Heidelbergcement India Limited - Technical chart

consolidated in Rs/Cr.

Industry

Industry name

Cement
Variance

Full Year Net Profit Variance

30
Equity

Latest Equity

226.61
Face Value

Latest Face Value

10
Reserves

Total Reserve

1145.23
Dividend

Full Year Dividend %

70
Sales Turnover

Full Year Net Sales

2329.59
Net Profit

Full Year Net Profit

139.35
Full Year CPS

Full Year Cash Per Share

11
Earning Per Share

Full Year Earning Per Share

6.1
Quarter CPS

Latest quarter Cash Per Share

0
Latest Quarter Date

Latest Quarter Yrc

Jun 1, 2026
Latest Quarter Sales

Latest Quarter Net Sales

628.11
Previous EPS

Previous earnings per share

0
Book Value

Book value

60.5
Networth

Full Year Return on Networth

9.68
Price/Book Value

Price to Book value

2.231405
Yearly PE ratio

Full Year Price to Earning per share

22
Yearly PC ratio

Full Year Price to Cash Per Share

12.3
Bse value

BSE Value in lakhs

32.93
Nse value

NSE Value in lakhs

583.26
High

52 week high

210
Low

52 week low

135
Price

NSE Current market price

135
CPM

Current market price

135
Market cap

BSE / NSE Market Cap

3062.68
Net profit

Latest Quarter Net Profit

30.55
Net profit variance

Latest Quarter Net Profit variance

-37
Result year

Trailing latest month

Jun 1, 2026
TTM Sales

Trailing Twelve 12 month Net Sales

2197.28
TTM OP

Trailing Twelve 12 month Operating Profit

277.89
TTM OPM

Trailing Twelve 12 month Operating Profit Margin

12.65
TTM GP

Trailing Twelve 12 month Gross Profit

271.07
TTM GPM

Trailing Twelve 12 month Gross Profit Margin

11.49
TTM NP

Trailing Twelve 12 month Net Profit

130.74
TTM NPV

Trailing Twelve 12 month Net Profit Variane

5.6
TTM EPS

Trailing Twelve 12 month EPS

5.36
TTM PE

Trailing Twelve 12 month PE

25.21
TTM CPS

Trailing Twelve 12 month CPS

0
Month CPS

Month Cash Per Share

0
TTM Depreciation

Trailing Twelve 12 month Depreciation

110.37
Equity

Latest Equity

226.61
LTP

Latest Price (BSE/NSE)

135
Gross block

Latest Gross Block

2511.76
Loans

Total loans

14.23
Advances

Latest Advances for Banks

0
Net profit asset

Latest Assets

0
Year OPM

Full Year Operating Profit Margin

12.3
Year GPM

Full Year Gross Profit Margin

12.9
Quarter OPM

Latest quater Operation Profit Margin

10.6

Quarterly Results (consolidated, figures in Rs Cr.)

Sep 2024 Dec 2024 Mar 2025 Jun 2025 Sep 2025 Dec 2025 Mar 2026 Jun 2026
+ Sales 461 543 612 598 512 574 646 628
YOY Sales Growth % -19% -11% 3% 12% 11% 6% 6% 5%
Gross Sales 461 543 612 598 512 574 646 628
+ Expenses 424 510 522 509 454 526 562 561
Material Cost % 21% 9% 20% 19% 24% 14% 19% 21%
Raw Material Cost 91 90 120 106 102 107 125 128
Change in Inventory 5 -40 2 9 20 -25 1 6
Manufacturing Cost % 50% 47% 41% 46% 49% 46% 43% 47%
Employee Cost % 8% 6% 8% 7% 8% 7% 8% 7%
Other Cost % 13% 32% 17% 14% 7% 24% 16% 14%
Raw Materials % 20% 17% 20% 18% 20% 19% 19% 20%
Purchase of Finished Goods % 0% 2% 2% 1% 1% 1% 2% 2%
Stock Adjustments % -1% 7% -0% -1% -4% 4% -0% -1%
Power & Fuel % 29% 24% 24% 26% 29% 25% 25% 27%
Other Manufacturing Expenses % 22% 22% 17% 20% 20% 21% 18% 21%
Freight Charges % 15% 15% 16% 15% 14% 14% 15% 14%
Operating Profit 37 33 91 89 58 48 84 67
OPM % 8% 6% 15% 15% 11% 8% 13% 11%
+ Other Income 13 9 11 9 9 6 7 6
Miscellaneous Income 13 9 11 9 9 6 7 6
Interest 9 7 5 6 6 4 1 3
Depreciation 26 28 27 27 27 28 27 29
Profit before tax 15 8 70 65 33 22 63 41
+ Tax % 26% 31% 27% 25% 26% 31% 28% 25%
Current Tax 7 4 21 19 11 8 20 13
Deferred Tax -3 -2 -2 -2 -3 -2 -2 -3
+ Net Profit 11 5 50 48 25 16 45 31
Extraordinary Income / Expense 0 0 0 0 0 -5 -3 0
Exceptional Item 0 0 0 0 0 -5 -3 0
EPS in Rs

Profit & Loss (consolidated, figures in Rs Cr.)

Mar 2017 Mar 2018 Mar 2019 Mar 2020 Mar 2021 Mar 2022 Mar 2023 Mar 2024 Mar 2025 Mar 2026
+ Sales 2,002 1,962 2,133 2,170 2,117 2,297 2,238 2,366 2,149 2,330
Sales Growth % -2% 9% 2% -2% 9% -3% 6% -9% 8%
Gross Sales 1,403 1,788 2,109 2,158 2,111 2,297 2,238 2,366 2,149 2,330
Excise Duty 284 72 0 0 0 0 0 0 0 0
Other Operating Income 30 29 24 12 5 0 0 0 0 0
+ Expenses 1,723 1,599 1,650 1,642 1,610 1,862 1,989 2,049 1,909 2,051
Material Cost % 18% 19% 18% 18% 18% 19% 18% 20% 21% 20%
Raw Material Cost 326 357 392 384 369 450 414 433 428 469
Change in Inventory 35 14 -5 5 4 -22 -13 29 14 -5
Manufacturing Cost % 29% 32% 33% 31% 33% 38% 44% 38% 38% 38%
Employee Cost % 6% 6% 6% 6% 6% 6% 6% 6% 7% 7%
Other Cost % 33% 25% 21% 20% 20% 19% 21% 23% 23% 23%
Raw Materials % 16% 18% 18% 18% 17% 20% 18% 18% 20% 20%
Purchase of Finished Goods % 0% 0% 0% 0% 0% 0% 0% 0% 1% 1%
Stock Adjustments % -2% -1% 0% -0% -0% 1% 1% -1% -1% 0%
Power & Fuel % 21% 23% 24% 22% 23% 28% 35% 28% 26% 26%
Other Manufacturing Expenses % 8% 9% 9% 10% 10% 10% 10% 10% 12% 11%
Selling & Administration % 18% 20% 20% 19% 18% 18% 20% 22% 22% 22%
Miscellaneous Expenses % 1% 1% 1% 2% 1% 1% 1% 1% 1% 2%
Freight Charges % 12% 14% 14% 13% 13% 13% 14% 15% 15% 15%
Operating Profit 279 363 483 528 507 435 249 317 239 279
OPM % 14% 19% 23% 24% 24% 19% 11% 13% 11% 12%
+ Other Income 24 20 35 53 46 49 45 55 45 32
Miscellaneous Income 39 20 35 53 46 49 45 55 45 32
Exceptional Income 15 0 0 0 0 0 0 0 0 0
Interest 90 74 75 74 51 36 46 35 29 18
Depreciation 99 101 102 109 111 112 112 110 110 109
Profit before tax 114 208 342 398 391 335 136 227 146 184
+ Tax % 33% 36% 35% 33% 19% 25% 27% 26% 27% 27%
Current Tax 24 44 74 69 73 59 41 67 47 58
Deferred Tax 13 30 47 61 3 24 -4 -8 -8 -9
+ Net Profit 76 133 221 268 315 252 99 168 107 134
Profit Growth % 75% 66% 21% 17% -20% -61% 69% -36% 25%
Extraordinary Income / Expense 0 0 0 0 0 0 0 0 0 -8
Exceptional Item 0 0 0 0 0 0 0 0 0 -8
EPS in Rs

Balance Sheet (consolidated, figures in Rs Cr.)

Mar 2017 Mar 2018 Mar 2019 Mar 2020 Mar 2021 Mar 2022 Mar 2023 Mar 2024 Mar 2025 Mar 2026
Equity Capital 227 227 227 227 227 227 227 227 227 227
Reserves 740 820 945 1,088 1,267 1,339 1,235 1,243 1,169 1,145
+ Borrowings 705 619 517 413 306 199 182 137 75 14
Secured Borrowings 55 99 147 160 174 190 174 125 65 0
Unsecured Borrowings 650 520 370 253 132 9 8 12 11 14
+ Other Liabilities 735 867 1,008 1,065 1,045 1,060 1,022 1,054 1,071 1,052
Current Liabilities 899 1,018 1,114 1,136 1,032 1,034 1,012 1,053 1,072 1,054
Provisions 216 219 234 267 220 224 219 227 234 242
Other liability items 61 76 89 71 58 42 24 17 14 13
Total Liabilities 2,408 2,533 2,696 2,793 2,845 2,824 2,665 2,661 2,542 2,438
+ Fixed Assets 1,877 1,806 1,737 1,693 1,618 1,562 1,490 1,410 1,346 1,392
Gross Block 2,075 2,104 2,134 2,195 2,220 2,265 2,302 2,323 2,364 2,512
Accumulated Depreciation 198 298 398 502 601 703 812 913 1,018 1,120
CWIP 6 8 17 16 19 27 6 28 110 10
Investments 0 0 0 0 0 5 5 14 20 20
+ Other Assets 524 719 941 1,084 1,208 1,230 1,164 1,209 1,065 1,016
Inventories 140 127 167 146 161 173 175 176 171 159
Trade receivables 13 19 25 26 33 40 31 55 57 60
Cash Equivalents 14 212 338 471 432 382 492 555 478 408
Loans n Advances 524 530 552 523 415 605 429 371 321 331
Other asset items -166 -169 -141 -82 167 30 36 52 37 59
Total Assets 2,408 2,533 2,696 2,793 2,845 2,824 2,665 2,661 2,542 2,438

Cash Flow (consolidated, figures in Rs Cr.)

Mar 2017 Mar 2018 Mar 2019 Mar 2020 Mar 2021 Mar 2022 Mar 2023 Mar 2024 Mar 2025 Mar 2026
+ Cash from Operating Activity 361 377 393 459 439 302 226 350 265 198
Profit Before Tax & Extraordinary Items 114 208 342 398 391 335 136 227 146 184
Depreciation 99 101 102 109 111 112 112 110 110 109
Interest (Net) 85 67 54 41 27 5 15 -8 -7 -9
Profit / Loss on Sale of Assets 0 -1 0 0 -3 -1 0 0 0 0
Provisions & Write-offs (Net) -16 -5 -4 -7 -4 -2 -1 -2 -2 2
Profit / Loss in Forex 0 0 0 1 0 -1 1 1 0 2
Receivables 13 -6 -7 0 -8 -7 9 -24 -2 -2
Inventories 39 13 -41 22 -15 -12 -2 -1 5 12
Trade Payables 34 83 66 -18 57 4 0 45 30 -12
Direct Taxes Paid -25 -44 -71 -75 -67 -55 -44 -63 -49 -60
+ Cash from Investing Activity -40 -14 -26 -14 -173 -35 144 -48 -73 -341
Purchase of Fixed Assets -47 -23 -43 -44 -48 -47 -28 -74 -109 -52
Sale of Fixed Assets 3 5 1 0 3 1 0 1 10 0
Purchase of Investments 0 0 0 0 0 -5 0 -9 -6 0
Interest Received 4 5 16 30 23 28 28 37 36 27
Loans to Subsidiaries 0 0 0 0 -150 0 0 0 0 0
Others 0 0 0 0 -1 -12 144 -3 -3 -316
+ Cash from Financing Activity -315 -165 -242 -314 -304 -328 -267 -242 -271 -244
Proceeds from Other Long-Term Borrowings 0 0 67 0 0 0 0 0 0 0
Repayment of Long-Term Borrowings 0 0 -150 -125 -125 -120 -34 -63 -69 -69
Repayment of Financial Liabilities 0 0 0 -7 -7 -5 -4 -4 -4 -4
Dividend Paid 0 -54 -95 -123 -135 -181 -203 -158 -181 -159
Others -221 -41 0 0 0 0 0 0 0 0
Net Cash Flow 6 198 125 131 -38 -61 104 60 -79 -386