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Overview

Detailed Summary
  • Key insightKey insight

    Mangalam Cement Limited primarily produces cement and Portland Pozzolana Cement using dry processes, marketed under 'Mangalam' and 'Birla Uttam'.

  • Key insightKey insight

    The company has enhanced its production capacity significantly over the years, indicating a strategy focused on expansion and modernization.

  • Key insightKey insight

    Mangalam Cement exhibits a strong commitment to sustainability, illustrated by its investment in waste heat recovery and renewable energy sources.

  • Key insightKey insight

    Mangalam Cement has undertaken critical strategic moves, including mergers for operational consolidation and significant capex investments.

  • Key insightKey insight

    The company was declared as a sick industrial company in 2002 but has since recovered, highlighting its resilience and effective strategic planning.

Sector

Cement & Cement Products

Industry

Cement & Cement Products

Market Cap

2,306 Cr

Volatility

Moderate Risk

P/E Ratio

17.9

Industry P/E

33.8

PEG Ratio

1.2

P/B Ratio

2.4

52W High

955.15

52W Low

679.80

Financial Ratios

Sales CAGR

1Y
-2.58%
3Y
2.39%
5Y
6.48%
10Y
6.32%

Profit CAGR

1Y
-24.55%
3Y
-16.61%
5Y
-9.90%
10Y

ROE

TTM
14.94%
3Y
5.04%
5Y
7.65%
10Y
6.02%

ROCE

TTM
9.23%
3Y
10.74%
5Y
12.78%
10Y
11.15%

Peers

SymbolWatchlistPriceMarket CapP/EP/BDiv Yield (%)ROE (%)ROCE (%)ROA (%)

157.60

3,568 Cr

25.63

2.72

4.45

9.83

14.30

5.71

136.20

2,800 Cr

8.29

1.31

0.37

15.74

14.70

10.78

182.00

2,376 Cr

-214.60

1.40

0.00

-0.65

2.10

-0.02

847.25

2,306 Cr

17.88

2.36

0.00

14.94

9.23

5.32

159.10

2,058 Cr

13.75

1.25

0.16

9.15

11.79

6.47

71.13

1,044 Cr

41.81

2.85

1.42

6.83

4.93

2.36

601.15

842 Cr

26.47

1.13

0.10

4.45

3.84

1.87

Median: 7 Co.

159.10

2,306 Cr

17.88

1.40

0.16

9.15

9.23

5.32

Price Chart Comparison

Financial Statements

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Standalone Quarterly Results (in ₹ Crores)

Total Figures
QoQ Changes
Total Figures
Dec 2023Mar 2024Jun 2024Sep 2024Dec 2024Mar 2025Jun 2025Sep 2025Dec 2025Mar 2026
Sales439437381359438503452395421490
Expenses382392351329395449377352376436
Operating Profit57463030435475434554
OPM %13.0610.427.808.399.9210.7716.6410.8110.6811.01
Other Income5.511932105.3213119.756.30-4.46
Interest17171617161917161516
Depreciation19191919192120202020
Profit Before Tax2729263.64132749161613
Tax %40.6640.5235.269.8940.0637.3034.35-22.3227.06-400.23
Net Profit1617173.287.811732201165
EPS in Rs5.806.296.211.192.846.1511.737.314.1323.72

Standalone Profit Loss (in ₹ Crores)

Total Figures
YoY Changes
Total Figures
Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025TTM
Sales1,0451,1191,2001,2281,3051,5661,8021,7251,6811,752
Expenses9279971,1431,0291,0601,3481,6541,5231,5241,549
Operating Profit11812257199245218148202157203
OPM %11.2510.864.7616.2318.7913.958.2111.739.3711.58
Other Income21282430252715386139
Interest47475163696466686970
Depreciation40444649636269747980
Profit Before Tax5019-1611713811928997093
Tax %27.4239.9638.8535.2032.2434.7538.2339.7535.6135.05
Net Profit3711-9.7476937817604560
EPS in Rs13.324.14-3.5427.6035.3327.626.2321.7216.3946.89
Dividend Payout %5.4711.74-13.703.524.415.3124.086.919.15

Standalone Balance Sheet (in ₹ Crores)

Total Figures
YoY Changes
Total Figures
Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025
Equity Capital27272727272727272727
Reserves447479488477549640715729784824
Borrowings350299280406494632628621607627
Other Liabilities369408425505523558558612649687
Total Liabilities1,1921,2131,2201,4141,5931,8581,9281,9902,0682,166
Fixed Assets7448148318219159801,1411,1701,1621,177
CWIP71495.0973211121017435.44
Investments202836336571104788491
Other Assets358323348487591694673725779892
Total Assets1,1921,2131,2201,4141,5931,8581,9281,9902,0682,166

Standalone Cash Flows (in ₹ Crores)

Total Figures
YoY Changes
Total Figures
Mar 2011Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025
Cash from Operating Activity-2.7184216234189139182188
Cash from Investing Activity-38-176-156-172-134-64-112-132
Cash from Financing Activity-17832.91-41-73-89-86-63
Net Cash Flow-58-9.256320-18-14-15-6.98

Documents

Presentations
Concalls
Reports
Presentations

No documents found!

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