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J K Cements Ltd

Updated on October 15, 2020

Stock/Share Code - JKCEMENT

JK Cements is engaged in the manufacturing and selling of Cement and Cement related products.(Source : 201903 Annual Report Page No: 85)

Below is the details of JKCEMENT J K Cements Ltd

Market Cap₹11,510 Cr.
Current Price ₹1,944.85 as on 21 Oct 20
52 Week High / Low Price₹1,615 / ₹795.25
Face Value₹10
Stock P/E35.44
Book Value₹404.94
Dividend Yield0.50 %
ROCE19.46 %
ROE17.59 %
Sales Growth (3yrs)13.42 %
IndustryCement - North India
Listed onBSE  AND  NSE
Company WebsiteCompany Website
Pros: Company has delivered good profit growth of 27.83% CAGR over last 5 years Company has been maintaining a healthy dividend payout of 19.57%
Cons: The company has delivered a poor growth of 10.27% over past five years. Promoter holding has decreased over last 3 years: -6.09%

J K Cements Ltd Price Chart

J K Cements Ltd Price Chart

J K Cements Ltd Peer Comparison in Cement

S.No. Name CMP Rs. P/E Mar Cap Rs.Cr. Div Yld % NP Qtr Rs.Cr. Qtr Profit Var % Qtr Sales Var % Sales Qtr Rs.Cr. ROCE %
1. UltraTech Cem. ₹4,629.1 20.71 ₹112,675.29 Cr. 0.33 ₹797.43 Cr. -29.29 -33.15 7633.75 12.35
2. Shree Cement ₹21,147.5 49.26 ₹73,182.58 Cr. 0.54 ₹329.6 Cr. -13.19 -24.91 2480.14 15.51
3. Ambuja Cements ₹253.35 21.03 ₹41,807.76 Cr. 0.71 ₹457.14 Cr. -26.61 -34.30 4644.17 17.37
4. ACC ₹1,620.15 21.22 ₹24,821.72 Cr. 1.06 ₹270.92 Cr. -40.54 -37.29 2602.24 19.13
5. J K Cements 35.44 ₹11,509.88 Cr. 0.50 ₹77.68 Cr. -49.49 -27.34 964.97 19.46
6. Birla Corpn. ₹50.35 11.03 ₹4,745.36 Cr. 1.22 ₹65.77 Cr. -53.23 -35.13 1221.97 12.21
7. Heidelberg Cem. ₹189.35 18.04 ₹4,292.05 Cr. 3.97 ₹48.94 Cr. -38.07 -30.81 407.70 27.63
8. Star Cement ₹83.55 15.19 ₹3,722.17 Cr. 1.11 ₹43.31 Cr. -48.37 -36.65 291.97 18.05

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J K Cements Ltd Fundamentals

Quarterly Results

Quarterly reports are issued by companies every three months. Most companies have a financial year-end of Mar. 31 and quarters that end on June 30, Sept. 30, Dec. 31 and March 31.

Standalone Figures in Rs. Crores

Sep 2017Dec 2017Mar 2018Jun 2018Sep 2018Dec 2018Mar 2019Jun 2019Sep 2019Dec 2019Mar 2020Jun 2020
Sales -1,1081,1261,3161,1161,1011,2731,4921,3281,2541,4041,477965
YOY Sales Growth %20.12%23.73%27.99%7.12%-0.64%13.06%13.37%19.04%13.95%10.29%-0.97%-27.34%
Expenses -9009561,1349659311,0631,2121,0241,0001,1261,131750
Material Cost %17.28%17.73%16.69%15.86%15.34%17.86%17.75%13.74%17.26%18.14%14.02%20.24%
Employee Cost %7.07%7.04%6.86%8.12%8.19%7.00%5.60%7.29%7.67%7.06%6.68%9.85%
Operating Profit207170182150170211279304254278346215
OPM %19%15%14%13%15%17%19%23%20%20%23%22%
Other Income27254416181235171824-15120
Profit before tax12192123648111721121816419080120
Tax %23%21%22%23%20%48%29%29%34%27%100%36%
Net Profit937396496561150154109138078
EPS in Rs13.3210.4313.797.059.258.7019.4119.9114.0817.800.0310.05

Profit & Loss

The profit and loss (P&L) statement is a financial statement that summarizes the revenues, costs and expenses incurred during a specified period, usually a fiscal quarter or year. The P&L statement is synonymous with the income statement. These records provide information about a company's ability or inability to generate profit" by increasing revenue, reducing costs or both. Some refer to the P&L statement as a statement of profit and loss, income statement, statement of operations, statement of financial results or income, earnings statement or expense statement.

Standalone Figures in Rs. Crores

Mar 2009Mar 2010Mar 2011Mar 2012Mar 2013Mar 2014Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020TTM
Sales -1,4961,8272,0932,5452,9072,7903,3514,1243,7454,5914,9815,4645,101
Sales Growth %2.50%22.13%14.58%21.58%14.24%-4.02%20.07%23.09%-9.21%22.61%8.50%9.69%
Expenses -1,1721,3851,8142,0282,3452,4162,8873,6043,0533,8294,1674,2504,007
Material Cost %10.00%9.25%12.46%12.02%13.22%15.22%16.60%16.38%16.96%16.84%16.82%15.75%
Manufacturing Cost %33.60%31.11%36.69%35.00%33.72%34.07%33.33%40.06%26.65%28.29%29.67%26.24%
Employee Cost %5.84%5.44%6.09%5.30%5.43%6.01%6.04%5.69%7.36%7.09%7.10%7.15%
Other Cost %28.91%30.01%31.43%27.37%28.29%31.26%30.18%25.26%30.57%31.17%30.07%28.64%
Operating Profit3244422795175623754645206917628141,2141,093
OPM %22%24%13%20%19%13%14%13%18%17%16%22%21%
Other Income17243638464851578210976-125-89
Profit before tax23431184286341136159142324440474652555
Tax %39%27%23%38%31%29%1%27%35%22%31%39%
Net Profit1422266417723497157103211342325400324
EPS in Rs19.7631.318.8324.5532.2913.3721.6313.9630.1448.8942.0551.8241.96
Dividend Payout %17%19%22%20%19%22%18%27%27%20%24%14%

Compounded Sales Growth

  • 10 Years:: 11.58%
  • 5 Years:: 10.27%
  • 3 Years:: 13.42%
  • TTM:: -1.79%

Compounded Profit Growth

  • 10 Years:: 8.81%
  • 5 Years:: 27.83%
  • 3 Years:: 33.63%
  • TTM:: -24.37%

Return on Equity

  • 10 Years:: 25.01%
  • 5 Years:: 19.33%
  • 3 Years:: 13.75%
  • 1 Year:: 44.68%

Balance Sheet

A balance sheet is a financial statement that reports a company's assets, liabilities and shareholders' equity at a specific point in time, and provides a basis for computing rates of return and evaluating its capital structure. It is a financial statement that provides a snapshot of what a company owns and owes, as well as the amount invested by shareholders. It is used alongside other important financial statements such as the income statement and statement of cash flows in conducting fundamental analysis or calculating financial ratios.

Standalone Figures in Rs. Crores

Mar 2009Mar 2010Mar 2011Mar 2012Mar 2013Mar 2014Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020
Share Capital -707070707070707070707777
Equity Capital707070707070707070707777
Other Liabilities -4115436848349331,0241,0931,2311,3291,4831,6961,950
Trade Payables119143175136160183201263378643407453
Advance from Customers00000006172896896
Other liability items2914005096987738418939078797501,2211,402
Total Liabilities2,1612,9713,4033,5803,9025,1035,3485,5645,8435,9846,9477,855
Fixed Assets -1,2162,0522,2962,3162,3642,3133,3383,5233,6803,5973,6354,468
Gross Block1,4412,3772,7452,9003,0873,1804,2344,5864,8864,9515,1776,180
Accumulated Depreciation2253244485847228688961,0641,2061,3551,5411,712
Other Assets -9006871,0021,1691,2611,3891,5051,4521,5231,6651,7512,312
Trade receivables53826184115112139166148188202223
Cash Equivalents125132321432332348408368427544430631
Loans n Advances599265261230155283510564532549625937
Other asset items-13-283859196105-63-75-82-147-64-108
Total Assets2,1612,9713,4033,5803,9025,1035,3485,5645,8435,9846,9477,855

Cash Flows

Cash flow is the net amount of cash and cash-equivalents being transferred into and out of a business. At the most fundamental level, a company’s ability to create value for shareholders is determined by its ability to generate positive cash flows, or more specifically, maximize long-term free cash flow.

Standalone Figures in Rs. Crores

Mar 2009Mar 2010Mar 2011Mar 2012Mar 2013Mar 2014Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020
Cash from Operating Activity -2412582565223841874345897127907111,092
Profit from operations3314623095325703784675107648378461,218
Loans Advances0000000-960000
Other WC items000000010011956-4974
Working capital changes-9-82759-67-11422110955-3727
Direct taxes-38-72-19-53-77-23-31-31-60-102-98-153
Other operating items-42-50-41-16-41-53-2500000
Cash from Investing Activity --82-192-280-145-477-1,046-458-390-655-131-863-1,311
Fixed assets purchased-95-200-294-164-359-950-488-316-295-178-616-989
Fixed assets sold3171223085838
Investments purchased-1-62-145-142-208-206-143-116-177-658-374-482
Investments sold0621451375077132016262163868
Interest received1076233831384230433644
Dividends received000000000000
Invest in subsidiaries00000000-82-60-79-96
Inter corporate deposits00000000-79-4500
Other investing items00000000-22388104-664
Cash from Financing Activity --179-80213-266-787484-215-302-59820718
Proceeds from shares00000000005040
Proceeds from borrowings180124502732011,25636915000182686
Repayment of borrowings-90-124-199-181-152-197-150-67-120-295-177-284
Proceeds from deposits00000102000000
Investment subsidy321110611300000
Interest paid fin-53-106-110-139-136-177-217-265-269-241-218-217
Dividends paid0000000-34-34-67-84-163
Financial liabilities00000000000-5
Other financing items-2481410-2478-19590121500
Net Cash Flow-20-14189111-1001560-16-2466155-201

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Mar 2009Mar 2010Mar 2011Mar 2012Mar 2013Mar 2014Mar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020
ROCE %17%18%8%16%17%8%9%10%14%16%14%19%
Debtor Days131611121415151514151515
Inventory Turnover4.203.112.922.812.662.192.563.022.723.233.473.16

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