Integrated Filing — IndAS
General information about company
| Scrip Code |
532538 |
| NSE Symbol |
ULTRACEMCO |
| MSEI Symbol |
NOTLISTED |
| ISIN |
INE481G01011 |
| Name of company |
UltraTech Cement Limited |
| Type of company |
Main Board |
| Class of security |
Equity |
| Date of start of financial year |
01-04-2025 |
| Date of end of financial year |
31-03-2026 |
| Date of board meeting when results were approved |
18-10-2025 |
| Date on which prior intimation of the meeting for considering financial results was informed
to the exchange |
01-09-2025 |
| Description of presentation currency |
INR |
| Level of rounding used in financial results |
Lakhs |
| Reporting Type |
Quarterly |
| Reporting Quarter |
Second quarter |
| Nature of report standalone or consolidated |
Consolidated |
| Whether results are audited or unaudited for the quarter ended |
Unaudited |
| Whether results are audited or unaudited for the Year to date for current period ended/year ended |
Unaudited |
| Segment Reporting |
Single segment |
| Description of single segment |
Manufacturing, marketing and distribution of building materials and providing complete building solutions and support services |
| Start date and time of board meeting |
18-10-2025 12:00:00 |
| End date and time of board meeting |
18-10-2025 13:45:00 |
| Whether cash flow statement is applicable on company |
Yes |
| Type of cash flow statement |
Cash Flow Indirect |
| Declaration of unmodified opinion or statement on impact of audit qualification |
Not applicable |
Financial Results Ind-AS
Amount in (Lakhs)
| Particulars |
3 months/ 6 months ended (dd-mm-yyyy) |
Year to date figures for current period ended (dd-mm-yyyy) |
| A |
Date of start of reporting period |
01-07-2025 |
01-04-2025 |
| B |
Date of end of reporting period |
30-09-2025 |
30-09-2025 |
| C |
Whether results are audited or unaudited |
Unaudited |
Unaudited |
| D |
Nature of report standalone or consolidated |
Consolidated |
Consolidated |
| 1 |
Income |
|
Revenue from operations |
19,60,693.00 |
40,88,238.00 |
|
Other income |
17,414.00 |
35,437.00 |
|
Total income |
19,78,107.00 |
41,23,675.00 |
| 2 |
Expenses |
| (a) |
Cost of materials consumed |
3,38,374.00 |
6,81,645.00 |
| (b) |
Purchases of stock-in-trade |
57,928.00 |
1,11,449.00 |
| (c) |
Changes in inventories of finished goods,
work-in-progress and stock-in-trade |
(7,208.00) |
(22,096.00) |
| (d) |
Employee benefit expense |
1,06,439.00 |
2,03,663.00 |
| (e) |
Finance costs |
45,929.00 |
89,259.00 |
| (f) |
Depreciation, depletion and amortisation expense
|
1,14,768.00 |
2,25,446.00 |
| (f) |
Other Expenses |
| 1 |
Power and Fuel Expense |
4,44,419.00 |
9,30,609.00 |
| 2 |
Freight and Forwarding Expense |
4,12,713.00 |
8,77,610.00 |
| 3 |
Other Expenses |
2,98,594.00 |
5,54,890.00 |
|
Total other expenses |
11,55,726.00 |
23,63,109.00 |
|
Total expenses |
18,11,956.00 |
36,52,475.00 |
| 3 |
Total profit before exceptional items and tax |
1,66,151.00 |
4,71,200.00 |
| 4 |
Exceptional items |
0.00 |
(3,838.00) |
| 5 |
Total profit before tax |
1,66,151.00 |
4,67,362.00 |
| 6 |
Tax expense |
|
| 7 |
Current tax |
33,083.00 |
1,02,599.00 |
| 8 |
Deferred tax |
8,702.00 |
17,875.00 |
| 9 |
Total tax expenses |
41,785.00 |
1,20,474.00 |
| 10 |
Net movement in regulatory deferral account balances related to profit or loss and
the related deferred tax movement |
0.00 |
0.00 |
| 11 |
Net Profit Loss for the period from
continuing operations |
1,24,366.00 |
3,46,888.00 |
| 12 |
Profit (loss) from discontinued operations before tax |
0.00 |
0.00 |
| 13 |
Tax expense of discontinued operations |
0.00 |
0.00 |
| 14 |
Net profit (loss) from discontinued
operation after tax |
0.00 |
0.00 |
| 15 |
Share of profit (loss) of associates and joint ventures accounted for using equity
method |
(568.00) |
(999.00) |
| 16 |
Total profit (loss) for period |
1,23,798.00 |
3,45,889.00 |
| 17 |
Other comprehensive income net of taxes |
25,162.00 |
28,131.00 |
| 18 |
Total Comprehensive Income for the period |
1,48,960.00 |
3,74,020.00 |
| 19 |
Total profit or loss, attributable to
|
|
|
|
Profit or loss, attributable to owners of parent |
1,23,158.00 |
3,45,748.00 |
|
Total profit or loss, attributable to non-controlling interests |
640.00 |
141.00 |
| 20 |
Total Comprehensive income for the period attributable to |
|
|
|
Comprehensive income for the period attributable to owners of parent |
1,43,866.00 |
3,67,980.00 |
|
Total comprehensive income for the period attributable to owners of parent non-controlling
interests |
5,094.00 |
6,040.00 |
| 21 |
Details of equity share capital |
|
|
Paid-up equity share capital |
29,468.00 |
29,468.00 |
|
Face value of equity share capital |
10 |
10 |
| 27 |
Details of debt securities |
|
| 22 |
Reserves excluding revaluation reserve |
|
|
| 23 |
Earnings per share |
|
| i |
Earnings per equity share for continuing operations |
|
|
Basic earnings (loss) per share from continuing operations |
41.87 |
117.56 |
|
Diluted earnings (loss) per share from continuing operations |
41.84 |
117.56 |
| ii |
Earnings per equity share for discontinued operations |
|
|
Basic earnings (loss) per share from discontinued operations |
0 |
0 |
|
Diluted earnings (loss) per share from discontinued operations |
0 |
0 |
| ii |
Earnings per equity share |
|
|
Basic earnings (loss) per share from continuing
and discontinued operations |
41.87 |
117.56 |
|
Diluted earnings (loss) per share from
continuing and discontinued operations |
41.84 |
117.56 |
| 24 |
Debt equity ratio |
0.3200 |
0.3200 |
| 25 |
Debt service coverage ratio |
3.3200 |
5.0100 |
| 26 |
Interest service coverage ratio |
6.8700 |
8.0100 |
| 27 |
Disclosure of notes on financial results |
|
Remarks
Statement of Asset and Liabilities
Amount in (Lakhs)
| Particulars |
Year ended (dd-mm-yyyy) |
| Date of start of reporting period |
01-04-2025 |
| Date of end of reporting period |
30-09-2025 |
| Whether results are audited or unaudited |
Unaudited |
| Nature of report standalone or consolidated |
Consolidated |
|
Assets |
| 1 |
Non-current assets |
|
Property, plant and equipment |
77,47,202.00 |
|
Capital work-in-progress |
7,20,557.00 |
|
Investment property |
|
|
Goodwill |
7,79,515.00 |
|
Other intangible assets |
10,62,477.00 |
|
Intangible assets under development |
3,810.00 |
|
Biological assets other than bearer plants |
|
|
Investments accounted for using equity method |
27,376.00 |
|
Non-current financial assets |
|
|
Non-current investments |
2,43,160.00 |
|
Trade receivables, non-current |
|
|
Loans, non-current |
3,353.00 |
|
Other non-current financial assets |
3,01,513.00 |
|
Total non-current financial assets |
5,48,026.00 |
|
Deferred tax assets (net) |
6,210.00 |
|
Other non-current assets |
4,44,239.00 |
|
Total non-current assets |
1,13,39,412.00 |
| 2 |
Current assets |
|
|
Inventories |
10,47,053.00 |
|
Current financial asset |
|
|
Current investments |
2,39,246.00 |
|
Trade receivables, current |
5,81,846.00 |
|
Cash and cash equivalents |
11,215.00 |
|
Bank balance other than cash and cash equivalents |
1,17,592.00 |
|
Loans, current |
1,087.00 |
|
Other current financial assets |
1,43,985.00 |
|
Total current financial assets |
10,94,971.00 |
|
Current tax assets (net) |
5,953.00 |
|
Other current assets |
2,27,702.00 |
|
Total current assets |
23,75,679.00 |
| 3 |
Non-current assets classified as held for sale |
15,413.00 |
| 4 |
Regulatory deferral account debit balances and related deferred tax Assets |
|
|
Total assets |
1,37,30,504.00 |
|
Equity and liabilities |
|
| 1 |
Equity |
|
|
Equity attributable to owners of parent |
|
|
Equity share capital |
29,468.00 |
|
Other equity |
71,73,787.00 |
|
Total equity attributable to owners of parent |
72,03,255.00 |
|
Non controlling interest |
3,93,429.00 |
|
Total equity |
75,96,684.00 |
| 2 |
Liabilities |
|
|
Non-current liabilities |
|
|
Non-current financial liabilities |
|
|
Borrowings, non-current |
14,79,050.00 |
|
Trade payables, non-current |
|
|
(A) Total outstanding dues of micro enterprises and small enterprises |
|
|
(B) Total outstanding dues of creditors other than micro enterprises and small enterprises |
|
|
Total Trade payable |
|
|
Other non-current financial liabilities |
99,353.00 |
|
Total non-current financial liabilities |
15,78,403.00 |
|
Provisions, non-current |
91,248.00 |
|
Deferred tax liabilities (net) |
9,73,722.00 |
|
Deferred government grants, Non-current |
|
|
Other non-current liabilities |
|
|
Total non-current liabilities |
26,43,373.00 |
|
Current liabilities |
|
|
Current financial liabilities |
|
|
Borrowings, current |
9,45,510.00 |
|
Trade payables, current |
|
|
(A) Total outstanding dues of micro enterprises and small enterprises |
31,198.00 |
|
(B) Total outstanding dues of creditors other than micro enterprises and small enterprises |
9,39,935.00 |
|
Total Trade payable |
9,71,133.00 |
|
Other current financial liabilities |
6,65,527.00 |
|
Total current financial liabilities |
25,82,170.00 |
|
Other current liabilities |
5,72,670.00 |
|
Provisions, current |
36,185.00 |
|
Current tax liabilities (Net) |
2,99,422.00 |
|
Deferred government grants, Current |
|
|
Total current liabilities |
34,90,447.00 |
| 3 |
Liabilities directly associated with assets in disposal group classified as held for sale |
|
| 4 |
Regulatory deferral account credit balances and related deferred tax liability |
|
|
Total liabilities |
61,33,820.00 |
|
Total equity and liabilites |
1,37,30,504.00 |
|
Disclosure of notes on assets and liabilities |
|
Format for Reporting Segment wise Revenue, Results and Capital Employed along with the company results
Amount in (Lakhs)
| Particulars |
3 months/ 6 month ended (dd-mm-yyyy) |
Year to date figures for current period
ended (dd-mm-yyyy) |
| Date of start of reporting period |
01-07-2025 |
01-04-2025 |
| Date of end of reporting
period |
30-09-2025 |
30-09-2025 |
| Whether results are audited
or unaudited |
Unaudited |
Unaudited |
| Nature of report standalone or
consolidated |
Consolidated |
Consolidated |
| 1 |
Segment Revenue (Income) |
|
(net sale/income from each segment should
be disclosed) |
|
Total Segment Revenue |
|
|
|
Less: Inter segment revenue |
|
|
|
Revenue from operations |
|
|
| 2 |
Segment Result |
|
Profit (+) / Loss (-) before tax and
interest from each segment |
|
Total Profit before tax |
|
|
|
i. Finance cost |
|
|
|
ii. Other Unallocable Expenditure net off Unallocable income |
|
|
|
Profit before tax |
|
|
| 3 |
(Segment Asset - Segment Liabilities)
|
|
Segment Asset |
|
Total Segment Asset |
|
|
|
Un-allocable Assets |
null |
null |
|
Net Segment Asset |
null |
null |
| 4 |
Segment Liabilities |
|
Segment Liabilities |
|
Total Segment Liabilities |
|
|
|
Un-allocable Liabilities |
null |
null |
|
Net Segment Liabilities |
null |
null |
|
Disclosure of notes on segments |
|
Other Comprehensive Income
Amount in (Lakhs)
| Particulars |
3 months/ 6 months ended (dd-mm-yyyy) |
Year to date figures for current period ended (dd-mm-yyyy) |
| A |
Date of start of reporting period |
01-07-2025 |
01-04-2025 |
| B |
Date of end of reporting period |
30-09-2025 |
30-09-2025 |
| C |
Whether results are audited or unaudited |
Unaudited |
Unaudited |
| D |
Nature of report standalone or consolidated |
Consolidated |
Consolidated |
|
Other comprehensive income [Abstract] |
|
| 1 |
Amount of items that will not be reclassified to profit and loss |
|
| 1 |
Items that will not be reclassified to profit or loss |
15,884.00 |
18,805.00 |
|
Total Amount of items that will not be reclassified to profit and loss |
15,884.00 |
18,805.00 |
| 2 |
Income tax relating to items that will not be reclassified to profit or loss |
2,033.00 |
1,996.00 |
| 3 |
Amount of items that will be reclassified to profit and loss |
|
| 1 |
Items that will be reclassified to profit or loss |
10,020.00 |
10,208.00 |
|
Total Amount of items that will be reclassified to profit and loss |
10,020.00 |
10,208.00 |
| 4 |
Income tax relating to items that will be reclassified to profit or loss |
(1,291.00) |
(1,114.00) |
| 5 |
Total Other comprehensive income |
25,162.00 |
28,131.00 |
Cash flow statement, indirect
Amount in (Lakhs)
| Particulars |
Year ended (dd-mm-yyyy) |
| A |
Date of start of reporting period |
01-04-2025 |
| B |
Date of end of reporting period |
30-09-2025 |
| C |
Whether results are audited or unaudited |
Unaudited |
| D |
Nature of report standalone or consolidated |
Consolidated |
|
Statement of cash flows |
|
|
Cash flows from used in operating
activities |
|
|
Profit before tax |
4,67,362.00 |
|
Adjustments for reconcile profit (loss) |
|
|
Adjustments for finance costs |
89,259.00 |
|
Adjustments for decrease (increase) in inventories |
(88,095.00) |
|
Adjustments for decrease (increase) in trade receivables, current |
11,226.00 |
|
Adjustments for decrease (increase) in trade receivables, non-current
|
0.00 |
|
Adjustments for decrease (increase) in other current assets |
(41,674.00) |
|
Adjustments for decrease (increase) in other non-current assets |
0.00 |
|
Adjustments for other financial assets, non-current |
0.00 |
|
Adjustments for other financial assets, current |
0.00 |
|
Adjustments for other bank balances |
0.00 |
|
Adjustments for increase (decrease) in trade payables, current |
(80,130.00) |
|
Adjustments for increase (decrease) in trade payables, non-current |
0.00 |
|
Adjustments for increase (decrease) in other current liabilities |
0.00 |
|
Adjustments for increase (decrease) in other non-current liabilities
|
0.00 |
|
Adjustments for depreciation and amortisation expense |
2,25,446.00 |
|
Adjustments for impairment loss reversal of impairment loss recognised
in profit or loss |
3,838.00 |
|
Adjustments for provisions, current |
1,834.00 |
|
Adjustments for provisions, non-current |
0.00 |
|
Adjustments for other financial liabilities, current |
0.00 |
|
Adjustments for other financial liabilities, non-current |
0.00 |
|
Adjustments for unrealised foreign exchange losses gains |
439.00 |
|
Adjustments for dividend income |
0.00 |
|
Adjustments for interest income |
13,290.00 |
|
Adjustments for share-based payments |
2,318.00 |
|
Adjustments for fair value losses (gains) |
(6,131.00) |
|
Adjustments for undistributed profits of associates |
0.00 |
|
Other adjustments for which cash effects are investing or financing
cash flow |
(6,862.00) |
|
Other adjustments to reconcile profit (loss) |
0.00 |
|
Other adjustments for non-cash items |
(4,885.00) |
|
Share of profit and loss from partnership firm or association of
persons or limited liability partnerships |
0.00 |
|
Total adjustments for reconcile
profit (loss) |
93,293.00 |
|
Net cash flows from (used in)
operations |
5,60,655.00 |
|
Dividends received |
0.00 |
|
Interest paid |
0.00 |
|
Interest received |
0.00 |
|
Income taxes paid (refund) |
3,977.00 |
|
Other inflows (outflows) of cash |
0.00 |
|
Net cash flows from (used in)
operating activities |
5,56,678.00 |
|
Cash flows from used in
investing activities |
|
|
Cash flows from losing control of subsidiaries or other businesses |
71,529.00 |
|
Cash flows used in obtaining control of subsidiaries or other businesses |
5,073.00 |
|
Other cash receipts from sales of equity or debt instruments of other
entities |
0.00 |
|
Other cash payments to acquire equity or debt instruments of other entities
|
6,187.00 |
|
Other cash receipts from sales of interests in joint ventures |
0.00 |
|
Other cash payments to acquire interests in joint ventures |
2,305.00 |
|
Cash receipts from share of profits of partnership firm or association of
persons or limited liability partnerships |
0.00 |
|
Cash payment for investment in partnership firm or association of persons or
limited liability partnerships |
0.00 |
|
Proceeds from sales of property, plant and equipment |
12,258.00 |
|
Purchase of property, plant and equipment |
4,79,557.00 |
|
Proceeds from sales of investment property |
0.00 |
|
Purchase of investment property |
0.00 |
|
Proceeds from sales of intangible assets |
0.00 |
|
Purchase of intangible assets |
0.00 |
|
Proceeds from sales of intangible assets under development |
0.00 |
|
Purchase of intangible assets under development |
0.00 |
|
Proceeds from sales of goodwill |
0.00 |
|
Purchase of goodwill |
0.00 |
|
Proceeds from biological assets other than bearer plants |
0.00 |
|
Purchase of biological assets other than bearer plants |
0.00 |
|
Proceeds from government grants |
0.00 |
|
Proceeds from sales of other long-term assets |
(5,500.00) |
|
Purchase of other long-term assets |
0.00 |
|
Cash advances and loans made to other parties |
0.00 |
|
Cash receipts from repayment of advances and loans made to other parties |
0.00 |
|
Cash payments for future contracts, forward contracts, option contracts and
swap contracts |
0.00 |
|
Cash receipts from future contracts, forward contracts, option contracts and
swap contracts |
0.00 |
|
Dividends received |
378.00 |
|
Interest received |
12,958.00 |
|
Income taxes paid (refund) |
0.00 |
|
Other inflows (outflows) of cash |
71,225.00 |
|
Net cash flows from (used in)
investing activities |
(3,30,274.00) |
|
Cash flows from used in
financing activities |
|
|
Proceeds from changes in ownership interests in subsidiaries |
0.00 |
|
Payments from changes in ownership interests in subsidiaries |
0.00 |
|
Proceeds from issuing shares |
0.00 |
|
Proceeds from issuing other equity instruments |
0.00 |
|
Payments to acquire or redeem entity's shares |
11,934.00 |
|
Payments of other equity instruments |
0.00 |
|
Proceeds from exercise of stock options |
1,690.00 |
|
Proceeds from issuing debentures notes bonds etc |
0.00 |
|
Proceeds from borrowings |
1,03,226.00 |
|
Repayments of borrowings |
40,008.00 |
|
Payments of lease liabilities |
13,130.00 |
|
Dividends paid |
2,26,418.00 |
|
Interest paid |
75,513.00 |
|
Income taxes paid (refund) |
0.00 |
|
Other inflows (outflows) of cash |
0.00 |
|
Net cash flows from (used in)
financing activities |
(2,62,087.00) |
|
Net increase (decrease) in cash
and cash equivalents before effect of exchange rate changes |
(35,683.00) |
|
Effect of exchange rate changes
on cash and cash equivalents |
|
|
Effect of exchange rate changes on cash and cash equivalents |
178.00 |
|
Net increase (decrease) in cash
and cash equivalents |
(35,505.00) |
|
Cash and cash equivalents cash flow statement at beginning of period
|
46,721.00 |
|
Cash and cash equivalents cash
flow statement at end of period |
11,216.00 |