PPC Ltd. engages in the provision of manufacture and sale of cement, aggregates, metallurgical-grade lime, burnt dolomite, and limestone. The firm provides cement, aggregates, premixes, readymix concrete, slag and fly ash across sub-Saharan Africa. The Company’s cement business segment comprises cement manufacturing plants, milling facilities and sales depots located in South Africa, Botswana, Zimbabwe and Rwanda. The materials business segment comprises readymix concrete, aggregates and fly ash plants across South Africa. The company offers a range of aggregate used in construction, including sand and crushed stone. Its aggregates are obtained through mining of dolomitic, amphibolite and granite quarries. The company also caters for the chemical, metallurgical and agricultural industries. The firm also offers range of concrete products, premix product, and fly ash products.
Financials in millions USD. Fiscal year is February - January.
Breakdown
TTM
03/31/2025
03/31/2024
03/31/2023
03/31/2022
03/31/2021
Revenue
10,186
9,871
10,058
9,902
9,882
8,938
Revenue Growth (YoY)
14%
-2%
2%
0%
11%
3%
Cost of Revenue
8,098
7,922
8,409
8,343
8,352
6,877
Gross Profit
2,088
1,949
1,649
1,559
1,530
2,061
Selling, General & Admin
920
921
955
1,015
695
917
Research & Development
--
--
--
--
--
--
Operating Expenses
920
967
1,030
1,105
1,008
1,010
Other Non Operating Income (Expenses)
37
29
-7
-12
-14
-5
Pretax Income
848
774
233
93
186
1,765
Income Tax Expense
332
308
145
242
207
742
Net Income
516
466
406
-667
-60
189
Net Income Growth
41%
15%
-161%
1,011.99%
-132%
-110%
Shares Outstanding (Diluted)
1,471.32
1,470.49
1,499.54
1,523.78
1,542.96
1,508.21
Shares Change (YoY)
0%
-2%
-2%
-1%
2%
0%
EPS (Diluted)
0.35
0.31
0.27
-0.43
-0.03
0.12
EPS Growth
40%
17%
-163%
1,333%
-125%
-110%
Free Cash Flow
--
1,033
398
461
474
981
Free Cash Flow Per Share
--
--
--
--
--
--
Gross Margin
20.49%
19.74%
16.39%
15.74%
15.48%
23.05%
Operating Margin
11.46%
9.94%
6.15%
4.58%
5.28%
11.75%
Profit Margin
5.06%
4.72%
4.03%
-6.73%
-0.6%
2.11%
Free Cash Flow Margin
--
10.46%
3.95%
4.65%
4.79%
10.97%
EBITDA
--
1,556
1,242
1,232
1,493
1,598
EBITDA Margin
--
15.76%
12.34%
12.44%
15.1%
17.87%
D&A For EBITDA
--
574
623
778
971
547
EBIT
1,168
982
619
454
522
1,051
EBIT Margin
11.46%
9.94%
6.15%
4.58%
5.28%
11.75%
Effective Tax Rate
39.15%
39.79%
62.23%
260.21%
111.29%
42.03%
Follow-Up Questions
What are PPC Ltd's key financial statements?
According to the latest financial statement (Form-10K), PPC Ltd has a total asset of $9,016, Net profit of $466
What are the key financial ratios for PPCMF?
PPC Ltd's Current ratio is 2.77, has a Net margin is 4.72, sales per share of $6.71.
How is PPC Ltd's revenue broken down by segment or geography?
PPC Ltd largest revenue segment is South Africa and Botswana Cement, at a revenue of 5,709,000,000 in the most earnings release.For geography, South Africa is the primary market for PPC Ltd, at a revenue of 6,253,000,000.
Is PPC Ltd profitable?
yes, according to the latest financial statements, PPC Ltd has a net profit of $466