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Balance Sheet of The Ramco Cements (RAMCOCEM)

Summary    Balance Sheet    Cash Flow    Income    Qtrly Income    Risk    Profitability    Qtrly Profit    Solvency    

Balance Sheet of The Ramco Cements Ltd.

Year 31_Mar_19 31_Mar_18 31_Mar_17 31_Mar_16 31_Mar_15 31_Mar_14 31_Mar_13 31_Mar_12 31_Mar_11 31_Mar_10 31_Mar_09 31_Mar_08 31_Mar_07 31_Mar_06 31_Mar_05
Book Value / Share (unadj) 189.35 171.52 157.14 129.89 111.11 104.3 99.62 86.16 72.89 65.48 52.96 801.35 551.71 325.53 277.24
Capital Work In Progress 831.0 174.0 120.26 146.84 262.66 353.83 157.0 527.55 545.65 317.71 635.37 576.48 178.44 11.3 1.87
Net Block 5398.0 5298.0 4942.38 4904.9 4875.52 4641.48 4593.55 4115.15 3792.95 3692.51 2999.68 1906.14 1080.53 989.89 982.9
Reserves 4437.0 4018.0 3717.7 3068.82 2621.38 2458.28 2346.96 2026.58 1710.71 1534.36 1236.39 941.95 654.28 381.1 322.77
EQ Capital Shareholdings 23.56 23.56 23.81 23.81 23.8077 23.7969 23.7969 23.7969 23.7969 23.7969 23.7969 11.903 12.078 12.078 12.08
Working Capital -528.0 -477.0 -285.21 -118.89 -136.93 113.53 21.49 -148.38 -80.19 25.71 -0.02 18.11 -4.03 -94.24 -42.95
Shareholder's Funds 4461.0 4041.0 3741.51 3092.63 2645.19 2482.08 2370.76 2050.38 1734.51 1558.16 1260.19 953.85 666.36 393.18 0.0
Total Debt 1415.0 1113.0 1424.87 2205.59 2711.89 2910.17 2667.05 2710.41 2791.17 2566.51 2463.45 1635.64 677.33 602.44 690.96
Current Liablities 2233.0 2080.0 1995.53 1738.44 1723.23 1485.0 1441.51 1304.87 1186.01 1137.99 936.31 769.49 623.87 427.28 0.0
Total Liablities 3648.0 3193.0 3420.4 3944.03 4435.12 4395.17 4108.56 4015.28 3977.18 3704.5 3399.76 2405.13 1301.2 1029.72 0.0
Cash & Bank Balances 92.76 119.41 118.08 90.77 61.85 44.61 53.96 47.49 40.01 35.6 38.61 22.94 56.57 49.31 0.0
Total Assets 8108.0 7235.0 7161.91 7036.66 7080.31 6877.25 6479.32 6065.66 5711.69 5262.66 4659.95 3358.98 1967.56 1422.9 0.0
Capital Employed 5876.0 5154.0 5166.38 5298.22 5357.08 5392.25 5037.81 4760.79 4525.68 4124.67 3723.64 2589.49 1343.69 995.62 1025.81
Current Assets 1705.0 1603.0 1710.32 1619.55 1586.3 1598.53 1463.0 1156.49 1105.82 1163.7 936.29 787.6 619.84 333.04 0.0


Compund Annual Growth Rate (CAGR) of The Ramco Cements Ltd.

Period 1 Year 3 Year 5 Year 7 Year 10 Year
Book Value / Share 10.40 % 13.39 % 12.67 % 11.91 % 13.59 %
Capital WIP 377.59 % 78.20 % 18.62 % 6.71 % 2.72 %
Net Block 1.89 % 3.24 % 3.07 % 3.95 % 6.05 %
Reserves 10.43 % 13.08 % 12.54 % 11.85 % 13.63 %
EQ Capital Shareholding 0.00 -0.351 % -0.200 % -0.143 % -0.100 %
Working Capital 10.69 % 64.37 % 0.00 19.88 % 176.80 %
Shareholders Funds 10.39 % 12.99 % 12.44 % 11.75 % 13.47 %
Total Debt 27.13 % -13.753 % -13.430 % -8.867 % -5.393 %
Current Liabilities 7.36 % 8.70 % 8.50 % 7.98 % 9.08 %
Total Liabilities 14.25 % -2.567 % -3.658 % -1.361 % 0.707 %
Cash & Bank Balance -22.318 % 0.726 % 15.77 % 10.04 % 9.16 %
Total Assets 12.07 % 4.84 % 3.35 % 4.23 % 5.69 %
Capital Employed 14.01 % 3.51 % 1.73 % 3.05 % 4.67 %
Current Assets 6.36 % 1.73 % 1.30 % 5.70 % 6.18 %

Financial Data From D'Market


(All analysis is based on End of Trade day's Value. Expected time of update is between 5 to 5.30 PM exchange time Zone)


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