Orient Cement Ltd. (ORIENTCEM) fundamentals
Orient Cement Ltd. is a listed company in Cement & Cement Products, part of the Construction Materials sector, listed on the NSE as ORIENTCEM (ISIN INE876N01018). This page carries its reported financials, balance sheet, cash flow, shareholding pattern and valuation ratios.
What Orient Cement Ltd. does
Orient Cement Limited is an India-based cement company. The Company is primarily engaged in the manufacturing and sale of cement. The Company’s product mix includes Pozzolana Portland Cement (PPC) and Ordinary Portland Cement (OPC). Its product portfolio includes Birla.A1 Dolphin, Birla.A1 StrongCrete, Birla.A1 OrientGreen, Birla.A1 Premium Cement - PPC, Birla.A1 Premium Cement - OPC 53 Grade, and Birla.A1 Premium Cement - OPC 43 Grade. Birla.A1 Dolphin is a water-repellent cement. Birla.A1 StrongCrete is used in the construction of foundations, beams, columns, and slabs. Its projects include Asian Cinema Mall, Sujana Mall Hyd, Birsi Airport, Mahindra Life Space, Tata Capitol, Godrej, Vastu Nagar, Municipal Corporation, Hotel Express Inn Nashik, Koso India Pvt. Ltd, Parksyde Residence, Apollo Hopital, Samrat Vrindavan, Karmaa Galaxy. The Company’s manufacturing facilities are located at Devapur in Telangana, Chittapur in Karnataka, and Jalgaon in Maharashtra.
Valuation and market data
| Last close | ₹125.58 |
|---|---|
| Market capitalisation | ₹2,580 crore |
| Enterprise value | ₹2,908 crore |
| P/E (TTM) | 7.64 |
| Price to book | 1.20 |
| Price to sales (TTM) | 0.55 |
| Book value per share | ₹104.47 |
| Dividend yield | 39.82% |
| Sector | Construction Materials |
| Industry | Cement & Cement Products |
| Listed since | Fri Jul 12 |
Annual results
| Period | Revenue | Profit before tax | Net profit | EPS |
|---|---|---|---|---|
| Mar 2026 | ₹2,816 crore | ₹318 crore | ₹338 crore | 16.44 |
| Mar 2025 | ₹2,729 crore | ₹145 crore | ₹91 crore | 4.45 |
| Mar 2024 | ₹3,201 crore | ₹281 crore | ₹175 crore | 8.53 |
| Mar 2023 | ₹2,950 crore | ₹192 crore | ₹123 crore | 5.99 |
Figures are as reported (standalone), in ₹ crore.
Shareholding pattern
As of Jun 2026:
| Promoters | 72.7% |
|---|---|
| Foreign institutions (FII) | 4.1% |
| Mutual funds | 0.1% |
| Other domestic institutions | 2.1% |
| Retail and others | 21.0% |
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Data is sourced from exchange filings and vendor feeds and is for research, not investment advice. Figures can be restated by the company after publication.