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JK Cement Ltd.

Construction MaterialsCement & Construction Materials
₹4,795.95BSE1.22%

16 Sep, 4:01 PM

₹4,795.95
₹36.56K Cr
38.67
5.00
15.05%
₹4,866.00
₹4,679.00
₹6,959.40
₹4,670.05

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Price Performance

Peer Comparison

Name
ULTRATECH CM

ULTRACEMCO

10,720.0036.993,15,896.072.242,603.7217.24%24,648.2015.85%13.25
AMBUJA CEME

AMBUJACEM

382.0021.6994,920.020.52660.00-36.60%9,500.00-7.67%6.24
SHREE CEMENT

SHREECEM

21,683.0547.9978,234.070.69531.12-17.48%6,233.1318.03%10.61
JK Cement Ltd.

JKCEMENT

4,795.9538.6736,564.110.42274.62-15.31%4,031.7220.26%14.89
DALBHARAT

DALBHARAT

1,695.1534.0131,795.240.53192.00-51.39%3,890.006.99%8.15
ACC LTD

ACC

1,222.9512.0522,965.440.61147.00-60.80%5,808.00-8.22%11.60
RAMCOCEM

RAMCOCEM

863.8531.5120,412.120.2931.24-63.06%2,273.059.60%10.75
JSWCEMENT

JSWCEMENT

116.5520.8915,890.020.43153.43111.23%1,896.4121.58%-4.21

Quarterly Results

consolidated figures in ₹ Crores · Quarterly

ParticularsMar 2024Jun 2024Sep 2024Dec 2024Mar 2025Jun 2025Sep 2025Dec 2025Mar 2026Jun 2026
3,105.772,807.572,560.122,930.283,581.183,352.533,019.203,463.073,887.504,031.72
Expenses2,545.832,321.372,276.152,438.162,816.332,664.872,572.642,905.573,204.973,383.98
559.94486.20283.97492.12764.85687.66446.56557.50682.53647.74
18.03%17.32%11.09%16.79%21.36%20.51%14.79%16.10%17.56%16.07%
55.1844.74140.1344.5545.8856.4450.88-1.8741.2939.25
Interest114.94110.50122.81112.41113.46108.54105.25112.6197.87114.10
153.00147.27146.29145.65162.25146.42149.47174.73182.36166.74
347.18273.17155.00279.26534.96489.15242.88268.28443.54406.15
36.72%32.34%12.16%32.01%32.46%33.71%34.43%35.29%25.40%32.38%
219.75185.31125.83189.62360.36324.42160.53174.63332.91277.47
28.4423.9816.2824.5446.6441.9920.7822.6043.0835.91

Profit & Loss

consolidated figures in ₹ Crores · Annual

ParticularsFY 2021-22 (Mar)FY 2022-23 (Mar)FY 2023-24 (Mar)FY 2024-25 (Mar)FY 2025-26 (Mar)
No of Months12.0012.0012.0012.0012.00
INCOME :
9,109.8211,104.8913,356.8814,085.1916,730.90
7,990.829,720.2011,556.0011,879.1513,722.30
EXPENDITURE :
Increase/Decrease in Stock-22.99-25.29-202.3836.37-87.77
Raw Material Consumed1,310.801,618.142,037.051,981.172,325.38
Power & Fuel Cost1,652.002,563.412,590.422,180.072,598.43
Employee Cost558.95637.76783.78901.741,045.40
Other Manufacturing Expenses646.80726.31850.44897.471,045.36
General and Administration Expenses216.38257.03297.49353.51356.06
Selling and Distribution Expenses1,898.252,334.052,815.173,155.633,696.26
Miscellaneous Expenses248.23294.49324.23346.05368.93
6,508.418,405.909,496.209,852.0111,348.05
Operating Profit (Excl OI)1,482.411,314.302,059.802,027.142,374.25
142.8787.41145.06172.95194.54
1,625.281,401.712,204.862,200.092,568.79
Interest269.69312.18453.13459.18424.27
PBDT1,355.591,089.531,751.731,740.912,144.52
342.47461.92572.62601.46652.98
Profit Before Taxation & Exceptional Items1,013.12627.611,179.111,139.451,491.54
Exceptional Income / Expenses-5.50102.35-47.80
1,012.91627.611,173.611,242.391,443.85
Provision for Tax333.70211.29383.68370.22455.86
679.21416.32789.93872.17987.99
Extra items0.000.00
Minority Interest7.917.250.90-11.054.50
Consolidated Net Profit687.12423.57790.83861.12992.49
Profit Balance B/F1,752.212,153.932,326.112,822.323,347.91
Appropriations2,439.332,577.503,116.943,683.444,340.40
Equity Dividend %150.00%150.00%200.00%150.00%200.00%
88.9354.82102.35111.44128.44
Adjusted EPS88.9354.82102.35111.44128.44

Balance Sheet

consolidated figures in ₹ Crores

ParticularsFY 2021-22 (Mar)FY 2022-23 (Mar)FY 2023-24 (Mar)FY 2024-25 (Mar)FY 2025-26 (Mar)
77.2777.2777.2777.2777.27
Total Reserves4,247.624,606.735,289.876,011.716,959.98
Reserve excluding Revaluation Reserve4,247.624,606.735,289.876,011.716,959.98
4,324.894,684.005,367.146,088.987,037.25
Minority Interest-34.26-44.40-45.50-33.7553.06
Secured Loans2,979.374,097.414,177.374,600.344,661.79
Unsecured Loans7.253.56
Deferred Tax Assets / Liabilities738.26833.901,075.581,221.501,383.09
Other Long Term Liabilities658.32725.34760.73863.05865.27
Long Term Provisions58.7560.1730.2233.5225.01
Total Non-Current Liabilities4,441.945,720.386,043.906,718.416,935.16
Trade Payables715.15822.14880.381,098.071,216.06
Other Current Liabilities1,469.661,576.931,771.711,850.941,983.87
Short Term Borrowings405.46456.81643.88792.12937.95
Short Term Provisions80.1490.95140.59166.78336.62
Total Current Liabilities2,670.402,946.833,436.563,907.914,474.50
Total Liabilities11,402.9813,306.8114,802.1016,681.5518,499.97
Gross Block9,117.6911,509.7112,856.2413,558.8616,311.46
Less: Accumulated Depreciation2,573.973,042.383,557.954,040.084,725.52
Net Block6,543.728,467.339,298.299,518.7811,585.94
Capital Work in Progress1,032.07592.01463.941,317.451,053.15
Non Current Investments10.9821.47268.13144.19414.54
Long Term Investment10.9821.47268.13144.19414.54
Long Term Loans & Advances275.53309.12340.78435.23723.50
Other Non Current Assets16.02178.6314.63262.38559.67
Total Non-Current Assets7,878.329,568.5610,385.7711,678.0314,338.24
Currents Investments204.7070.82109.27456.7232.72
Inventories1,208.71974.071,181.551,175.131,524.91
Sundry Debtors426.80480.08566.32786.55760.06
Cash and Bank325.16833.27879.961,369.67469.11
Other Current Assets151.14239.13357.46278.38339.08
Short Term Loans and Advances1,208.151,140.881,309.45926.131,035.85
Total Current Assets3,524.663,738.254,404.014,992.584,161.73
Net Current Assets (Including Current Investments)854.25791.42967.451,084.67-312.77
Total Assets11,402.9813,306.8114,802.1016,681.5518,499.97
Contingent Liabilities459.73433.44889.64655.24503.73
Total Debt3,854.894,995.115,238.545,893.526,073.28
559.72606.19694.60788.01910.74
Adjusted Book Value559.72606.19694.60788.01910.74

Cash Flow

consolidated figures in ₹ Crores

ParticularsFY 2021-22 (Mar)FY 2022-23 (Mar)FY 2023-24 (Mar)FY 2024-25 (Mar)FY 2025-26 (Mar)
No of Months12.0012.0012.0012.0012.00
1,012.91627.611,173.611,242.391,443.85
Adjustment510.10684.05876.59888.25938.91
Changes In working Capital-430.82227.6163.069.19-300.94
Cash Flow after changes in Working Capital1,092.201,539.272,113.262,139.832,081.82
Cash Flow from Operating Activities878.461,377.091,959.101,939.391,872.99
Cash Flow from Investing Activities-996.35-2,014.78-1,635.79-1,909.70-1,745.46
Cash Flow from Financing Activitie61.68741.31-415.7273.83-384.69
Net Cash Inflow / Outflow-56.20103.62-92.41103.52-257.16
Opening Cash & Cash Equivalents146.73174.41297.30
Cash & Cash Equivalent on Amalgamation / Take over / Merger103.04257.140.26
Cash & Cash Equivalent of Subsidiaries under liquidations5.220.16
Effect of Foreign Exchange Fluctuations12.5145.269.5219.3778.55
Closing Cash & Cash Equivalent103.04257.14174.41297.30118.95

Ratios

Valuation

38.67
5.00
16.79
2.54
122.37
946.30

Profitability

15.05
14.89
5.62
14.19
5.91

Leverage & Liquidity

0.86
0.93
4.40

Returns

0.42
0.95

Shareholding Pattern

Numbers in percentages

ParticularsJun '24Sep '24Dec '24Mar '25Jun '25Sep '25Dec '25Mar '26Jun '26
45.7045.6845.6845.6845.6645.6645.6645.6645.66
39.7839.9940.5940.6440.6240.3240.3740.6140.59
14.5214.3213.7313.6813.7114.0113.9513.7313.76
54.3054.3254.3254.3254.3454.3454.3454.3454.34
No. of Shareholders79,16281,19674,52773,42876,42488,76783,05082,01680,353

Corporate Actions

Showing: All
DateTypeDetailsEx-DateRecord Date
2026-07-09Board Meeting Quarterly Results
2026-05-25Ex DividendRs.20.0000 per share(200%)Final Dividend2026-07-102026-07-10
2026-05-13Board Meeting Final Dividend & Audited Results

Insider Trading

DatePersonCategoryTransaction TypeSharesValue (₹)
2026-07-29Kalpana SinghaniaInter-se-TransferSell5,000
2026-07-29Nidhipati SinghaniaInter-se-TransferBuy5,000

Sector Overview

Construction MaterialsCement & Construction Materials

JK Cement Ltd. operates in the Construction Materials sector under the Cement & Construction Materials industry. This sector is one of the key drivers of the Indian economy and is closely tracked by the relevant Nifty sectoral index.

Company Profile

Corporate information and contact details

Company Information

Industry

Cement & Construction Materials

Founded

1994

Headquarters

Kanpur, Uttar Pradesh

Group

JK Cements

Chairman

Sushila Devi Singhania

Managing Director

Raghavpat Singhania

Company Secretary

Bhumika Sood

Face Value

₹10

CIN

L17229UP1994PLC017199

Key Management

15 members across the board and senior leadership

Bhumika Sood

Company Secretary & Compliance Officer

Sushila Devi Singhania

Chairperson

Nidhipati Singhania

Vice Chairperson

Raghavpat Singhania

Managing Director

Madhavkrishna Singhania

Joint Managing Director & CEO

Ajay Kumar Saraogi

Deputy Managing Director & CFO

Paul Heinz Hugentobler

Non Independent & Non Executive Director

Alok Dhir

Non Executive Independent Director

Ashok Kumar Sharma

Non Executive Independent Director

Ashok Sinha

Non Executive Independent Director

Deepa Gopalan Wadhwa

Non Executive Independent Director

Mudit Aggarwal

Non Executive Independent Director

Praveen Mahajan

Non Executive Independent Director

Rakesh Sethi

Non Executive Independent Director

Sameer Sharma

Non Executive Independent Director

JKCEMENT Latest News

News

10 of 10 articles
COMPANY13 Aug 2026 · 11:18

JK Cement commissions 0.60 MnTPA white cement wall putty plant in Rajasthan

The company’s overall White Cement & Wall Putty production capacity stands at 3.65 MnTPA

EQUITY20 Jul 2026 · 10:50

JK Cement soars despite reporting 14% fall in Q1 consolidated net profit

Consolidated total income of the company increased by 19.42% to Rs 4,070.97 crore in Q1FY27

COMPANY20 Jul 2026 · 10:43

JK Cement reports 14% fall in Q1 consolidated net profit

Consolidated total income of the company increased by 19.42% to Rs 4,070.97 crore in Q1FY27

EQUITY25 Jun 2026 · 12:05

JK Cement gains after getting declared as preferred bidder for Gilund Limestone Block in Rajasthan

The company has been declared as the preferred bidder for the block in the e-auction conducted by the Government of Rajasthan

COMPANY24 Jun 2026 · 15:41

JK Cement declared as preferred bidder for Gilund Limestone Block in Rajasthan

The company has been declared as the preferred bidder for the block in the e-auction conducted by the Government of Rajasthan

COMPANY6 Jun 2026 · 12:35

JK Cement executes mining lease for Mahan Coal Mine in Madhya Pradesh

The company has executed mining lease with Government of Madhya Pradesh

COMPANY25 May 2026 · 11:10

JK Cement reports 8% fall in Q4 consolidated net profit

Consolidated total income of the company increased by 8.32% at Rs 3,928.79 crore for Q4FY26

EQUITY23 May 2026 · 16:40

JK Cement reports Profit after tax of Rs 3445.40 Mln, in the March 2026 quarter

COMPANY20 May 2026 · 12:51

JK Cement secures mining lease for Itauri-Jharkua Limestone Block

The total leasing area is 349.709 Hectares

EQUITY18 May 2026 · 17:31

J. K. Cement informs about disclosure

JKCEMENT

₹4,795.95

+1.22%