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Star Cement Ltd. (IN:STARCEMENT)
:STARCEMENT
India Market
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Star Cement Ltd. (STARCEMENT) Financial Statements

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Star Cement Ltd. Financial Overview

Star Cement Ltd.'s market cap is currently ₹78.96B. The company's EPS TTM is ₹9.14; its P/E ratio is 21.35; and it has a dividend yield of 1.02%. Star Cement Ltd. is scheduled to report earnings on August 7, 2026, and the estimated EPS forecast is ₹―. See an overview of income statement, balance sheet, and cash flow financials.
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Income Statement
Total Revenue₹ 37.76B₹ 31.63B₹ 28.88B₹ 25.76B₹ 22.19B
Gross Profit₹ 20.80B₹ 21.15B₹ 18.54B₹ 16.61B₹ 12.23B
Operating Income₹ 5.71B₹ 2.47B₹ 4.14B₹ 2.28B₹ 2.43B
EBITDA₹ 9.44B₹ 5.89B₹ 5.84B₹ 5.22B₹ 3.81B
Net Income₹ 3.93B₹ 1.69B₹ 2.95B₹ 2.48B₹ 2.47B
Balance Sheet
Cash & Short-Term Investments₹ 931.36M₹ 2.27B₹ 945.46M₹ 3.10B₹ 3.83B
Total Assets₹ 46.47B₹ 41.07B₹ 36.02B₹ 31.31B₹ 27.45B
Total Debt₹ 6.03B₹ 4.03B₹ 1.47B₹ 353.50M₹ 156.52M
Net Debt₹ 5.90B₹ 3.63B₹ 991.56M₹ -862.72M₹ 75.77M
Total Liabilities₹ 14.59B₹ 12.28B₹ 8.92B₹ 7.15B₹ 5.77B
Stockholders' Equity₹ 31.91B₹ 28.79B₹ 27.10B₹ 24.16B₹ 21.68B
Cash Flow
Free Cash Flow₹ 2.24B₹ -2.85B₹ -5.47B₹ -1.97B₹ 2.18B
Operating Cash Flow₹ 7.17B₹ 2.96B₹ 4.90B₹ 3.75B₹ 4.17B
Investing Cash Flow₹ -8.44B₹ -5.29B₹ -6.50B₹ -2.72B₹ -2.89B
Financing Cash Flow₹ 996.79M₹ 2.24B₹ 864.80M₹ 100.03M₹ -1.76B
Currency in INR

Star Cement Ltd. Earnings and Revenue History

Star Cement Ltd. Debt to Assets

Star Cement Ltd. Cash Flow

Star Cement Ltd. Forecast EPS vs Actual EPS