Loan          
     Intereston Fixed deposits          
     Bank Charges etc30.00  30.00  30.00  20.00  20.00  
     Other Interest2610.00  2660.00  2150.00  2450.00  2850.00  
PBDT46600.00  31050.00  39670.00  41660.00  36600.00  
Depreciation16150.00  15460.00  10360.00  11400.00  16990.00  
Profit Before Taxation & Exceptional Items30460.00  15590.00  29310.00  30260.00  19600.00  
Exceptional Income / Expenses          
Profit Before Tax30460.00  15590.00  29310.00  30260.00  19600.00  
Provision for Tax5770.00  2310.00  5540.00  7140.00  3900.00  
     Current Income Tax5100.00  2480.00  5430.00  7640.00  5300.00  
     Deferred Tax670.00  1370.00  1160.00  -400.00  -1350.00  
     Other taxes0.00  -1540.00  -1050.00  -100.00  -50.00  
Profit After Tax24680.00  13280.00  23770.00  23120.00  15700.00  
Extra items0.00  0.00  0.00  0.00  0.00  
Minority Interest          
Share of Associate          
Other Consolidated Items          
Consolidated Net Profit24680.00  13280.00  23770.00  23120.00  15700.00  
Adjustments to PAT          
Profit Balance B/F88340.00  78260.00  63260.00  45060.00  38570.00  
Appropriations113020.00  91540.00  87020.00  68180.00  54280.00  
     General Reserves    5000.00  5000.00  3000.00  
     Proposed Equity Dividend          
     Corporate dividend tax        820.00  
     Other Appropriation-30.00  1580.00  2140.00  -70.00  1430.00  
Equity Dividend %1050.00  1000.00  900.00  600.00  1100.00  
Earnings Per Share684.00  368.00  659.00  641.00  435.00  
Adjusted EPS684.00  368.00  659.00  641.00  435.00  
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