JKcement Corporate Snapshot & CSR Update slide image

JKcement Corporate Snapshot & CSR Update

Financial Highlights - 9MFY22 vs 9MFY21 Particulars (Rs. Cr.) 9MFY22 9MFY21 YOY Revenue from Operations 5410 4276 27% Operating Expenses 4310 3201 35% EBITDA 1099 1075 2% Other Income 102 79 28% Depreciation 206 180 15% EBIT 995 974 2% Finance Cost 180 170 6% Profit Before Tax 814 804 1% Provision for Tax 270 265 2% Profit After Tax 544 539 1% EPS in Rs 70.46 69.82 1% Net Sales 5305 4205 26% EBITDA Margin (%) 20.72% 25.56% 19% JKcement
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