Ambuja Cements Limited
Financial ratios & Valuation

Forward Multiples (2026 – 2028)

202620272028
Price/Earnings ratio
18.8518.1315.69
Price/Sales ratio
1.791.701.66
Earnings per Share (EPS)
β‚Ή20.52β‚Ή21.33β‚Ή24.66

Historical Multiples (2012 – 2021)

2012 2013 2014 2015 2016 2017 2018 2019 2020 2021 TTM Median
Valuation Ratios
Price/Earnings ratio
23.8122.0530.5449.8636.5335.1015.0318.6020.8820.1939.9836.53
Price/Sales ratio
3.193.114.604.322.052.301.751.462.052.624.122.05
Price/Book Value ratio
3.502.984.503.922.092.571.991.612.172.953.192.09
Price/Cash Flow ratio
16.5523.7727.1025.8814.5515.4925.888.2210.2214.11N/A15.49
Price/Free Cash Flow ratio
26.5261.0253.3643.1821.5522.8672.2512.6815.9425.19N/A22.86
Price/Earnings Growth ratio
4.89-14.261.90-1.085.280.940.15-0.621.620.350.390.94
Dividend Yield
1.59%1.96%1.35%1.84%1.73%1.34%1.20%0.76%7.41%0.26%0.36%1.34%
Profitability Indicator Ratios
Gross Profit Margin
86.43%81.59%82.08%82.25%79.39%80.26%79.78%79.11%80.96%82.76%58.25%80.26%
Operating Profit Margin
19.80%15.86%17.76%12.27%9.79%12.37%12.42%15.10%17.84%18.89%14.57%9.79%
Pretax Profit Margin
19.66%16.53%17.98%12.59%9.99%11.98%11.48%14.60%16.56%18.09%16.71%9.99%
Net Profit Margin
13.41%14.11%15.06%8.67%5.61%6.56%11.69%7.89%9.81%12.99%10.12%5.61%
Effective Tax Rate
31.85%14.67%16.20%31.14%28.87%29.73%-1.85%28.18%22.16%28.14%20.08%29.73%
Return on Assets
10.38%9.86%10.71%5.71%3.42%4.27%7.96%5.21%5.95%8.20%5.08%3.42%
Return On Equity
14.69%13.51%14.76%7.86%5.73%7.33%13.28%8.70%10.39%14.63%11.57%5.73%
Return on Capital Employed
20.28%14.22%16.34%10.48%7.75%10.72%10.91%12.88%14.11%15.87%8.97%7.75%
Liquidity Ratios
Current Ratio
1.731.931.902.011.071.241.471.571.38N/A2.041.07
Quick Ratio
1.241.601.621.740.790.971.121.341.201.271.630.79
Cash ratio
0.740.820.780.880.220.660.720.990.921.010.250.22
Days of Sales Outstanding
N/A22.5021.4425.4229.4536.7442.5039.3237.8736.6629.9729.45
Days of Inventory outstanding
275.48204.84183.80198.28192.14196.95210.08138.05131.19203.15132.52196.95
Operating Cycle
275.48227.35205.25223.71221.60233.70252.58177.37169.07239.81162.50233.70
Days of Payables Outstanding
264.42214.29128.51150.15190.92224.20213.51153.61176.15216.1282.96224.20
Cash Conversion Cycle
11.0613.0576.7373.5530.679.5039.0723.75-7.0823.6979.5330.67
Debt Ratios
Debt Ratio
0.290.000.000.000.000.000.000.000.010.010.000.00
Debt Equity Ratio
0.410.000.000.000.000.000.000.000.020.010.000.00
Long-term Debt to Capitalization
0.000.000.000.000.000.000.000.000.010.010.000.00
Total Debt to Capitalization
0.000.000.000.000.000.000.000.000.020.010.000.00
Interest Coverage Ratio
24.6217.5921.5410.1011.7712.7617.4220.8827.41N/A16.3411.77
Cash Flow to Debt Ratio
30.8125.2349.2344.4775.39142.3643.51115.4010.2611.14N/A142.36
Company Equity Multiplier
1.411.361.371.371.671.711.661.661.741.781.571.71
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.190.130.160.160.140.140.060.170.200.18N/A0.14
Free Cash Flow / Operating Cash Flow Ratio
0.620.380.500.590.670.670.350.640.640.56N/A0.67
Cash Flow Coverage Ratio
30.8125.2349.2344.4775.39142.3643.51115.4010.2611.14N/A142.36
Short Term Coverage Ratio
88.4087.41134.25135.94204.58N/AN/A819.84104.1975.25N/AN/A
Dividend Payout Ratio
37.88%43.40%41.52%92.13%63.49%47.12%18.13%14.21%154.92%5.44%N/A47.12%