Sagar Cements Ltd - manufacturing in Hyderabad, Telangana, India. FY 2026 financials and compliance.
CIN L26942TG1981PLC002887 Incorporated 15 January 1981 ROC Hyderabad HQ Hyderabad, Telangana, India
Active Listed - NSE: SAGCEM · BSE: 502090 Public Limited Company manufacturing
Data last updated
Revenue · FY 2026
₹2,650.02 Cr
▲ 17.38% YoY
EBITDA · FY 2026
₹313.54 Cr
▲ 92.92% YoY
Net profit · FY 2026
-₹73 Lakh
▲ 99.66% YoY
Authorised capital
₹292.5 Cr
Registered with MCA
Paid-up capital
₹26.14 Cr
Issued & subscribed
Open charges
₹3,253.71 Cr
Satisfied ₹2,062.88 Cr
Company age
45 yrs
Est. 1981
Employees · EPFO
793
Latest available

About Sagar Cements Ltd

Data last updated: 11 January 2026

Sagar Cements Ltd is a public limited company based in Hyderabad, Telangana, India. It specialises in cement and cement products, a part of the broader manufacturing sector. Incorporated on 15 January 1981, the company has been in operation for over 45 years.

Registered with ROC Hyderabad under CIN L26942AP1981PLC002887. Listed on BSE: 502090 and NSE: SAGCEM.

Capital: an authorised share capital of ₹292.5 Cr and a paid-up capital of ₹26.14 Cr. It is led by directors including Kolluru Prasad and Sudha Rani Naga.

Last AGM: 30 June 2025. Financial statements filed for year ended 31 March 2025. Office: Plot No.111 Road No.10 Jubilee Hills, Hyderabad, Telangana, India – 500033.

As per the financials filed for FY 2025, the company reported a revenue of ₹2,279.07 Cr, a decline of 11% compared to the previous year.

The company has a workforce of approximately 793 employees as per the latest available data.

The company is associated with 1 brand - Sagar Cements. As per MCA filings, the company has open charges of ₹3,253.71 Cr and satisfied charges of ₹2,062.88 Cr on record.

The current compliance status is marked as compliant by the Registrar of Companies. For more details, the company can be reached via its website sagarcements.in.

Company Details of Sagar Cements Ltd
CIN L26942TG1981PLC002887
Registration Number 002887
Incorporation Date 15 January 1981
ROC Hyderabad
Listing Status Listed (BSE: 502090, NSE: SAGCEM)
Company Status Active
Date of Last AGM 30 June 2025
Date of Balance Sheet 31 March 2025
Compliance Status Active Compliant
Contact Details
  • Email
    **************
  • Telephone
    **************
  • Website
    **************
  • Social Media
  • Registered Address
    Plot No.111 Road No.10 Jubilee Hills, Hyderabad, Telangana, India – 500033
  • Industry
    Manufacturing, Cement & Cement Products
Company report
Sagar Cements Ltd - full intelligence report
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Financials, compliance, directors, charges, ownership and filings for Sagar Cements Ltd in one report.

10-year financials Directors & ownership Charges & compliance

CIN History of Sagar Cements Ltd

Sagar Cements Ltd has one previous CIN (Corporate Identification Number): L26942AP1981PLC002887. The current CIN is L26942TG1981PLC002887, which is the unique identifier assigned by the Registrar of Companies.

CIN Status
L26942TG1981PLC002887 Current
L26942AP1981PLC002887 Previous

Associated Brands with Sagar Cements Ltd

Sagar Cements Ltd operates one associated brand: Sagar Cements. These brands represent Sagar Cements Ltd's diversified market presence and brand portfolio.

Brand Description Website
Cement production is managed by Sagar Cements in India. sagarcements.in

Competitors & Alternatives of Sagar Cements Ltd

Brands and companies operating in the same space as Sagar Cements Ltd include JSW Cement, Wonder Cement, Dalmia Bharat and 5 more.

Competitor Description Location Founded
JSW Cement JSW Cement Cement, aggregates, additives, and ready-mix concrete are manufactured. Mumbai, India, India 2009
Wonder Cement Wonder Cement Manufacturer of cement materials Udaipur, India, India 2007
Dalmia Bharat Dalmia Bharat Cement and sugar are produced by Dalmia Bharat. Delhi, India, India 1939
Ash Grove Ash Grove Cement is manufactured by Ash Grove in the United States. Overland Park, United States, United States 1882
Shree Cement Shree Cement Cement is manufactured and supplied by Shree Cement in India. Kolkata, India, India 1979
Ambuja Cements Ambuja Cements Cement and building materials are manufactured by Ambuja Cements. Mumbai, India, India 1983
Orient Cement Orient Cement Cement is manufactured by Orient Cement in India. Hyderabad, India, India 1979
Star Cement Star Cement Star Cement is recognized as a leading cement manufacturer in Eastern India. Kolkata, India, India 2001

Business Activity of Sagar Cements Ltd

Sagar Cements Ltd is engaged in principal business activities including manufacturing and electricity, gas, steam and air condition supply, with detailed activities including other manufacturing including jewellery, musical instruments, medical instruments, sports goods, etc. activities, electric power generation, transmission and distribution. The company has 2 registered principal business activity segments, demonstrating its operational diversity and market reach.

Main Activity Group Code Description of Main Activity Business Activity Code Description of Business Activity Turnover Percentage
C Manufacturing C13 Other manufacturing including jewellery, musical instruments, medical instruments, sports goods, etc. activities *********
D Electricity, gas, steam and air condition supply D1 Electric power generation, transmission and distribution *********

Auditor Details of Sagar Cements Ltd

Sagar Cements Ltd is audited by Deloitte Haskins & Sells (ICAI peer reviewed, certificate valid till 2028-04-30) for the financial year 2026, as reported in its NSE exchange filings. The statutory auditor is responsible for expressing an independent opinion on whether the financial statements present a true and fair view in accordance with applicable accounting standards.

Name Financial year Audit opinion
Deloitte Haskins & Sells (ICAI peer reviewed, certificate valid till 2028-04-30) FY 2026 Declaration of unmodified opinion

Board of Directors of Sagar Cements Ltd

Sagar Cements Ltd is currently managed by 13 directors, with 22 former directors having served the organization. The current Directors play a crucial role in shaping the company's strategic direction and governance.

Current Directors
Name Designation Appointment Date Tenure Status
Kolluru Prasad Cfo 13 Aug 2014 11 Years 10 Months Current
Sudha Rani Naga Nominee Director 20 Jan 2021 5 Years 5 Months Current
Rachana Sammidi Director 18 Mar 2015 11 Years 3 Months Current
Raja Reddy Jingilipalem Company Secretary 11 Nov 2023 2 Years 7 Months Current
Rajagopal Ravichandran Director 27 Mar 2023 3 Years 3 Months Current
Anand Reddy Sammidi Managing Director 21 Nov 2007 18 Years 7 Months Current
Showing 6 of 13 current directors. View all directors

Financials of Sagar Cements Ltd FY 2026 filings available

Sagar Cements Ltd reported revenue of ₹2,650.02 Cr (up 17.38% YoY) for FY 2026. Profit growth despite declining revenue indicates effective cost management and margin discipline.

Revenue · FY 2026
₹2,650.02 Cr ▲ 17.38%
Profit · FY 2026
-₹73 Lakh ▲ 99.66%
EBITDA · FY 2026
₹313.54 Cr ▲ 92.92%
Revenue₹ Cr · Consolidated01,0002,0003,000FY 2020: ₹1,175 Cr1,175FY 2020FY 2021: ₹1,371 Cr · +16.7% YoY1,371+16.7%FY 2021FY 2022: ₹1,597 Cr · +16.4% YoY1,597+16.4%FY 2022FY 2023: ₹2,230 Cr · +39.6% YoY2,230+39.6%FY 2023FY 2024: ₹2,505 Cr · +12.3% YoY2,505+12.3%FY 2024FY 2025: ₹2,258 Cr · -9.9% YoY2,258-9.9%FY 2025FY 2026: ₹2,650 Cr · +17.4% YoY2,650+17.4%FY 2026
Net Profit₹ Cr · Consolidated-300-200-1000100200FY 2020: ₹27 Cr26.5FY 2020FY 2021: ₹186 Cr · +599.6% YoY186+599.6%FY 2021FY 2022: ₹59 Cr · -68.1% YoY59.2-68.1%FY 2022FY 2023: ₹9 Cr · -85.6% YoY8.5-85.6%FY 2023FY 2024: ₹52 Cr (loss) · -712.4% YoY-52.1FY 2024FY 2025: ₹217 Cr (loss) · -316.3% YoY-217FY 2025FY 2026: ₹1 Cr (loss) · +99.7% YoY-0.7FY 2026
Quarterly Revenue₹ Cr · vs same quarter last year05001,000Q1'25: ₹561 Cr · +3.9% YoY561+3.9%Q1'25Q2'25: ₹475 Cr · -19% YoY475-19%Q2'25Q3'25: ₹564 Cr · -15.8% YoY564-15.8%Q3'25Q4'25: ₹658 Cr · -7.1% YoY658-7.1%Q4'25Q1'26: ₹671 Cr · +19.6% YoY671+19.6%Q1'26Q2'26: ₹602 Cr · +26.7% YoY602+26.7%Q2'26Q3'26: ₹591 Cr · +4.7% YoY591+4.7%Q3'26Q4'26: ₹787 Cr · +19.6% YoY787+19.6%Q4'26
Metrics FY 2026 FY 2025 FY 2024 FY 2023 FY 2022 FY 2021 FY 2020
Revenue from Operations ₹2,650.02 Cr ₹2,257.64 Cr ₹2,504.61 Cr ₹2,229.54 Cr ₹1,596.87 Cr ₹1,371.32 Cr ₹1,175.15 Cr
Other Income ₹21.55 Cr ₹21.43 Cr ₹54.12 Cr ₹222.7 Cr ₹13.42 Cr ₹7.78 Cr ₹4.03 Cr
Total Income ₹2,671.57 Cr ₹2,279.07 Cr ₹2,558.73 Cr ₹2,452.24 Cr ₹1,610.29 Cr ₹1,379.1 Cr ₹1,179.18 Cr
Cost of Materials Consumed ₹483.18 Cr ₹424.3 Cr ₹460.71 Cr ₹380.35 Cr ₹255.12 Cr ₹197.1 Cr ₹204.73 Cr
Purchases of Stock-in-Trade ₹0 ₹5.92 Cr ₹17.81 Cr ₹24.37 Cr ₹19.06 Cr ₹20.28 Cr ₹32.37 Cr
Changes in Inventories ₹20.47 Cr ₹56 Lakh -₹66.94 Cr ₹17.45 Cr -₹48.86 Cr ₹22.36 Cr -₹9.82 Cr
Employee Benefit Expense ₹149.19 Cr ₹133.08 Cr ₹117.3 Cr ₹99.34 Cr ₹85.55 Cr ₹76.36 Cr ₹64.87 Cr
Finance Costs ₹196.95 Cr ₹188.13 Cr ₹184.83 Cr ₹201.64 Cr ₹92.48 Cr ₹46.56 Cr ₹60.99 Cr
Depreciation & Amortisation ₹239.65 Cr ₹230.75 Cr ₹214.11 Cr ₹155.77 Cr ₹92.71 Cr ₹80.55 Cr ₹78.87 Cr
Other Expenses ₹1,705.19 Cr ₹1,552.69 Cr ₹1,729.82 Cr ₹1,554.85 Cr ₹1,010.23 Cr ₹654.78 Cr ₹697.5 Cr
Total Expenses ₹2,794.63 Cr ₹2,535.43 Cr ₹2,657.64 Cr ₹2,433.77 Cr ₹1,506.29 Cr ₹1,097.99 Cr ₹1,129.51 Cr
Profit Before Exceptional Items & Tax -₹123.06 Cr -₹256.36 Cr -₹98.91 Cr ₹18.47 Cr ₹104 Cr ₹281.11 Cr ₹49.67 Cr
Exceptional Items ₹0 -₹27.17 Cr ₹14.79 Cr ₹0 ₹0 ₹0 ₹0
Profit Before Tax -₹123.06 Cr -₹283.53 Cr -₹84.12 Cr ₹18.47 Cr ₹104 Cr ₹281.11 Cr ₹49.67 Cr
Total Tax Expense -₹122.33 Cr -₹66.85 Cr -₹32.07 Cr ₹9.97 Cr ₹44.85 Cr ₹95.51 Cr ₹23.14 Cr
Net Profit -₹73 Lakh -₹216.68 Cr -₹52.05 Cr ₹8.5 Cr ₹59.15 Cr ₹185.6 Cr ₹26.53 Cr
  attributable to Owners -₹11.07 Cr -₹209.79 Cr ₹0 ₹29.04 Cr ₹69.15 Cr ₹186.02 Cr ₹26.71 Cr
  attributable to NCI ₹10.34 Cr -₹6.89 Cr ₹0 -₹20.54 Cr -₹10 Cr -₹42 Lakh -₹18 Lakh
Other Comprehensive Income -₹7 Lakh ₹47 Lakh -₹86 Lakh ₹15 Lakh ₹1.31 Cr ₹7 Lakh -₹39 Lakh
Total Comprehensive Income -₹80 Lakh -₹216.21 Cr -₹52.91 Cr ₹8.65 Cr ₹60.46 Cr ₹185.67 Cr ₹26.14 Cr
EBITDA (computed) ₹313.54 Cr ₹162.52 Cr ₹300.03 Cr ₹375.88 Cr ₹289.19 Cr ₹408.22 Cr ₹189.53 Cr
Basic EPS ₹-0.06 ₹-16.58 ₹-3.98 ₹0.66 ₹5.03 ₹80.24 ₹12.36
Diluted EPS ₹-0.06 ₹-16.58 ₹-3.98 ₹0.66 ₹5.03 ₹80.24 ₹12.36
Metrics FY 2026 FY 2025 FY 2024 FY 2023
Total Assets ₹4,505.27 Cr ₹4,176.6 Cr ₹4,356.21 Cr ₹3,823.27 Cr
Non-current Assets ₹3,745.34 Cr ₹3,479.14 Cr ₹3,494.09 Cr ₹3,070.12 Cr
Current Assets ₹759.93 Cr ₹697.46 Cr ₹860.75 Cr ₹753.15 Cr
Property, Plant & Equipment ₹3,054.98 Cr ₹2,957.2 Cr ₹3,112.58 Cr ₹2,686.71 Cr
Inventories ₹312.71 Cr ₹273.6 Cr ₹307.54 Cr ₹270.94 Cr
Trade Receivables ₹225.94 Cr ₹204.17 Cr ₹207.72 Cr ₹133.21 Cr
Cash & Equivalents ₹3.52 Cr ₹70.49 Cr ₹167.18 Cr ₹174.91 Cr
Equity (Net Worth) ₹1,860.92 Cr ₹1,794.33 Cr ₹2,019.69 Cr ₹1,688.93 Cr
Equity Share Capital ₹26.14 Cr ₹26.14 Cr ₹26.14 Cr ₹26.14 Cr
Borrowings (Non-current) ₹1,257.22 Cr ₹1,004.69 Cr ₹1,089.07 Cr ₹1,151.95 Cr
Borrowings (Current) ₹451.13 Cr ₹441.11 Cr ₹349.97 Cr ₹320.17 Cr
Total Debt (computed) ₹1,708.35 Cr ₹1,445.8 Cr ₹1,439.04 Cr ₹1,472.12 Cr
Current Liabilities ₹1,205.8 Cr ₹1,199.07 Cr ₹1,002.6 Cr ₹769.7 Cr
Total Liabilities ₹2,644.35 Cr ₹2,382.27 Cr ₹2,336.52 Cr ₹2,134.34 Cr
The balance sheet became part of the exchange results-filing format in FY2023 - earlier years were not filed and are hidden.
Metrics FY 2026 FY 2025 FY 2024 FY 2023 FY 2022
Operating Cash Flow ₹215.56 Cr ₹233.93 Cr ₹400.4 Cr ₹175.16 Cr ₹86.98 Cr
Investing Cash Flow -₹412.15 Cr -₹113.33 Cr -₹187.51 Cr ₹169.96 Cr -₹783.92 Cr
Financing Cash Flow ₹129.62 Cr -₹217.29 Cr -₹220.62 Cr -₹366.56 Cr ₹614.86 Cr
Capital Expenditure ₹423.31 Cr ₹138.15 Cr ₹225.79 Cr ₹0 ₹360.98 Cr
Free Cash Flow (computed) -₹207.75 Cr ₹95.78 Cr ₹174.61 Cr ₹175.16 Cr -₹274 Cr
Dividends Paid ₹0 ₹9.15 Cr ₹9.15 Cr ₹9.15 Cr ₹5.88 Cr
Net Change in Cash -₹66.97 Cr -₹96.69 Cr -₹7.73 Cr -₹21.44 Cr -₹82.08 Cr
The cash-flow statement became part of the exchange results-filing format in FY2022 - earlier years were not filed and are hidden.
Metrics Q4 FY26 Q3 FY26 Q2 FY26 Q1 FY26 Q4 FY25 Q3 FY25 Q2 FY25 Q1 FY25 Q4 FY24 Q3 FY24 Q2 FY24 Q1 FY24
Revenue from Operations ₹786.96 Cr ₹590.54 Cr ₹601.86 Cr ₹670.66 Cr ₹658.04 Cr ₹563.88 Cr ₹475.12 Cr ₹560.6 Cr ₹708.71 Cr ₹669.41 Cr ₹586.82 Cr ₹539.67 Cr
Other Income ₹11.19 Cr ₹1.83 Cr ₹4.34 Cr ₹4.19 Cr ₹3.48 Cr ₹4.81 Cr ₹4.84 Cr ₹8.3 Cr ₹43.74 Cr ₹3.73 Cr ₹2.74 Cr ₹3.91 Cr
Total Income ₹798.15 Cr ₹592.37 Cr ₹606.2 Cr ₹674.85 Cr ₹661.52 Cr ₹568.69 Cr ₹479.96 Cr ₹568.9 Cr ₹752.45 Cr ₹673.14 Cr ₹589.56 Cr ₹543.58 Cr
Cost of Materials Consumed ₹143 Cr ₹123.98 Cr ₹100.04 Cr ₹116.16 Cr ₹125.93 Cr ₹103.47 Cr ₹87.62 Cr ₹107.28 Cr ₹127.63 Cr ₹117.69 Cr ₹112.38 Cr ₹101.98 Cr
Purchases of Stock-in-Trade ₹0 ₹0 ₹0 ₹0 ₹16 Lakh ₹93 Lakh ₹1.76 Cr ₹3.07 Cr ₹3.67 Cr ₹2.59 Cr ₹6.23 Cr ₹5.32 Cr
Changes in Inventories ₹9.1 Cr -₹36.92 Cr ₹80.61 Cr -₹32.32 Cr -₹3.84 Cr -₹2.33 Cr ₹16.62 Cr -₹9.89 Cr -₹3.25 Cr -₹12.52 Cr -₹42.75 Cr -₹7.37 Cr
Employee Benefit Expense ₹38.95 Cr ₹37.04 Cr ₹39.21 Cr ₹33.99 Cr ₹34.37 Cr ₹37.58 Cr ₹30.71 Cr ₹30.42 Cr ₹30.66 Cr ₹29.93 Cr ₹29.87 Cr ₹26.84 Cr
Finance Costs ₹53.09 Cr ₹50.29 Cr ₹46.48 Cr ₹47.09 Cr ₹47.31 Cr ₹48.07 Cr ₹46.38 Cr ₹46.37 Cr ₹45.49 Cr ₹48.86 Cr ₹46.81 Cr ₹43.67 Cr
Depreciation & Amortisation ₹66.26 Cr ₹63.04 Cr ₹55.7 Cr ₹54.65 Cr ₹58.36 Cr ₹58.61 Cr ₹57.6 Cr ₹56.18 Cr ₹56.09 Cr ₹56.21 Cr ₹51.26 Cr ₹49.59 Cr
Other Expenses ₹514.37 Cr ₹428.77 Cr ₹330.67 Cr ₹431.38 Cr ₹464.6 Cr ₹386.59 Cr ₹318.48 Cr ₹383.02 Cr ₹481.87 Cr ₹444.66 Cr ₹420.87 Cr ₹382.42 Cr
Total Expenses ₹824.77 Cr ₹666.2 Cr ₹652.71 Cr ₹650.95 Cr ₹726.89 Cr ₹632.92 Cr ₹559.17 Cr ₹616.45 Cr ₹742.16 Cr ₹687.42 Cr ₹624.67 Cr ₹602.45 Cr
Profit Before Exceptional Items & Tax -₹26.62 Cr -₹73.83 Cr -₹46.51 Cr ₹23.9 Cr -₹65.37 Cr -₹64.23 Cr -₹79.21 Cr -₹47.55 Cr ₹10.29 Cr -₹14.28 Cr -₹35.11 Cr -₹58.87 Cr
Exceptional Items ₹0 ₹0 ₹0 ₹0 -₹27.17 Cr ₹0 ₹0 ₹0 ₹0 ₹0 ₹14.79 Cr ₹0
Profit Before Tax -₹26.62 Cr -₹73.83 Cr -₹46.51 Cr ₹23.9 Cr -₹92.54 Cr -₹64.23 Cr -₹79.21 Cr -₹47.55 Cr ₹10.29 Cr -₹14.28 Cr -₹20.32 Cr -₹58.87 Cr
Total Tax Expense -₹126.67 Cr -₹9.73 Cr -₹2.34 Cr ₹16.41 Cr -₹19.49 Cr -₹9.78 Cr -₹22.23 Cr -₹15.35 Cr -₹1.29 Cr -₹4.1 Cr -₹9.79 Cr -₹16.64 Cr
Net Profit ₹100.05 Cr -₹64.1 Cr -₹44.17 Cr ₹7.49 Cr -₹73.05 Cr -₹54.45 Cr -₹56.98 Cr -₹32.2 Cr ₹11.58 Cr -₹10.18 Cr -₹10.53 Cr -₹42.23 Cr
  attributable to Owners ₹87.6 Cr -₹57.58 Cr -₹42.31 Cr ₹1.22 Cr -₹70.77 Cr -₹55.07 Cr - -₹28.39 Cr ₹0 - -₹8.4 Cr -₹39.77 Cr
  attributable to NCI ₹12.45 Cr -₹6.52 Cr -₹1.86 Cr ₹6.27 Cr -₹2.28 Cr ₹62 Lakh - -₹3.81 Cr ₹0 - -₹2.13 Cr -₹2.46 Cr
Other Comprehensive Income -₹42 Lakh ₹12 Lakh ₹12 Lakh ₹11 Lakh ₹1.13 Cr -₹23 Lakh -₹20 Lakh -₹23 Lakh -₹86 Lakh ₹0 ₹0 ₹0
Total Comprehensive Income ₹99.63 Cr -₹63.98 Cr -₹44.05 Cr ₹7.6 Cr -₹71.92 Cr -₹54.68 Cr -₹57.18 Cr -₹32.43 Cr ₹10.72 Cr -₹10.18 Cr -₹10.53 Cr -₹42.23 Cr
EBITDA (computed) ₹92.73 Cr ₹39.5 Cr ₹55.67 Cr ₹125.64 Cr ₹40.3 Cr ₹42.45 Cr ₹24.77 Cr ₹55 Cr ₹111.87 Cr ₹90.79 Cr ₹62.96 Cr ₹34.39 Cr
Basic EPS ₹7.65 ₹-4.90 ₹-3.38 ₹0.57 ₹-5.59 ₹-4.17 ₹-4.36 ₹-2.46 ₹0.89 ₹-0.78 ₹-0.81 ₹-3.23
Diluted EPS ₹7.65 ₹-4.90 ₹-3.38 ₹0.57 ₹-5.59 ₹-4.17 ₹-4.36 ₹-2.46 ₹0.89 ₹-0.78 ₹-0.81 ₹-3.23
Latest 12 quarters shown of 24 on record.
Segment · FY 2023 (annual) Revenue Result (PBIT) Assets Liabilities
Cement ₹2,229.54 Cr ₹220.11 Cr - -
Power ₹0 ₹0 - -
Metrics FY 2026 FY 2025 FY 2024 FY 2023 FY 2022 FY 2021 FY 2020
Revenue from Operations ₹1,768.3 Cr ₹1,566.64 Cr ₹1,907.55 Cr ₹1,910.4 Cr ₹1,567.86 Cr ₹1,001.7 Cr ₹847.58 Cr
Other Income ₹64.99 Cr ₹26.63 Cr ₹53.91 Cr ₹79.68 Cr ₹26.91 Cr ₹20.69 Cr ₹16.32 Cr
Total Income ₹1,833.29 Cr ₹1,593.27 Cr ₹1,961.46 Cr ₹1,990.08 Cr ₹1,594.77 Cr ₹1,022.39 Cr ₹863.9 Cr
Cost of Materials Consumed ₹413.65 Cr ₹341.34 Cr ₹412.38 Cr ₹314.86 Cr ₹255.56 Cr ₹152.1 Cr ₹159.83 Cr
Purchases of Stock-in-Trade ₹5.74 Cr ₹10.09 Cr ₹27.47 Cr ₹24.37 Cr ₹20.17 Cr ₹20.28 Cr ₹41.17 Cr
Changes in Inventories ₹7.16 Cr ₹16.68 Cr -₹43.57 Cr ₹22.59 Cr -₹34.47 Cr ₹13.89 Cr -₹6.02 Cr
Employee Benefit Expense ₹112.14 Cr ₹98.98 Cr ₹88.95 Cr ₹83.04 Cr ₹81.01 Cr ₹66.04 Cr ₹55.7 Cr
Finance Costs ₹76.64 Cr ₹81.49 Cr ₹75.09 Cr ₹104.33 Cr ₹69.34 Cr ₹25.25 Cr ₹33.92 Cr
Depreciation & Amortisation ₹115.51 Cr ₹119.42 Cr ₹116.51 Cr ₹84.9 Cr ₹80.35 Cr ₹56.2 Cr ₹55.07 Cr
Other Expenses ₹1,099.23 Cr ₹1,042.61 Cr ₹1,239.62 Cr ₹1,292.51 Cr ₹959.5 Cr ₹446.24 Cr ₹478 Cr
Total Expenses ₹1,830.07 Cr ₹1,710.61 Cr ₹1,916.45 Cr ₹1,926.6 Cr ₹1,431.46 Cr ₹780 Cr ₹817.67 Cr
Profit Before Exceptional Items & Tax ₹3.22 Cr -₹117.34 Cr ₹45.01 Cr ₹63.48 Cr ₹163.31 Cr ₹242.39 Cr ₹46.23 Cr
Exceptional Items ₹0 -₹20.91 Cr ₹0 ₹0 ₹0 ₹0 ₹0
Profit Before Tax ₹3.22 Cr -₹138.25 Cr ₹45.01 Cr ₹63.48 Cr ₹163.31 Cr ₹242.39 Cr ₹46.23 Cr
Total Tax Expense -₹30.35 Cr -₹52.77 Cr ₹13.84 Cr ₹24.26 Cr ₹59.53 Cr ₹80.43 Cr ₹11.5 Cr
Net Profit ₹33.57 Cr -₹85.48 Cr ₹31.17 Cr ₹39.22 Cr ₹103.78 Cr ₹161.96 Cr ₹34.73 Cr
Other Comprehensive Income -₹12 Lakh ₹72 Lakh -₹93 Lakh ₹13 Lakh ₹1.27 Cr ₹8 Lakh -₹42 Lakh
Total Comprehensive Income ₹33.45 Cr -₹84.76 Cr ₹30.24 Cr ₹39.35 Cr ₹105.05 Cr ₹162.04 Cr ₹34.31 Cr
EBITDA (computed) ₹195.37 Cr ₹83.57 Cr ₹236.61 Cr ₹252.71 Cr ₹313 Cr ₹323.84 Cr ₹135.22 Cr
Basic EPS ₹2.57 ₹-6.54 ₹2.38 ₹3.03 ₹8.83 ₹70.02 ₹16.17
Diluted EPS ₹2.57 ₹-6.54 ₹2.38 ₹3.03 ₹8.83 ₹70.02 ₹16.17
Metrics FY 2026 FY 2025 FY 2024 FY 2023
Total Assets ₹2,764.43 Cr ₹2,721.33 Cr ₹2,876.98 Cr ₹2,588.25 Cr
Non-current Assets ₹2,302.38 Cr ₹2,193.63 Cr ₹2,201.5 Cr ₹2,005.51 Cr
Current Assets ₹462.05 Cr ₹527.7 Cr ₹675.48 Cr ₹582.74 Cr
Property, Plant & Equipment ₹1,321.78 Cr ₹1,400.9 Cr ₹1,473.62 Cr ₹1,165.61 Cr
Inventories ₹195.06 Cr ₹178.93 Cr ₹207.03 Cr ₹213.99 Cr
Trade Receivables ₹169.79 Cr ₹154.8 Cr ₹163.61 Cr ₹152.61 Cr
Cash & Equivalents ₹3.28 Cr ₹66.58 Cr ₹155.83 Cr ₹121.02 Cr
Equity (Net Worth) ₹1,644.81 Cr ₹1,611.36 Cr ₹1,705.27 Cr ₹1,667.19 Cr
Equity Share Capital ₹26.14 Cr ₹26.14 Cr ₹26.14 Cr ₹26.14 Cr
Borrowings (Non-current) ₹228.76 Cr ₹160.75 Cr ₹231.75 Cr ₹150.2 Cr
Borrowings (Current) ₹288.61 Cr ₹339.36 Cr ₹246.2 Cr ₹243.11 Cr
Total Debt (computed) ₹517.37 Cr ₹500.11 Cr ₹477.95 Cr ₹393.31 Cr
Current Liabilities ₹728.47 Cr ₹782.24 Cr ₹707.61 Cr ₹570.76 Cr
Total Liabilities ₹1,119.62 Cr ₹1,109.97 Cr ₹1,171.71 Cr ₹921.06 Cr
The balance sheet became part of the exchange results-filing format in FY2023 - earlier years were not filed and are hidden.
Metrics FY 2026 FY 2025 FY 2024 FY 2023 FY 2022
Operating Cash Flow ₹104.02 Cr ₹51.73 Cr ₹341.96 Cr ₹127 Cr ₹154.24 Cr
Investing Cash Flow -₹98.71 Cr -₹53.14 Cr -₹117.73 Cr ₹134.9 Cr -₹643.2 Cr
Financing Cash Flow -₹68.61 Cr -₹87.84 Cr -₹199.46 Cr -₹281.35 Cr ₹415.05 Cr
Capital Expenditure ₹98.38 Cr ₹41.55 Cr ₹98.68 Cr ₹0 ₹112.5 Cr
Free Cash Flow (computed) ₹5.64 Cr ₹10.18 Cr ₹243.28 Cr ₹127 Cr ₹41.74 Cr
Dividends Paid ₹0 ₹9.15 Cr ₹9.15 Cr ₹9.15 Cr ₹5.88 Cr
Net Change in Cash -₹63.3 Cr -₹89.25 Cr ₹24.77 Cr -₹19.45 Cr -₹73.91 Cr
The cash-flow statement became part of the exchange results-filing format in FY2022 - earlier years were not filed and are hidden.
Metrics Q4 FY26 Q3 FY26 Q2 FY26 Q1 FY26 Q4 FY25 Q3 FY25 Q2 FY25 Q1 FY25 Q4 FY24 Q3 FY24 Q2 FY24 Q1 FY24
Revenue from Operations ₹529.91 Cr ₹403.13 Cr ₹399.51 Cr ₹435.75 Cr ₹459.84 Cr ₹383.4 Cr ₹329.73 Cr ₹393.67 Cr ₹516.66 Cr ₹502.62 Cr ₹459.51 Cr ₹412.75 Cr
Other Income ₹45.29 Cr ₹5.06 Cr ₹7.39 Cr ₹7.25 Cr ₹7.36 Cr ₹6.15 Cr ₹6.48 Cr ₹6.64 Cr ₹38.38 Cr ₹5.31 Cr ₹4.49 Cr ₹5.7 Cr
Total Income ₹575.2 Cr ₹408.19 Cr ₹406.9 Cr ₹443 Cr ₹467.2 Cr ₹389.55 Cr ₹336.21 Cr ₹400.31 Cr ₹555.04 Cr ₹507.93 Cr ₹464 Cr ₹418.45 Cr
Cost of Materials Consumed ₹131.44 Cr ₹106.74 Cr ₹70.96 Cr ₹104.51 Cr ₹112.59 Cr ₹82 Cr ₹66.91 Cr ₹79.84 Cr ₹98.52 Cr ₹110.35 Cr ₹114.96 Cr ₹77.67 Cr
Purchases of Stock-in-Trade ₹75 Lakh ₹2.55 Cr ₹1.8 Cr ₹64 Lakh ₹16 Lakh ₹93 Lakh ₹1.76 Cr ₹7.24 Cr ₹9.51 Cr ₹5.23 Cr ₹7.41 Cr ₹5.32 Cr
Changes in Inventories ₹17.2 Cr -₹22.37 Cr ₹45.49 Cr -₹33.16 Cr ₹10.66 Cr -₹69 Lakh ₹16.02 Cr -₹9.31 Cr -₹5.52 Cr -₹7.36 Cr -₹28.26 Cr -₹1.54 Cr
Employee Benefit Expense ₹29.47 Cr ₹27.52 Cr ₹29.53 Cr ₹25.62 Cr ₹26.06 Cr ₹28.22 Cr ₹22.54 Cr ₹22.16 Cr ₹22.92 Cr ₹22.61 Cr ₹22.87 Cr ₹19.82 Cr
Finance Costs ₹18.51 Cr ₹18.17 Cr ₹19.79 Cr ₹20.17 Cr ₹20.69 Cr ₹21.27 Cr ₹20.01 Cr ₹19.52 Cr ₹18.63 Cr ₹18.88 Cr ₹18 Cr ₹14.28 Cr
Depreciation & Amortisation ₹29.08 Cr ₹29.41 Cr ₹28.74 Cr ₹28.28 Cr ₹30.11 Cr ₹30.19 Cr ₹29.92 Cr ₹29.2 Cr ₹30.78 Cr ₹30.52 Cr ₹28.29 Cr ₹20.53 Cr
Other Expenses ₹330.73 Cr ₹267.11 Cr ₹223.37 Cr ₹278.02 Cr ₹302.03 Cr ₹262.9 Cr ₹220.69 Cr ₹256.99 Cr ₹337.86 Cr ₹305.84 Cr ₹303.75 Cr ₹278.64 Cr
Total Expenses ₹557.18 Cr ₹429.13 Cr ₹419.68 Cr ₹424.08 Cr ₹502.3 Cr ₹424.82 Cr ₹377.85 Cr ₹405.64 Cr ₹512.7 Cr ₹486.07 Cr ₹467.02 Cr ₹414.72 Cr
Profit Before Exceptional Items & Tax ₹18.02 Cr -₹20.94 Cr -₹12.78 Cr ₹18.92 Cr -₹35.1 Cr -₹35.27 Cr -₹41.64 Cr -₹5.33 Cr ₹42.34 Cr ₹21.86 Cr -₹3.02 Cr ₹3.73 Cr
Exceptional Items ₹0 ₹0 ₹0 ₹0 -₹20.91 Cr ₹0 ₹0 ₹0 ₹0 ₹0 ₹0 ₹0
Profit Before Tax ₹18.02 Cr -₹20.94 Cr -₹12.78 Cr ₹18.92 Cr -₹56.01 Cr -₹35.27 Cr -₹41.64 Cr -₹5.33 Cr ₹42.34 Cr ₹21.86 Cr -₹3.02 Cr ₹3.73 Cr
Total Tax Expense -₹25.59 Cr -₹7.68 Cr -₹4.56 Cr ₹7.48 Cr -₹25.84 Cr -₹11.01 Cr -₹14.35 Cr -₹1.57 Cr ₹9.94 Cr ₹6.52 Cr ₹19 Lakh ₹1.17 Cr
Net Profit ₹43.61 Cr -₹13.26 Cr -₹8.22 Cr ₹11.44 Cr -₹30.17 Cr -₹24.26 Cr -₹27.29 Cr -₹3.76 Cr ₹32.4 Cr ₹15.34 Cr -₹3.21 Cr ₹2.56 Cr
Other Comprehensive Income -₹66 Lakh ₹18 Lakh ₹18 Lakh ₹18 Lakh ₹1.42 Cr -₹23 Lakh -₹23 Lakh -₹24 Lakh -₹93 Lakh ₹0 ₹0 ₹0
Total Comprehensive Income ₹42.95 Cr -₹13.08 Cr -₹8.04 Cr ₹11.62 Cr -₹28.75 Cr -₹24.49 Cr -₹27.52 Cr -₹4 Cr ₹31.47 Cr ₹15.34 Cr -₹3.21 Cr ₹2.56 Cr
EBITDA (computed) ₹65.61 Cr ₹26.64 Cr ₹35.75 Cr ₹67.37 Cr ₹15.7 Cr ₹16.19 Cr ₹8.29 Cr ₹43.39 Cr ₹91.75 Cr ₹71.26 Cr ₹43.27 Cr ₹38.54 Cr
Basic EPS ₹3.34 ₹-1.01 ₹-0.63 ₹0.88 ₹-2.31 ₹-1.86 ₹-2.09 ₹-0.29 ₹2.48 ₹1.17 ₹-0.25 ₹0.20
Diluted EPS ₹3.34 ₹-1.01 ₹-0.63 ₹0.88 ₹-2.31 ₹-1.86 ₹-2.09 ₹-0.29 ₹2.48 ₹1.17 ₹-0.25 ₹0.20
Latest 12 quarters shown of 24 on record.
Want more history and ratios?
You're viewing the latest exchange-filed financials for Sagar Cements Ltd. The full report adds 10+ years of line-item history, 20+ ratios, peer benchmarks and a downloadable PDF.
10+ years of history 20+ ratios & benchmarks Downloadable PDF

Board & Governance of Sagar Cements Ltd

As per the corporate governance filing with NSE for the quarter ended 31-MAR-2026, the board of Sagar Cements Ltd has 9 directors - 3 independent and 2 executive. The board is chaired by KALIDINDI VENKATA VISHNU RAJU.

DirectorPositionOn board sinceListed boards
ANAND REDDY SAMMIDI Executive Director · MD 2007-11-21 2
SREEKANTH REDDY SAMMIDI Executive Director 2008-06-26 3
RACHANA SAMMIDI Non-Executive - Non Independent Director 2015-03-18 2
NAGA SUDHA RANI Non-Executive - Nominee Director 2021-01-20 1
JENS VAN NIEUWENBORGH Non-Executive - Nominee Director 2024-09-18 2
REKHA ONTEDDU Non-Executive - Independent Director 2020-06-30 2
MADHAVAN GANESAN Non-Executive - Nominee Director 2022-05-11 3
KALIDINDI VENKATA VISHNU RAJU Non-Executive - Independent Director · Chairperson 2022-07-20 3
RAJAGOPAL RAVICHANDRAN Non-Executive - Independent Director 2023-03-27 4
Board Committees
CommitteeMembers
Audit Committee REKHA ONTEDDU (Chairperson), KALIDINDI VENKATA VISHNU RAJU, MADHAVAN GANESAN, RAJAGOPAL RAVICHANDRAN
Nomination and remuneration committee REKHA ONTEDDU (Chairperson), KALIDINDI VENKATA VISHNU RAJU, MADHAVAN GANESAN, RAJAGOPAL RAVICHANDRAN
Stakeholders Relationship Committee NAGA SUDHA RANI (Chairperson), ANAND REDDY SAMMIDI, KALIDINDI VENKATA VISHNU RAJU
Risk Management Committee SREEKANTH REDDY SAMMIDI (Chairperson), REKHA ONTEDDU, MADHAVAN GANESAN, RAJAGOPAL RAVICHANDRAN, KOLLURU PRASAD, ORUGANTI ANJI REDDY, SANJAY SINGH
Corporate Social Responsibility Committee KALIDINDI VENKATA VISHNU RAJU (Chairperson), ANAND REDDY SAMMIDI, SREEKANTH REDDY SAMMIDI, RACHANA SAMMIDI
Investment Committee KALIDINDI VENKATA VISHNU RAJU (Chairperson), ANAND REDDY SAMMIDI, REKHA ONTEDDU, RAJAGOPAL RAVICHANDRAN

Charges & Borrowings of Sagar Cements Ltd

Open charges
₹3,253.71 Cr
Satisfied charges
₹2,062.88 Cr
Breakdown by lending institutions
Others₹1,424.11 Cr
Idbi Trusteeship Services Limited₹857.15 Cr
Axis Bank Limited₹561.17 Cr
State Bank of India₹334.48 Cr
Hdfc Bank Limited₹74.99 Cr
Others₹1.81 Cr
Latest charge details
DateLenderAmountStatus
15 Oct 2025 Others ₹64 Cr Open
17 May 2025 Others ₹120 Cr Open
28 Feb 2025 State Bank of India ₹7.48 Cr Open
27 Mar 2024 Axis Bank Limited ₹87.7 Lakh Open
08 Dec 2023 Others ₹40 Cr Open

Total charge records: 108 View all charges

Employees and EPFO Compliance at Sagar Cements Ltd

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2016
2017
2018
2019
2020
2021
2022
2023
2024
2025
2026

Employee Count & EPFO Data of Sagar Cements Ltd

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Monthly employee headcount & PF contributions
EPFO establishment details & ECR filing status
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GST Compliance of Sagar Cements Ltd

XX%
Compliant
GSTR-1
GSTR-3B
GSTR-9
MH
KA
UP
TN
TS

GSTIN & GST Filing Data of Sagar Cements Ltd

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GSTIN registrations & state-wise presence
Filing compliance - GSTR-1, GSTR-3B, GSTR-9
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Taxpayer type, jurisdiction & business constitution

Credit Ratings, Litigation & Regulatory Alerts for Sagar Cements Ltd

Credit rating
AAA
AA+
AA
AA-
! !
2015 2017 2019 2021 2023
Litigation
District Court 35
High Court 45
Supreme Court 0
NCLT / NCLAT 0
Pending
Disposed
Regulatory alerts
GSTIN Cancelled
Andhra Pradesh
GSTIN Cancelled
Telangana (on application)
EPFO Delay
12 months delay - Haryana
Violations via Directors
20 MCA + 19 Bank defaults

Credit Ratings, Legal Cases & Regulatory Alerts of Sagar Cements Ltd

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Credit rating history across CARE, ICRA, Brickwork & India Ratings
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Group company & common directorship litigation
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MSME Payment Delays by Sagar Cements Ltd

MSME Payment Delays by Sagar Cements Ltd

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Amounts outstanding to MSME suppliers
Delay periods & reasons for delayed payments
Half-yearly MSME-1 filing history
Vendor-payment behaviour as a counterparty risk signal

Subsidiaries & Group Companies of Sagar Cements Ltd

Subsidiaries & Group Companies of Sagar Cements Ltd

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Holding & parent company details
Subsidiaries & step-down subsidiaries with % holding
Associates & joint ventures with partner details
Investments in other entities year-on-year

MCA Filings & Documents of Sagar Cements Ltd

MCA Filings & Documents of Sagar Cements Ltd

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Incorporation documents, MoA & AoA
Annual returns (MGT-7) & financial statements (AOC-4)
Charge filings (CHG-1, CHG-4) & resolutions
Complete document index with filing dates

Recent Activity on Sagar Cements Ltd

Charges
15 Oct 2025
A charge with Others amounted to Rs. 64.00 Cr with Charge ID 101170188 was registered on 15 Oct 2025.
Charges
06 Oct 2025
A charge registered on 02 Mar 2020 via Charge ID 100332552 with Others was fully satisfied on 06 Oct 2025.
Charges
06 Oct 2025
A charge with Others of Rs. 115.00 Cr registered on 02 Mar 2020 with Charge ID 100332551 was modified on 06 Oct 2025.
Charges
11 Jul 2025
A charge with Idbi Trusteeship Services Limited of Rs. 535.00 Cr registered on 27 Sep 2023 with Charge ID 100798522 was modified on 11 Jul 2025.
Charges
03 Jul 2025
A charge registered on 09 Mar 2016 via Charge ID 100023368 with Idbi Trusteeship Services Limited was fully satisfied on 03 Jul 2025.
Charges
03 Jul 2025
A charge registered on 04 Mar 2016 via Charge ID 100019823 with Idbi Trusteeship Services Limited was fully satisfied on 03 Jul 2025.

Frequently Asked Questions about Sagar Cements Ltd

Sagar Cements Ltd is an active public limited company in the manufacturing sector based in Hyderabad, Telangana, India. It was incorporated on 15 January 1981 (45+ years old) and is registered under CIN L26942TG1981PLC002887. Listed on BSE: 502090 and NSE: SAGCEM. The company has 793 employees.

Sagar Cements Ltd reported revenue of ₹2,279.07 Cr for FY 2025 (down 11.00% YoY).

The primary industry of Sagar Cements Ltd is manufacturing. The company specifically operates in cement and cement products. The company is currently active in this sector.

Yes. Sagar Cements Ltd is listed on both BSE (code: 502090) and NSE (symbol: SAGCEM).

Sagar Cements Ltd can be reached at the registered office: Plot No.111 Road No.10 Jubilee Hills, Hyderabad, Telangana, India – 500033, or through the website sagarcements.in.

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