JKcement Corporate Snapshot & CSR Update slide image

JKcement Corporate Snapshot & CSR Update

Financial Highlights - Q3FY22 vs Q3FY21 Particulars (Rs. Cr.) Q3FY22 Q3FY21 YOY Revenue from Operations 1940 1760 10% Operating Expenses 1570 1311 20% EBITDA 371 449 17% Other Income 26 30 13% Depreciation 72 62 16% EBIT 325 417 22% Finance Cost 65 59 10% Profit Before Tax 260 358 27% Provision for Tax 93 119 22% Profit After Tax 167 238 30% EPS in Rs 21.66 30.84 30% Net Sales 1903 1730 10% EBITDA Margin (%) 19.49% 25.95% 25% JKcement
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