About Sagar Cements Ltd
Data last updated: 14 July 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 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 NSE-filed consolidated financials for FY 2026, 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 ₹1,860.92 Cr (up 3.71% YoY). Total assets are valued at ₹4,505.27 Cr (up 7.87% 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.
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EmailLocked
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TelephoneLocked
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Website
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Social Media
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Registered AddressPlot No.111 Road No.10 Jubilee Hills, Hyderabad, Telangana, India – 500033
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IndustryManufacturing, Cement & Cement Products
- Historical Financials and ratios
- Shareholding pattern and group structure
- Charges with holder and property details
- Litigation, compliance and MCA filings
- PDF report delivered after checkout
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 |
|---|---|---|---|
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Cement, aggregates, additives, and ready-mix concrete are manufactured. | Mumbai, India, India | 2009 |
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Manufacturer of cement materials | Udaipur, India, India | 2007 |
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Cement and sugar are produced by Dalmia Bharat. | Delhi, India, India | 1939 |
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Cement is manufactured by Ash Grove in the United States. | Overland Park, United States, United States | 1882 |
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Cement is manufactured and supplied by Shree Cement in India. | Kolkata, India, India | 1979 |
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Cement and building materials are manufactured by Ambuja Cements. | Mumbai, India, India | 1983 |
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Cement is manufactured by Orient Cement in India. | Hyderabad, India, India | 1979 |
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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 | Locked |
| D | Electricity, gas, steam and air condition supply | D1 | Electric power generation, transmission and distribution | Locked |
Business activity turnover details for Sagar Cements Ltd
Turnover contribution percentages and historical activity changes require an active report plan.
- Turnover contribution
- Historical classifications
- Filing-level activity changes
Verified entity values are shown only after access is granted.
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 9 directors, with 16 former directors having served the organization. The current Directors play a crucial role in shaping the company's strategic direction and governance.
| Name | Designation | Appointment Date | Tenure | Status |
|---|---|---|---|---|
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Anand Reddy Sammidi
Also directs:
Andhra Cements Limited, Sagar Cements Ltd, Sagar Cements (M) Private Limited and 3 more
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Managing Director | 21 Nov 2007 | 18 Years 8 Months | Current |
| Madhavan Ganesan | Nominee Director | 11 May 2022 | 4 Years 3 Months | Current |
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Sreekanth Reddy Sammidi
Also directs:
Andhra Cements Limited, Sagar Cements Ltd, Sagar Cements (M) Private Limited and 5 more
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Whole-Time Director | 26 Jun 2008 | 18 Years 1 Months | Current |
| Rachana Sammidi | Director | 18 Mar 2015 | 11 Years 4 Months | Current |
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Jens Van Nieuwenborgh
Also directs:
Sagar Cements Ltd, Camlin Fine Sciences Limited, Boston Ivy Healthcare Solutions Private Limited and 2 more
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Nominee Director | 18 Sep 2024 | 1 Years 10 Months | Current |
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Rekha Onteddu
Also directs:
Andhra Cements Limited, Sagar Cements Ltd, Sagar Cements (M) Private Limited and 1 more
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Director | 30 Jun 2020 | 6 Years 1 Months | Current |
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.
| 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 |
| 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 |
| 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 |
| 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 |
| 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 |
| 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 |
Shareholding Pattern of Sagar Cements Ltd
As per the shareholding pattern filed with NSE for the quarter ended Mar 2026, promoters hold 48.33%, foreign institutional investors hold 1.66%, domestic institutional investors hold 18.49%, retail and other public shareholders hold 31.52% of Sagar Cements Ltd. The company had 34,401 shareholders on record.
| Mar 2026 | Dec 2025 | Sep 2025 | Jun 2025 | Mar 2025 | Dec 2024 | |
|---|---|---|---|---|---|---|
| Promoters | 48.33% | 48.33% | 48.33% | 48.33% | 48.33% | 48.31% |
| Public | 51.67% | 51.67% | 51.67% | 51.67% | 51.67% | 51.69% |
| Mar 2026 | Mar 2025 | Mar 2024 | Mar 2023 | Mar 2022 | Mar 2021 | Mar 2020 | Mar 2019 | Mar 2018 | Mar 2017 | Mar 2016 | |
|---|---|---|---|---|---|---|---|---|---|---|---|
| Promoters | 48.33% | 48.33% | 48.31% | 45.20% | 50.28% | 50.28% | 50.79% | 50.06% | 50.03% | 50.04% | 56.93% |
| Public | 51.67% | 51.67% | 51.69% | 54.80% | 49.72% | 49.72% | 49.21% | 49.94% | 49.97% | 49.96% | 43.07% |
| Promoter change (YoY, %pts) | +0.00 | +0.02 | +3.11 | -5.08 | +0.00 | -0.51 | +0.73 | +0.03 | -0.01 | -6.89 | - |
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.
| Director | Position | On board since | Listed 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 |
| Committee | Members |
|---|---|
| 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 |
Group Structure of Sagar Cements Ltd
Sagar Cements Ltd has 3 subsidiary companies. This group structure data is as of FY 2023. The corporate group structure reflects Sagar Cements Ltd's business expansion strategy and organizational complexity.
| Company Name | CIN | Shares Held |
|---|---|---|
| Andhra Cements Limited | L26942AP1936PLC002379 | - |
| Jajpur Cements Private Limited | U26922TS2010PTC171799 | - |
| Sagar Cements (M) Private Limited | U26942MP2001PTC014599 | - |
Showing major subsidiaries. Total: 3.
Charges & Borrowings of Sagar Cements Ltd
| Date | Lender | Amount | Status |
|---|---|---|---|
| 03 Feb 2026 | Hdfc Bank Limited | ₹27.13 Lakh | Open |
| 23 Dec 2025 | Idbi Trusteeship Services Limited | ₹150 Cr | Open |
| 24 Nov 2025 | Hdfc Bank Limited | ₹38 Lakh | Open |
| 15 Oct 2025 | Others | ₹64 Cr | Open |
| 17 May 2025 | Others | ₹120 Cr | Open |
Total charge records: 111 View all charges
Employees and EPFO Compliance at Sagar Cements Ltd
Sagar Cements Ltd has a workforce of 793 employees as of Apr 09, 2024.
Employee and EPFO history for Sagar Cements Ltd
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GST Compliance of Sagar Cements Ltd
GST registrations and filing compliance for Sagar Cements Ltd
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Credit Ratings, Litigation & Regulatory Alerts for Sagar Cements Ltd
Credit ratings, litigation, and regulatory alerts for Sagar Cements Ltd
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MSME Payment Delays by Sagar Cements Ltd
MSME payment history for Sagar Cements Ltd
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Subsidiaries & Group Companies of Sagar Cements Ltd
Corporate group structure for Sagar Cements Ltd
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MCA Filings & Documents of Sagar Cements Ltd
MCA filings and documents for Sagar Cements Ltd
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Recent Activity on Sagar Cements Ltd
Recent News on Sagar Cements Ltd
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 ₹2,650.02 Cr for FY 2026 (up 17.38% YoY) based on consolidated NSE filings.
The current directors of Sagar Cements Ltd are:
- Anand Reddy Sammidi - Managing Director
- Madhavan Ganesan - Nominee Director
- Sreekanth Reddy Sammidi - Whole-Time Director
- Rachana Sammidi - Director
- Jens Van Nieuwenborgh - Nominee Director
- Rekha Onteddu - Director
- Sudha Rani Naga - Nominee Director
- Kalidindi Venkata Vishnu Raju - Director
- Rajagopal Ravichandran - Director
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.