Sagar Cements
BSE:502090
Rp 159,50
Rp-5,00 (-3,04%)
159,50 Rp
Rp-5,00 (-3,04%)
End-of-day quote: 03/27/2026

Quick Analysis
The traffic-light system summarizes key characteristics and shows the investment’s quality at a glance.

Rp-14,94
Earnings Per Share
Rp172,72
Revenue Per Share
42,66%
Gross Margin %
Rp21,50 B
Market Cap
Rp9,92 B
Long-Term Debt
Earnings Per Share
Rp-14,94
Revenue Per Share
Rp172,72
Gross Margin %
42,66%
Market Cap
Rp21,50 B
Long-Term Debt
Rp9,92 B

Financials

Year Year 2025 2024 2023 2022 2021 2020 2019 2018 2009 2008
EPS Earnings Per Share Rp-14,94 Rp-4,82 Rp0,66 Rp5,03 Rp16,05 Rp2,47 Rp1,33 Rp2,56 Rp2,30 Rp4,74
Earnings Earnings Rp-1,95B Rp-630,02M Rp86,27M Rp591,03M Rp1,89B Rp275,11M Rp135,66M Rp261,12M Rp172,52M Rp316,11M
RPS Revenue Per Share Rp172,72 Rp191,62 Rp170,57 Rp135,90 Rp116,71 Rp105,51 Rp119,37 Rp101,77 Rp40,87 Rp33,46
Revenue Revenue Rp22,58B Rp25,05B Rp22,30B Rp15,97B Rp13,71B Rp11,75B Rp12,18B Rp10,38B Rp3,07B Rp2,23B
OCF Operating Cash Flow Rp2,34B Rp4,00B Rp1,75B Rp869,80M Rp3,77B Rp2,02B Rp1,33B Rp1,50B Rp0,00M Rp493,97M
FCF Free Cash Flow Rp957,80M Rp1,75B Rp574,20M Rp-2,74B Rp-840,90M Rp-258,10M Rp-623,70M Rp-465,30M Rp0,00M Rp0,00M
OM Operating Margin -3,94% 1,28% -0,00% 11,48% 23,34% 9,29% 6,92% 9,41% 14,56% 22,76%
GM % Gross Margin % 42,66% 43,15% 39,11% 51,23% 61,24% 51,95% 48,39% 83,97% 49,80% 51,93%
FCFS Free Cash Flow Per Share Rp7,33 Rp13,36 Rp4,44 Rp-23,32 Rp-7,27 Rp-12,02 Rp-30,57 Rp-22,82 Rp-35,49 Rp-136,49
LT Debt Long-Term Debt Rp9,93B Rp10,92B Rp11,55B Rp11,31B Rp6,50B Rp2,99B Rp3,15B Rp3,30B Rp2,10B Rp1,94B
Sha. Stocks 130,71M 130,71M 130,71M 117,5M 117,5M 111,38M 102M 102M 75,01M 66,69M
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