Shree Cement Ltd Financials Statements

Annual and Quarterly P/L, Balance Sheet, Cash Flow & Financial Ratios

Consolidate
Standalone
Financial Year
Dec '24
Sep '24
Jun '24
Mar '24
Dec '23
Total Qtr Revenue cr
4,683.46
4,235.55
5,263.09
5,582.44
5,370.65
Other Income Qtr Cr110.78181.38139.13149.63147.47
Operating Revenues Qtr4,572.684,054.175,123.965,432.815,223.18

*All values are in Cr.

Operating Expenses Qtr
3,607.88
3,440.69
4,196.78
4,010.98
3,959.23
Operating Profit Qtr
964.80
613.48
927.18
1,421.83
1,263.95
EBIDT Qtr Cr
1,075.58
794.86
1,066.31
1,571.46
1,411.42
Depreciation Qtr
799.11
715.87
704.26
702.31
443.86
Net Profit Qtr
193.40
76.44
278.61
674.88
701.89
Basic EPS Qtr
53.61
21.18
77.22
187.04
194.54
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