Overview (07 Aug 2026)
Deccan Cements Ltd
DECCANCE
INE583C01021

Cement and Cement Products
Result was last declared on 12 Aug 2025
1.1

Prev. Close
Previous Close
578.25
Current Close
579.35
Current High
583.6
Current Low
578
52 Week High
1183.95
52 Week Low
536.05
Resistance 1
582.64
Resistance 2
585.92
Support 1
577.04
Support 2
571.44
Std Deviation
2.77%
DMA 200
696.54
DMA 50
577.28
DMA 20
565.50
Fundamentals and Ratios
Standalone
Trailing EPS
20.41
Forwad EPS
-3.03
Trailing P/E
28.39
Forward P/E
NA
PEG Ratio
Mkt. Cap (Cr)
Market Cap (Cr)
811.52
Total Debt(Cr)
Tot. Debt(Cr)
752.69
Reserve (Cr)
743.66
Book Value
532.38
P/BV Ratio
1.09
ROCE(%)
3.00
ROE
6.00

 

Financial Result
Standalone
Consolidated
Annual Reports

Corporate Action
Quarterly Result
Dividend
YearDividend TypeAmountRemarkEx Date
2026Final Dividend0.50Final Dividend - Rs. - 0.500022 Sep 2026
2025Final Dividend0.60Final Dividend - Rs. - 0.600016 Sep 2025
2024Final Dividend3.00Final Dividend - Rs. - 3.000020 Sep 2024
2023Final Dividend3.75Final Dividend - Rs. - 3.750022 Sep 2023
2022Final Dividend5.00Final Dividend - Rs. - 5.000008 Sep 2022
2021Final Dividend5.00Final Dividend - Rs. - 5.000006 Sep 2021
2020Interim Divvidend4.00Interim Dividend - Rs. - 4.000012 Mar 2020
2019Final Dividend3.75Final Dividend - Rs. - 3.750030 Jul 2019
2018Final Dividend3.00Final Dividend - Rs. - 3.000002 Aug 2018
2017Final Dividend6.00Dividend - Rs. - 6.000003 Aug 2017
2016Interim Divvidend5.00Interim Dividend - Rs. - 5.000022 Mar 2016
2015Final Dividend2.50Dividend - Rs. - 2.500014 Sep 2015
2014Final Dividend1.20Dividend - Rs. - 1.200018 Sep 2014
2013Final Dividend2.00Dividend - Rs. - 2.000006 Aug 2013
2012Final Dividend3.00Dividend - Rs. - 3.000030 Jul 2012
2011Final Dividend1.20Dividend - Rs. - 1.200004 Aug 2011
2010Final Dividend3.00Dividend - Rs. - 3.000005 Aug 2010
2009Final Dividend3.00Dividend - Rs. - 3.000010 Sep 2009
2008Final Dividend3.00Dividend - Rs. - 3.000022 Aug 2008
Bonus
Split
YearRatioRemarkEx Date
2017Rs.10/- to Rs.5/-Stock Split From Rs.10/- to Rs.5/-11 Sep 2017

Mutual Fund Holddings