Sagar Cements LTD - manufacturing in Hyderabad, Telangana, India. FY 2026 financials & 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
Market Cap
₹1,961 Cr
SAGCEM · NSE
Share Price
₹150.01
+0.92% today
Revenue
₹2,650 Cr
FY 2025-26 · +10.0% YoY
EBITDA
₹292 Cr
Margin 11.0%
Net Profit
−₹17.85 Cr
FY 2025-26 · +90.5% YoY
P/E (TTM)
0.0x
P/B 1.2x
ROE
-0.0%
ROCE 2.2%
Debt / Equity
0.92
Interest cover 376.3x

About Sagar Cements LTD

Data last updated:

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 L26942TG1981PLC002887. 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 Anand Reddy Sammidi and Madhavan Ganesan.

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 latest consolidated financials for FY 2025-26, the company reported a revenue of ₹2,650.02 Cr, a growth of 17.38% compared to the previous year. The net worth stands at ₹1,692.92 Cr (down 1.73% YoY). Total assets are valued at ₹3,716.02 Cr (up 10.5% YoY).

The company has a workforce of approximately 793 employees as per the latest available data. Its group structure includes 3 subsidiaries.

The company is associated with 1 brand - Sagar Cements. As per MCA filings, the company has open charges of ₹3,125.39 Cr and satisfied charges of ₹2,341.85 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
    Locked
  • Telephone
    Locked
  • Social Media
  • Registered Address
    Plot No.111 Road No.10 Jubilee Hills, Hyderabad, Telangana, India – 500033
  • Industry
    Manufacturing, Cement & Cement Products
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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

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

CINStatus
L26942TG1981PLC002887Current
L26942AP1981PLC002887Previous

Associated Brands with Sagar Cements

Sagar Cements operates one associated brand: Sagar Cements. Each brand links to its own profile.

BrandDescriptionWebsite
Cement production is managed by Sagar Cements in India.sagarcements.in

Competitors & Alternatives of Sagar Cements

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

CompetitorDescriptionLocationFounded
JSW Cement JSW Cement Cement, aggregates, additives, and ready-mix concrete are manufactured.Mumbai, India, India2009
Wonder Cement Wonder Cement Manufacturer of cement materialsUdaipur, India, India2007
Dalmia Bharat Dalmia Bharat Cement and sugar are produced by Dalmia Bharat.Delhi, India, India1939
Ash Grove Ash Grove Cement is manufactured by Ash Grove in the United States.Overland Park, United States, United States1882
Shree Cement Shree Cement Cement is manufactured and supplied by Shree Cement in India.Kolkata, India, India1979
Ambuja Cements Ambuja Cements Cement and building materials are manufactured by Ambuja Cements.Mumbai, India, India1983
Orient Cement Orient Cement Cement is manufactured by Orient Cement in India.Hyderabad, India, India1979
Star Cement Star Cement Star Cement is recognized as a leading cement manufacturer in Eastern India.Kolkata, India, India2001

Business Activity of Sagar Cements

The main business activities of Sagar Cements are manufacturing and electricity, gas, steam and air condition supply. In detail, this covers other manufacturing including jewellery, musical instruments, medical instruments, sports goods, etc. activities and electric power generation, transmission and distribution. 2 activity segments are registered with the MCA.

Main Activity Group CodeDescription of Main ActivityBusiness Activity CodeDescription of Business ActivityTurnover Percentage
CManufacturingC13Other manufacturing including jewellery, musical instruments, medical instruments, sports goods, etc. activitiesLocked
DElectricity, gas, steam and air condition supplyD1Electric power generation, transmission and distributionLocked
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Business activity turnover details for Sagar Cements LTD

Turnover share and past changes in activity are in the company report.

  • Turnover contribution
  • Historical classifications
  • Filing-level activity changes

Verified entity values are shown only after access is granted.

Auditor Details of Sagar Cements

Sagar Cements LTD is audited by Deloitte Haskins & Sells for the financial year 2024.

NameStatusAppointment DateCessation Date
Deloitte Haskins & SellsLockedLockedLocked
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Complete auditor history for Sagar Cements LTD

Appointment and cessation dates and past auditor changes are in the company report.

  • Appointment status
  • Appointment dates
  • Cessation dates
  • Auditor changes

Verified entity values are shown only after access is granted.

Board of Directors of Sagar Cements LTD

Sagar Cements has 9 current directors and 16 former directors. Current directors are listed first, with their designation and appointment date.

Current Directors
NameDesignationAppointment DateTenureStatus
Anand Reddy SammidiManaging Director21 Nov 200718 Years 10 MonthsCurrent
Madhavan GanesanNominee Director11 May 20224 Years 4 MonthsCurrent
Sreekanth Reddy SammidiWhole-Time Director26 Jun 200818 Years 3 MonthsCurrent
Rachana SammidiDirector18 Mar 201511 Years 6 MonthsCurrent
Jens Van NieuwenborghNominee Director18 Sep 20242 Years 0 MonthsCurrent
Rekha OntedduDirector30 Jun 20206 Years 3 MonthsCurrent
Showing 6 of 9 current directors. View all directors

Financials of Sagar Cements LTD FY 2025-26 filings available

Sagar Cements LTD reported revenue of ₹2,650.02 Cr (up 17.38% YoY) for FY 2025-26.

Financial Highlights

FY 2025-26 · Consolidated
Revenue
₹2,650 Cr
+17.4% YoY
EBITDA
₹292 Cr
+156.3% YoY
Profit After Tax
−₹17.85 Cr
+90.5% YoY
Net Worth
₹1,693 Cr
-1.7% YoY
Total Assets
₹3,716 Cr
+10.5% YoY
Total Debt
₹1,708 Cr
+18.2% YoY

Revenue vs Net Profit ₹ Cr

Margin trends

Financial summary ₹ Cr

MetricsFY 2025-26FY 2024-25FY 2023-24FY 2022-23FY 2021-22FY 2020-21FY 2019-20
Income statement
Revenue2,6502,2582,5052,2301,5971,3711,175
Revenue growth+10.0%-5.1%+8.8%+57.2%+36.1%-1.9%-7.4%
EBITDA292114246153276400186
EBITDA margin+11.0%+5.1%+9.8%+6.9%+17.3%+29.2%+15.8%
Profit before tax(123)(284)(84.12)18.4710428149.67
Net profit(17.85)(188)(96.90)38.8669.3718626.53
Net profit margin-0.7%-8.3%-3.9%+1.7%+4.3%+13.6%+2.3%
EPS (₹)(0.85)(16.05)(3.32)2.225.8979.3811.99
Balance sheet
Total assets3,7163,3633,5963,2672,8962,1321,594
Net worth1,6931,7231,9411,6371,2551,191967
Total debt1,7081,4461,4441,4781,510809491
Cash & bank18.6916426221016325412.75
Net working capital5.26(61.59)20930534424615.91
Cash flow
Cash from operations21623440017586.98377202
Cash from investing(412)(113)(188)223(784)(476)(227)
Cash from financing130(217)(221)(367)6153229.92
ParticularsJun 2026Mar 2026Dec 2025Sep 2025Jun 2025Mar 2025Dec 2024Sep 2024
Revenue706787591602671658564475
Revenue growth (YoY)+5.3%+19.6%+4.7%+26.7%+19.6%-7.2%-15.8%-19.0%
Other income2.3811.191.834.344.193.484.814.84
EBITDA72.4281.5437.6751.331219.6537.6419.93
EBITDA margin+10.3%+10.4%+6.4%+8.5%+18.1%+1.5%+6.7%+4.2%
Depreciation59.1666.2663.0455.7054.6558.3658.6157.60
Interest52.2353.0950.2946.4847.0947.3148.0746.38
Profit before tax(36.59)(26.62)(73.83)(46.51)23.90(92.54)(64.23)(79.21)
Tax(8.49)(127)(9.73)(2.34)16.41(19.49)(9.78)(22.23)
Net profit(28.10)100(64.10)(44.17)7.49(73.05)(54.45)(56.98)
EPS (₹)(2.15)7.65(4.90)(3.38)0.57(5.59)(4.17)(4.36)
MetricsFY 2025-26FY 2024-25FY 2023-24FY 2022-23FY 2021-22FY 2020-21FY 2019-20
Income statement
Revenue1,7681,5671,9081,9641,5681,375848
Revenue growth+7.0%-11.3%-5.0%+41.6%+31.8%+33.5%-9.2%
EBITDA13036.03183148286402119
EBITDA margin+7.4%+2.3%+9.6%+7.6%+18.3%+29.3%+14.0%
Profit before tax3.22(138)45.0110216328446.23
Net profit(5.07)(64.52)9.5459.3510418934.48
Net profit margin-0.3%-4.1%+0.5%+3.0%+6.6%+13.7%+4.1%
EPS (₹)2.57(6.54)2.385.638.8380.5415.59
Balance sheet
Total assets2,2902,2232,3082,3742,2661,6771,386
Net worth1,6451,6111,7051,6841,2941,1951,033
Total debt517500479593896411257
Cash & bank8.0213122715115722710.14
Net working capital22.1976.5321428922717673.65
Cash flow
Cash from operations10451.73342134154423135
Cash from investing(98.71)(53.14)(118)189(643)(161)(189)
Cash from financing(68.61)(87.84)(199)(332)415(49.69)37.73
ParticularsJun 2026Mar 2026Dec 2025Sep 2025Jun 2025Mar 2025Dec 2024Sep 2024
Revenue472530403400436460383330
Revenue growth (YoY)+8.3%+15.2%+5.2%+21.2%+10.7%-11.0%-23.7%-28.2%
Other income8.5945.295.067.397.257.366.156.48
Total expenses438510382371376472373328
EBITDA33.7920.3221.5828.3660.12(12.57)10.041.81
EBITDA margin+7.2%+3.8%+5.4%+7.1%+13.8%-2.7%+2.6%+0.5%
Depreciation28.1429.0829.4128.7428.2830.1130.1929.92
Interest17.8718.5118.1719.7920.1720.6921.2720.01
Profit before tax(3.63)18.02(20.94)(12.78)18.92(56.01)(35.27)(41.64)
Tax(0.74)(25.59)(7.68)(4.56)7.48(25.84)(11.01)(14.35)

Financial Statements

Figures in ₹ Cr; negatives in brackets. Updated 02 Oct 2026
ParticularsJun 2026Mar 2026Dec 2025Sep 2025Jun 2025Mar 2025Dec 2024Sep 2024
Revenue706787591602671658564475
Revenue growth (YoY)+5.3%+19.6%+4.7%+26.7%+19.6%-7.2%-15.8%-19.0%
Other income2.3811.191.834.344.193.484.814.84
EBITDA72.4281.5437.6751.331219.6537.6419.93
EBITDA margin+10.3%+10.4%+6.4%+8.5%+18.1%+1.5%+6.7%+4.2%
Depreciation59.1666.2663.0455.7054.6558.3658.6157.60
Interest52.2353.0950.2946.4847.0947.3148.0746.38
Profit before tax(36.59)(26.62)(73.83)(46.51)23.90(92.54)(64.23)(79.21)
Tax(8.49)(127)(9.73)(2.34)16.41(19.49)(9.78)(22.23)
Net profit(28.10)100(64.10)(44.17)7.49(73.05)(54.45)(56.98)
EPS (₹)(2.15)7.65(4.90)(3.38)0.57(5.59)(4.17)(4.36)
ParticularsFY 2025-26FY 2024-25FY 2023-24FY 2022-23FY 2021-22FY 2020-21FY 2019-20
Revenue2,6502,2582,5052,2301,5971,3711,175
Revenue growth+10.0%-5.1%+8.8%+57.2%+36.1%-1.9%-7.4%
Other income21.5521.4368.9122313.427.784.03
Total expenses2,3582,1442,2592,0761,321971990
Employee cost14913311799.3485.5576.3664.87
EBITDA292114246153276400186
EBITDA margin+11.0%+5.1%+9.8%+6.9%+17.3%+29.2%+15.8%
Depreciation24023121415692.7181.0378.87
Interest19718818520292.4846.5660.99
Profit before tax(123)(284)(84.12)18.4710428149.67
Tax(122)(66.85)(32.07)9.9744.8594.5123.14
Net profit(17.85)(188)(96.90)38.8669.3718626.53
Net profit margin-0.7%-8.3%-3.9%+1.7%+4.3%+13.6%+2.3%
EPS (₹)(0.85)(16.05)(3.32)2.225.8979.3811.99
ParticularsFY 2025-26FY 2024-25FY 2023-24FY 2022-23FY 2021-22FY 2020-21FY 2019-20
Equity & liabilities
Share capital26.1426.1426.1426.1423.5023.5022.28
Reserves & surplus1,6671,6971,9151,6111,2321,167922
Shareholders' funds (net worth)1,6931,7231,9411,6371,2551,191967
Minority interest16871.5278.4751.4454.0153.5153.93
Secured loans1,5521,3831,4391,4721,503740488
Unsecured loans15662.805.045.476.8268.632.78
Total debt1,7081,4461,4441,4781,510809491
Total liabilities3,7163,3633,5963,2672,8962,1321,594
Assets
Gross block5,2534,8954,8614,2522,7431,9131,893
Net block3,2293,1093,2502,7932,0481,3011,384
Capital work in progress11612314.7099.18100517108
Investments0.000.000.000.003150.000.00
Inventories313274308279209124116
Sundry debtors226204208133120101137
Cash & bank balances18.6916426221016325412.75
Loans & advances20354.3583.3713922411451.89
Total current assets760696861761715594317
Total current liabilities755758652456371347301
Net working capital5.26(61.59)20930534424615.91
Total assets3,7163,3633,5963,2672,8962,1321,594
ParticularsFY 2025-26FY 2024-25FY 2023-24FY 2022-23FY 2021-22FY 2020-21FY 2019-20
Opening cash70.491671751432252.9017.91
Net cash from operating activities21623440017586.98377202
Net cash from investing activities(412)(113)(188)223(784)(476)(227)
Net cash from financing activities130(217)(221)(367)6153229.92
Net change in cash(66.97)(96.69)(7.73)31.85(82.08)222(15.01)
Closing cash18.6916426221016325412.75
ParticularsFY 2025-26FY 2024-25FY 2023-24FY 2022-23FY 2021-22FY 2020-21FY 2019-20
Growth
Sales growth+17.4%-9.9%+12.3%+39.6%+16.5%+16.7%-3.5%
EBITDA growth+156.3%-53.7%+60.5%-44.5%-31.1%+115.9%+24.2%
PBT growth+56.6%-237.1%--82.2%-62.9%+465.0%+114.1%
Net income growth+90.5%-93.8%--44.0%-62.8%+601.9%+93.4%
Revenue CAGR (3Y)+5.9%+12.2%+22.2%+23.8%+9.5%+9.7%+13.0%
EBITDA CAGR (3Y)+24.0%-25.5%-15.0%-6.2%+22.7%+38.3%+18.9%
Profitability & leverage
Net income margin-0.0%-9.6%-2.1%+0.4%+3.7%+13.6%+2.3%
Return on capital employed+2.2%-2.8%+1.4%+6.6%+8.0%+18.1%+7.5%
Return on net worth-0.0%-11.8%-5.9%+1.3%+4.8%+17.3%+2.9%
Debt / equity0.920.790.821.030.950.600.55
Long-term debt / equity0.680.590.630.790.720.430.33
Interest cover376.29-161.03581.23-7,785.3350.5214.5857.20
Efficiency & per share
Fixed asset turnover0.520.460.550.640.690.720.66
Inventory turnover9.047.778.549.159.6011.429.01
Debtors turnover12.3210.9614.6917.5914.4511.559.31
EPS (₹)(0.85)(16.05)(3.32)2.225.8979.3811.99
Dividend per share (₹)0.000.000.700.700.706.502.50
Book value per share (₹)129.53131.81148.52125.29106.85506.74423.83
ParticularsJun 2026Mar 2026Dec 2025Sep 2025Jun 2025Mar 2025Dec 2024Sep 2024
Revenue472530403400436460383330
Revenue growth (YoY)+8.3%+15.2%+5.2%+21.2%+10.7%-11.0%-23.7%-28.2%
Other income8.5945.295.067.397.257.366.156.48
Total expenses438510382371376472373328
EBITDA33.7920.3221.5828.3660.12(12.57)10.041.81
EBITDA margin+7.2%+3.8%+5.4%+7.1%+13.8%-2.7%+2.6%+0.5%
Depreciation28.1429.0829.4128.7428.2830.1130.1929.92
Interest17.8718.5118.1719.7920.1720.6921.2720.01
Profit before tax(3.63)18.02(20.94)(12.78)18.92(56.01)(35.27)(41.64)
Tax(0.74)(25.59)(7.68)(4.56)7.48(25.84)(11.01)(14.35)
ParticularsFY 2025-26FY 2024-25FY 2023-24FY 2022-23FY 2021-22FY 2020-21FY 2019-20
Revenue1,7681,5671,9081,9641,5681,375848
Revenue growth+7.0%-11.3%-5.0%+41.6%+31.8%+33.5%-9.2%
Other income64.9926.6353.9122726.918.5416.32
Total expenses1,6381,5311,7251,8151,282973729
Employee cost11298.9888.9586.4381.0176.2455.70
EBITDA13036.03183148286402119
EBITDA margin+7.4%+2.3%+9.6%+7.6%+18.3%+29.3%+14.0%
Depreciation11611911711480.3580.5755.07
Interest76.6481.4975.0916069.3446.0733.92
Profit before tax3.22(138)45.0110216328446.23
Tax(30.35)(52.77)13.8428.2759.5394.7911.50
Net profit(5.07)(64.52)9.5459.3510418934.48
Net profit margin-0.3%-4.1%+0.5%+3.0%+6.6%+13.7%+4.1%
EPS (₹)2.57(6.54)2.385.638.8380.5415.59
ParticularsFY 2025-26FY 2024-25FY 2023-24FY 2022-23FY 2021-22FY 2020-21FY 2019-20
Equity & liabilities
Share capital26.1426.1426.1426.1423.5023.5022.28
Reserves & surplus1,6191,5851,6791,6581,2711,171988
Shareholders' funds (net worth)1,6451,6111,7051,6841,2941,1951,033
Secured loans448400478591891400256
Unsecured loans69.251001.072.475.1311.591.36
Total debt517500479593896411257
Total liabilities2,2902,2232,3082,3742,2661,6771,386
Assets
Gross block2,6012,5632,5032,3582,0041,9191,247
Net block1,4051,4811,5381,5021,2601,245834
Capital work in progress91.4116.0114.4072.1729.3628.4419.83
Investments440487487496285239477
Inventories19517920722217412480.67
Sundry debtors17015516414112410194.86
Cash & bank balances8.0213122715115722710.14
Loans & advances89.1855.0677.4710410459.24134
Total current assets462519675617558511319
Total current liabilities440443461329332336246
Net working capital22.1976.5321428922717673.65
Total assets2,2902,2232,3082,3742,2661,6771,386
ParticularsFY 2025-26FY 2024-25FY 2023-24FY 2022-23FY 2021-22FY 2020-21FY 2019-20
Opening cash66.581561311402141.7817.84
Net cash from operating activities10451.73342134154423135
Net cash from investing activities(98.71)(53.14)(118)189(643)(161)(189)
Net cash from financing activities(68.61)(87.84)(199)(332)415(49.69)37.73
Net change in cash(63.30)(89.25)24.77(9.43)(73.91)213(16.13)
Closing cash8.0213122715115722710.14
ParticularsFY 2025-26FY 2024-25FY 2023-24FY 2022-23FY 2021-22FY 2020-21FY 2019-20
Growth
Sales growth+12.9%-17.9%-2.9%+25.3%+14.0%+62.2%-6.0%
EBITDA growth+261.9%-80.3%+23.0%-48.1%-28.9%+238.2%+19.7%
PBT growth+9998.0%--55.8%-37.7%-42.5%+514.4%+24.7%
Net income growth+92.1%--83.9%-42.9%-44.9%+447.9%+29.4%
Revenue CAGR (3Y)-3.4%-0.0%+11.5%+32.3%+20.2%+22.5%+16.5%
EBITDA CAGR (3Y)-4.2%-49.9%-23.1%+7.7%+42.3%+49.4%+26.1%
Profitability & leverage
Net income margin+1.9%-5.5%+1.6%+3.7%+6.6%+13.8%+4.1%
Return on capital employed+1.8%-1.6%+3.8%+10.4%+11.8%+21.6%+6.1%
Return on net worth-0.3%-3.9%+0.6%+4.0%+8.3%+17.0%+3.6%
Debt / equity0.310.300.320.500.530.300.28
Long-term debt / equity0.120.120.170.310.340.160.13
Interest cover515.40-97.72113.45457.1333.7014.3353.14
Efficiency & per share
Fixed asset turnover0.680.620.780.900.800.870.72
Inventory turnover9.468.128.909.9310.5213.429.08
Debtors turnover10.909.8412.5414.8313.9514.069.80
EPS (₹)2.57(6.54)2.385.638.8380.5415.59
Dividend per share (₹)0.000.000.700.700.706.502.50
Book value per share (₹)125.85123.29130.47128.86110.14508.49453.39
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Shareholding Pattern of Sagar Cements LTD

Shareholding for the quarter ended Sep 2026: promoters hold 48.30%, foreign institutional investors hold 1.60%, domestic institutional investors hold 18.40% and retail and other public shareholders hold 31.70%.

Promoters: 48.30%DII (Domestic Institutional): 18.40%FII (Foreign Institutional): 1.60%Retail & Others: 31.70%
Sep 2026
QUARTER
48.30% Promoters
18.40% DII (Domestic Institutional)
1.60% FII (Foreign Institutional)
31.70% Retail & Others
Promoter holding - history
Now 48.30% · Sep 2026High 48.30% · Dec 2025Low 48.30% · Dec 2025
47%47.8%48.5%49.3%50%Dec 2025Mar 2026Jun 2026Sep 2026Dec 2025: 48.30%Mar 2026: 48.30%Jun 2026: 48.30%Sep 2026: 48.30%48.30%48.30%
Shareholding trend - last 6 quarters
Sep 2026Jun 2026Mar 2026Dec 2025
Promoters48.30%48.30%48.30%48.30%
Public51.70%51.70%51.70%51.70%

Group Structure of Sagar Cements LTD

Sagar Cements has 3 subsidiary companies. This group structure data is as of FY 2023. The table lists each entity with its relationship and holding.

3
Subsidiary companies
Key Subsidiaries
Company NameCINShares Held
Andhra Cements LimitedL26942AP1936PLC002379-
Jajpur Cements Private LimitedU26922TS2010PTC171799-
Sagar Cements (M) Private LimitedU26942MP2001PTC014599-

Showing major subsidiaries. Total: 3.

Charges & Borrowings of Sagar Cements

Open charges
₹3,125.39 Cr
Satisfied charges
₹2,341.85 Cr
Breakdown by lending institutions
Others₹1,374.00 Cr
Idbi Trusteeship Services Limited₹921.00 Cr
Axis Bank Limited₹500.93 Cr
State Bank of India₹327.00 Cr
Dcl Finance Ltd.₹1.61 Cr
Others₹0.85 Cr
Latest charge details
DateLenderAmountStatus
03 Feb 2026Hdfc Bank Limited₹27.13 LakhOpen
23 Dec 2025Idbi Trusteeship Services Limited₹150 CrOpen
24 Nov 2025Hdfc Bank Limited₹38 LakhOpen
15 Oct 2025Others₹64 CrOpen
17 May 2025Others₹120 CrOpen

Total charge records: 111 View all charges

Employees and EPFO Compliance at Sagar Cements

Sagar Cements LTD has a workforce of 793 employees as of Apr 09, 2024.

Employee count
793
Active EPFO establishments
3
Employee growth
2.99%
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Employee and EPFO history for Sagar Cements LTD

Monthly headcount, contribution history and filing status are in the company report.

  • Monthly headcount
  • PF contributions
  • ECR filing status
  • Establishment history

Verified entity values are shown only after access is granted.

GST Compliance of Sagar Cements

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GST registrations and filing compliance for Sagar Cements LTD

State-wise GST registrations, return filing status and HSN or SAC codes are in the company report.

  • GSTIN registrations
  • State-wise filing status
  • HSN and SAC details
  • Tax jurisdiction records

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Credit Ratings, Litigation & Regulatory Alerts for Sagar Cements

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Credit ratings, litigation, and regulatory alerts for Sagar Cements LTD

Credit ratings, court records and regulatory alerts are in the company report.

  • Rating history
  • Court and tribunal cases
  • Regulatory alerts
  • Director-linked violations

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MSME Payment Delays by Sagar Cements

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MSME payment history for Sagar Cements LTD

Amounts due to small suppliers, the reasons given and MSME-1 filings are in the company report.

  • Outstanding amounts
  • Delay periods and reasons
  • MSME-1 filing history
  • Vendor payment signals

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Subsidiaries & Group Companies of Sagar Cements

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Corporate group structure for Sagar Cements LTD

Parent, subsidiary, associate and joint venture records with holdings are in the company report.

  • Parent company
  • Subsidiaries and ownership
  • Associates and joint ventures
  • Entity investments

Verified entity values are shown only after access is granted.

MCA Filings & Documents of Sagar Cements

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MCA filings and documents for Sagar Cements LTD

Filed forms, annual returns, financial statements and charge filings with their dates are in the company report.

  • Incorporation documents
  • Annual returns and statements
  • Charge filings
  • Complete filing index

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Recent Activity on Sagar Cements

Charges
23 Jun 2026
A charge registered on 19 May 2020 via Charge ID 100337936 with Idbi Trusteeship Services Limited was fully satisfied on 23 Jun 2026.
Charges
01 Jun 2026
A charge with Idbi Trusteeship Services Limited of Rs. 150.00 Cr registered on 23 Dec 2025 with Charge ID 101212775 was modified on 01 Jun 2026.
Charges
25 May 2026
A charge registered on 09 Mar 2021 via Charge ID 100440554 with Hdfc Bank Limited was fully satisfied on 25 May 2026.
Charges
07 Apr 2026
A charge registered on 08 Dec 2023 via Charge ID 100826976 with Others was fully satisfied on 07 Apr 2026.
Charges
02 Apr 2026
A charge registered on 30 Mar 2021 via Charge ID 100442931 with Others was fully satisfied on 02 Apr 2026.
Charges
30 Mar 2026
A charge registered on 28 Feb 2025 via Charge ID 101054639 with State Bank Of India was fully satisfied on 30 Mar 2026.

Frequently Asked Questions about Sagar Cements LTD

Sagar Cements 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 reported revenue of ₹2,650.02 Cr for FY 2025-26 (up 17.38% YoY) based on consolidated financials.

The current directors of Sagar Cements are:

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

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

Sagar Cements 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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