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Audited Results of The Ramco Cements Ltd. Company
(Rs in Cr.) |
Mar 31, 2023 |
Mar 31, 2022 |
Mar 31, 2021 |
Mar 31, 2020 |
Mar 31, 2019 |
Operating Income |
8,135.27 |
5,979.98 |
5,268.44 |
5,368.44 |
5,146.27 |
Manufacturing Expenses |
4,412.61 |
2,603.17 |
1,924.10 |
2,299.47 |
2,342.34 |
Personnel Expenses |
460 |
414.46 |
402.13 |
368.20 |
329.49 |
Selling Expenses |
36.17 |
34.85 |
21.44 |
108.79 |
42.77 |
Administrative Expenses |
308.73 |
421.91 |
258.69 |
311.07 |
285.77 |
Expenses Capitalised |
0 |
0 |
0 |
0 |
0 |
Cost Of Sales |
6,953.32 |
4,696.14 |
3,720.48 |
4,241.52 |
4,119.90 |
Operating Profit |
1,181.95 |
1,283.84 |
1,547.96 |
1,126.92 |
1,026.37 |
Other Recurring Income |
36.70 |
30.64 |
34.64 |
37.20 |
28.44 |
Adjusted PBDIT |
1,218.65 |
1,314.48 |
1,582.60 |
1,164.12 |
1,054.81 |
Financial Expenses |
240.52 |
112.40 |
87.62 |
71.35 |
50.87 |
Depreciation |
504.44 |
400.84 |
355.30 |
315.26 |
298.52 |
Other Write offs |
0 |
0 |
0 |
0 |
0 |
Adjusted PBT |
473.69 |
801.24 |
1,139.68 |
777.51 |
705.42 |
Tax Charges |
130.15 |
-91.46 |
378.60 |
186.12 |
209.69 |
Adjusted PAT |
343.54 |
892.70 |
761.08 |
591.39 |
495.73 |
Non Recurring Items |
0 |
0 |
0 |
9.70 |
10.16 |
Other Non Cash adjustments |
0 |
0 |
0 |
0 |
0 |
Reported Net Profit |
343.54 |
892.70 |
761.08 |
601.09 |
505.89 |
Equity Dividend |
70.96 |
0 |
70.84 |
103.03 |
56.20 |
Preference Dividend |
0 |
0 |
0 |
0 |
0 |
Retained Earnings |
472.58 |
1,092.70 |
890.24 |
671.40 |
635.15 |