Cherat Cement Company Limited (PSX:CHCC)
Pakistan flag Pakistan · Delayed Price · Currency is PKR
338.64
+7.06 (2.13%)
At close: Nov 28, 2025

Cherat Cement Company Balance Sheet

Millions PKR. Fiscal year is Jul - Jun.
Fiscal Year
TTMFY 2025FY 2024FY 2023FY 2022FY 20212016 - 2020
Period Ending
Sep '25 Jun '25 Jun '24 Jun '23 Jun '22 Jun '21 2016 - 2020
Cash & Equivalents
749.14672.67429.51160.111,126140.02
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Short-Term Investments
--60.1---
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Trading Asset Securities
14,45911,7952,462---
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Cash & Short-Term Investments
15,20912,4682,952160.111,126140.02
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Cash Growth
150.38%322.37%1743.62%-85.79%704.50%283.01%
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Accounts Receivable
1,3901,2581,373903.24533.97407.55
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Other Receivables
47.1979.2312.78224.1498.621,709
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Receivables
1,8311,3481,3961,136640.662,124
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Inventory
7,7877,1907,0448,5008,3985,190
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Prepaid Expenses
---4.9712.7823.72
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Other Current Assets
83.37348.46109.9863.98287.32368.4
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Total Current Assets
24,91021,35511,5019,86510,4657,846
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Property, Plant & Equipment
28,09828,07228,33228,93527,56825,591
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Long-Term Investments
549.84547.88550.41408.13481.56660.95
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Other Intangible Assets
514.1531.03595.230.1514.7616.21
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Other Long-Term Assets
7.947.944.934.687.143.84
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Total Assets
54,11950,55441,03439,30238,60534,194
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Accounts Payable
4,165987.04979.87613.96538.15149.14
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Accrued Expenses
90.191,6672,2822,1952,1401,717
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Short-Term Debt
2,0942,7301,8891,5733,1361,741
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Current Portion of Long-Term Debt
268.14184.93108.972,9433,0382,647
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Current Portion of Leases
16.6413.3413.8513.5510.4414.66
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Current Income Taxes Payable
3,0692,2351,282---
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Current Unearned Revenue
484.87335.96193.28219.65263.87211.7
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Other Current Liabilities
127.26615.2608.84609.99721.28792.37
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Total Current Liabilities
10,3168,7697,3588,1699,8477,273
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Long-Term Debt
2,4602,5282,7156,3759,91812,624
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Long-Term Leases
18.1822.225.3339.2110.9721.41
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Long-Term Unearned Revenue
896.4937.761,173935.89948.6883.54
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Long-Term Deferred Tax Liabilities
4,9934,9584,1872,875535.05573.59
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Other Long-Term Liabilities
30.7929.9932.4629.0328.4528.11
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Total Liabilities
18,71417,24615,49118,42321,28920,604
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Common Stock
1,9431,9431,9431,9431,9431,943
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Additional Paid-In Capital
1,0481,0481,0481,0481,0481,048
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Retained Earnings
32,04629,95122,33817,71314,1839,970
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Comprehensive Income & Other
368.33366.37214.3175.81142.72629.05
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Shareholders' Equity
35,40533,30825,54320,87917,31613,590
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Total Liabilities & Equity
54,11950,55441,03439,30238,60534,194
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Total Debt
4,8575,4794,75210,94416,11317,049
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Net Cash (Debt)
10,3526,989-1,800-10,784-14,987-16,909
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Net Cash Per Share
53.2935.97-9.26-55.50-77.13-87.03
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Filing Date Shares Outstanding
194.21194.3194.3194.3194.3194.3
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Total Common Shares Outstanding
194.21194.3194.3194.3194.3194.3
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Working Capital
14,59412,5854,1441,696618.07573.22
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Book Value Per Share
182.31171.43131.46107.4689.1269.94
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Tangible Book Value
34,89132,77724,94820,84917,30213,573
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Tangible Book Value Per Share
179.66168.70128.40107.3189.0569.86
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Land
-1,058953.15953.15179.18.67
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Buildings
-6,5506,3755,9855,7465,644
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Machinery
-36,02734,33133,60830,64928,936
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Construction In Progress
-1,5882,3122,3203,3851,802
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Updated Sep 30, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.