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* Data is updated every day around 8pm. During market hours, the chart shows the previous day's last value as the latest data point.

Quarterly Results

In Rs. Cr.2023-062023-092023-122024-032024-06
Net Sales22.2835.0643.6329.8628.23
Expenditure+27.0135.65642.3288.8132.40
Other Income+1.001.952.6312.076.21
Operating Profit-4.73-0.59-598.69-58.94-4.18
Interest20.1420.2220.29-43.203.41
Depreciation and Amortization1.381.391.391.311.19
Profit Before Tax-25.25-20.25-617.751312.05-2.57
Tax+-0.00-0.000.07-23.840.00
Net Profit-25.25-20.25-617.821335.89-2.57

Ratios

Reported EPS

Bad: 2Current: 1.96Good: 5
❌

Adjusted EPS

Bad: 3Current: 1.96Good: 6
❌

Return On Capital Employed (ROCE)

Bad: 10Current: 64.59Good: 20
✅

Current Ratio

Bad: 1Current: 0.99Good: 2
❌

Return On Equity (ROE)

Bad: 5Current: 77.10Good: 15
✅

Debt to Total Assets

Bad: 1Current: 0.07Good: 0.5
✅
Scroll vertically to see more ratios

Reported EPS

Bad: 2Current: 1.96Good: 5
❌

Adjusted EPS

Bad: 3Current: 1.96Good: 6
❌

Return On Capital Employed (ROCE)

Bad: 10Current: 64.59Good: 20
✅

Current Ratio

Bad: 1Current: 0.99Good: 2
❌

Return On Equity (ROE)

Bad: 5Current: 77.10Good: 15
✅

Debt to Total Assets

Bad: 1Current: 0.07Good: 0.5
✅
* Each ratio is marked as Good (✅), Average (🟡), or Bad (❌) based on its value.

Consolidated Construction Consortium Ltd.

₹17.89

+ 2.98 (19.99%)

04:01 pm - close price

BSE: CCCL

NSE: CCCL

Industry: Engineering - Construction

House: Private

Overview
Overview
Chart
Ratios
Peers
Quarters
Profit & Loss
Balance Sheet
Cash Flow
Investors

Peer Comparison

Consolidated
company Name
market Cap
price
roa
roe
ebit Margin
pat Margin
reported Eps
adjusted Eps
dps
current Ratio
quick Ratio
total Debt Equity
interest Cover
asset Turnover
price Earnings Ratio
price Cash Earnings
price To Book
ev To Ebitda
dividend Yield
LT502,216.89 Cr3652.50 4.97 19.33 13.24 6.92 109.34 109.34 34.00 1.21 1.18 1.33 3.29 0.72 31.93 22.01 5.63 17.74 0.93
RVNL123,558.29 Cr592.60 6.27 14.01 10.99 6.43 6.15 6.15 1.72 1.99 1.99 0.56 4.06 0.97 57.24 55.89 13.78 53.75 0.36
IRB38,166.48 Cr63.20 1.37 4.47 38.06 8.18 1.00 1.00 0.30 1.22 1.15 1.27 1.51 0.17 58.32 22.07 2.74 12.78 0.47
IRCON24,105.42 Cr256.30 5.68 16.77 12.36 7.54 9.88 9.88 3.10 1.68 1.65 0.44 5.79 0.75 22.15 19.99 3.96 14.53 1.21
KEC23,952.92 Cr931.70 2.83 12.09 7.17 2.61 21.44 21.44 5.50 1.19 1.12 0.69 1.87 1.08 36.50 27.61 5.73 20.62 0.43
KPIL22,728.65 Cr1399.15 2.41 9.74 7.15 2.54 34.29 34.29 9.00 1.23 1.15 0.64 2.06 0.95 28.42 15.64 4.35 15.13 0.57
NCC20,383.04 Cr324.65 4.45 12.44 8.41 3.91 13.06 13.06 2.20 1.34 1.21 0.22 2.75 1.14 16.04 12.13 2.97 10.27 0.68
TECHNOE18,570.72 Cr1596.80 9.70 13.24 22.52 18.04 24.95 24.95 7.00 4.30 4.25 0 19.88 0.54 30.91 29.76 5.36 49.93 0.44
SWSOLAR16,095.23 Cr689.70 1.74 8.70 4.59 1.36 3.49 3.49 0 1.28 1.28 0.90 2.28 1.28 71.81 58.56 16.58 124.69 0
GRINFRA15,467.82 Cr1599.75 9.91 19.10 25.58 14.73 136.90 136.90 0 2.97 2.57 0.50 4.04 0.67 9.56 8.07 2.01 9.33 0
Scroll horizontally to see more columns

Shareholder Pattern

In %JUN'25MAR'25DEC'24SEP'24JUN'24MAR'24DEC'23SEP'23JUN'23MAR'23
Promoters+60.0560.0564.1662.3962.3915.1615.1615.1615.1632.82
Public+39.9539.9535.8437.6137.6184.8484.8484.8484.8467.18
Custodians0.000.000.000.000.000.000.000.000.000.00
Number of Shareholders45013456574642847345477004770847728477344774748689

Balance Sheet

In Rs. Cr.202103202203202303202403202503
Assets+133708.56122792.69117609.8454224.0642222.07
Liabilities+133708.56122792.69117609.8454224.0642222.07

Profit & Loss

In Rs. Cr.202103202203202303202403202503
Sales20368.7213061.2013931.6013082.3518198.71
Operational Expenses+24872.9721768.2917151.8890794.2624948.55
Operating Profit-4504.25-8707.09-3220.28-77711.91-6749.84
Other Income2683.553161.46401.6513179.137256.92
OPM %-22.11-66.66-23.11-594.02-37.09
Depreciation and Amortisation865.66746.66643.21546.29483.80
Interest8283.167826.567903.771745.731457.98
Profit Before Tax-10377.38-14205.94-11361.6564879.9010441.09
Tax-96.40-121.52-105.47-2384.29-55.66
Net Profit-10280.98-14084.42-11256.1867257.238764.05

Cash Flow Statement

In Rs. Cr.202103202203202303202403202503
Cash from Operating Activity+768.55780.49-44.805054.3015551.98
Cash from Investing Activity131.06206.41-5.8812622.98-1306.08
Cash from Financing Activity-726.43-547.35-112.80-17367.00-7991.10
Net Cash Flow173.18439.55-163.48310.286254.80
Opening Cash & Cash Equivalents111.18284.36723.91560.43870.71
Closing Cash & Cash Equivalents284.36723.91560.43870.717125.51