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Saurashtra Cement Revenue Drops in March 2026 Quarter

May 12, 2026 3 mins read Firehose Gupta

Saurashtra Cement Limited — Quarter and year ended March 31, 2026

BSE Limited, Corporate Relationship Manager National Stock Exchange of India Limited
1st Floor, New Trading Ring, Rotunda Bldg., Phiroze Jeejeebhoy Towers, Dalal Street, Mumbai – 400 001. Exchange Plaza, Bandra-Kurla Complex, Bandra (East), Mumbai – 400 051.
Stock Code: 502175 Stock Symbol: SAURASHCEM
Particulars Quarter ended Dec 31, 2025 (Unaudited) Quarter ended Dec 31, 2026 (Unaudited) Quarter ended March 31, 2025 (Audited) Quarter ended March 31, 2026 (Audited) Year ended March 31, 2025 (Audited) Year ended March 31, 2026 (Audited) Consolidated March 31, 2025 (Audited) Consolidated March 31, 2026 (Audited)
₹ in lakhs
1 Revenue from Operations: 4,1018.74 4,4646.67 47,805.15 44,414.11 48,242.64 45,076.41 48,242.64 45,076.41
2 Other Income (1+2) 4,1481.69 4,5090.54 48,260.39 45,334.81 48,467.67 45,981.27 48,467.67 45,981.27
Expenses
a Cost of Materials Consumed 8,099.86 8,383.63 26,643.33 31,852.81 26,643.33 31,852.81 26,643.33 31,852.81
b Purchase of Stock-in-trade 546.66 461.27 893.70 1,682.21 893.70 1,682.21 893.70 1,682.21
c Changes in Inventories of Finished Goods, Stock-in-trade and Work-in-progress -333.44 -333.44 (571.78) 692.06 (571.78) 692.06 (571.78) 692.06
d Employee Benefit Expenses 2,781.11 2,666.61 11,998.12 11,919.12 11,998.12 11,919.12 11,998.12 11,919.12
e Finance Cost 322.45 216.51 1,361.43 1,016.82 1,361.43 1,016.82 1,361.43 1,016.82
f Depreciation and Amortisation Expenses 1,099.75 1,212.41 4,227.85 4,422.86 4,227.85 4,422.86 4,227.85 4,422.86
g Other Expenses 8,310.90 5,643.64 29,547.17 32,200.96 29,547.17 32,200.96 29,547.17 32,200.96
– Stores and Repairs Included in other expenses Included in other expenses Included in other expenses Included in other expenses Included Included Included Included
– Freight and Forwarding Included in other expenses Included in other expenses Included in other expenses Included in other expenses Included Included Included Included
– Power and Fuel Included in other expenses Included in other expenses Included in other expenses Included in other expenses Included Included Included Included
Total Expenses (a to g) 42,374.61 43,447.39 1,54,971.77 1,66,774.95 1,54,971.77 1,66,774.95 1,54,971.77 1,66,774.95
Profit/(Loss) before Exceptional Items (3-4) 4,389.32 1,692.90 698.25 1,669.24 698.25 1,669.24 698.25 1,669.24
5 Exceptional Items (a to g) before Tax (655.73) (355.64) (254.45) (1064.78) (254.45) (1064.78) (254.45) (1064.78)
6 Note on impact of new Labour Codes (Refer Note 5)
7 Statutory provision for service tax on GTA and Interest back
8 Impairment loss on assets classified held for sale (Refer Note 6)
9 Profit / (Loss) after Exceptional Items and before Tax (5+6) (1,290.09) (1,521.06) 322.51 657.87 322.51 657.87 322.51 657.87
10 Tax Expense
a Current Tax 1,739.14 1,882.95 1,444.83 1,441.83 1,444.83 1,441.83 1,444.83 1,441.83
b Deferred Tax (Refer Notes) (51.44) (29.68) (51.44) (29.68) (51.44) (29.68)
11 Net Profit after Tax (9-10) (4.61) 1.61 (0.01) 7.47 (0.01) 7.47 (0.01) 7.47
12 Other Comprehensive Income
– Items that will not be reclassified to profit or loss (0.01) (0.03) 0.00 0.00 0.00 0.00 0.00 0.00
– Income tax relating to above Items
13 Total Comprehensive Income (3.00) 7.98 3,291.03 1,419.61 3,291.03 1,419.61 3,291.03 1,419.61
14 Paid up Equity Share Capital (Face value of ₹10 each (9+10)) 11,128.73 11,125.32 83,615.29 85,034.90 83,615.29 85,034.90 83,615.29 85,034.90
15 Other Equity 2.96 1.69 0.63 1.30 0.63 1.30 0.63 1.30
Earnings per Share of ₹10 each (not annualised) – in ₹
– Basic 2.96 1.69 0.63 1.30 0.63 1.30 0.63 1.30
– Diluted 2.96 1.69 0.63 1.30 0.63 1.30 0.63 1.30
S.No. Particulars Quarter ended Dec. 31, 2025 (Unaudited) ₹in lakhs Quarter ended March 31, 2026 (Audited) ₹in lakhs Year ended March 31, 2025 (Audited) ₹in lakhs Year ended March 31, 2026 (Audited) ₹in lakhs Quarter ended Dec. 31, 2025 (Unaudited) ₹in lakhs Quarter ended March 31, 2026 (Audited) ₹in lakhs Year ended March 31, 2025 (Audited) ₹in lakhs Year ended March 31, 2026 (Audited) ₹in lakhs Quarter ended Dec. 31, 2025 (Unaudited) ₹in lakhs Quarter ended March 31, 2026 (Audited) ₹in lakhs Year ended March 31, 2025 (Audited) ₹in lakhs Year ended March 31, 2026 (Audited) ₹in lakhs
Standalone Standalone Standalone Standalone Consolidated Consolidated Consolidated Consolidated
1 Segment Revenue
a Revenue from Operations 39,163.17 42,394.08 46,001.90 46,001.90 39,163.17 42,394.08 46,001.90 46,001.90 1,85,857 2,27,059 1,80,039 1,58,988.67
b Cement and Cement related product 1,855.57 2,270.59 4,803.25 4,803.25 1,855.57 2,270.59 4,803.25 1,66,603.87 41,018.74 44,664.67 47,805.15 66,603.87
2 Total Revenue from Operations 41,018.74 44,664.67 47,805.15 47,805.15 41,018.74 44,664.67 47,805.15 47,805.15 6,229.48 2,470.19 6,226.94 4,214.80
a Profit / (Loss) after depreciation but before finance cost: (638.75) (962.01) (709.43) (709.43) (624.89) (962.01) (709.43) (709.43) 5,459.35 1,489.53 5,497.64 2,515.43
b Cement and Cement related product (567.89) (567.89) (2,696.05)
c Paints (1,206.64) 1,508.19 5,520.05 5,520.05 (1,198.61) 1,489.89 5,487.64 5,487.64 2,763.30 1,897.64 5,494.94 1,274.33
d Others – Subsidiary Company 322.45 216.51 213.59 213.59 324.45 216.51 213.59 216.51 1,361.43 1,273.38 5,286.05 657.87
3 Less: Finance Cost (1,529.09) (1,291.68) (1,306.46) (1,306.46) (1,521.06) (1,273.38) (1,306.46) (1,273.38) 1,452.84 1,488.45 1,511.56 1,488.45
Net Profit / (Loss) before Tax 1,453,646 48,984.29 151,156.94 151,156.94 1,425,284 48,888.45 151,076.37 1,51,284.11 10,392.43 9,809.20 9,125.36 9,809.20
4 Segment Assets 10,394.43 9,809.20 9,125.36 9,125.36 10,397 9,809.20 9,125.36 9,809.20 1,58,793.83 1,58,793.49 1,60,282.30 1,60,283.30
Paints 58,452.79 59,912.92 62,447.85 62,447.85 58,452.79 59,912.92 62,447.85 62,447.85 3,049.90 2,716.94 3,095.46 3,095.46
Others – Subsidiary Company 3,049.90 2,716.94 3,095.46 3,095.46 3,049.90 2,716.94 3,095.46 3,095.46 3,86 0.34 0.46 0.34
Total Assets 61,502.69 62,629.86 65,543.31 65,543.31 61,506.56 62,629.86 65,543.77 65,543.77
5 Segment Liabilities
Paints – Subsidiary Company
Cement and Cement related product