| Income | — | — |
| Revenue from operations | 207,891a | 196,810.1a |
| Government grants including duty credits/refunds | 9,732.1a | 2,779.1a |
| Other income | 10,724.3a | 4,928.5a |
| Total income | 228,347.4a | 204,517.7a |
| Expenses | — | — |
| Cost of materials consumed | -40,193.7a | -33,847.7a |
| Purchases of stock-in-trade | -40,797.3a | -26,634.2a |
| Changes in inventories of finished goods and work-in-progress | -1,467.5a | -343.7a |
| Employee benefits expense | -7,177.5a | -7,372a |
| Finance costs | -1,082.2a | -1,545.8a |
| Depreciation and amortisation expense (net) | -10,013.1a | -8,850.5a |
| Power and fuel | -35,054.1a | -40,030a |
| Freight and forwarding expense | -41,838.8a | -41,703.9a |
| Other expenses | -20,549.2a | -19,107.9a |
| Captive consumption of cement | -68.6a | -66.8a |
| Total expenses | -198,104.8a | -179,368.9a |
| Profit before share of profit of associates and joint ventures, exceptional items and tax | 30,242.6a | 25,148.8a |
| Share of profit of associate and joint ventures | 27.9a | 129.2a |
| Profit before exceptional items and tax | 30,270.5a | 25,278a |
| Exceptional items-income | -997.3a | -2,295.6a |
| Profit before tax | 31,267.8a | 27,573.6a |
| Tax expense | — | — |
| Current tax (net) | -6,943.6a | -5,535.4a |
| Tax relating to earlier years (net) | -77.1a | -1,677.3a |
| Deferred tax charge | -224.4a | -364.7a |
| Total tax expenses | -7,245.1a | -4,222.8a |
| Profit after tax | 24,022.7a | 23,350.8a |
| Profit attributable to | — | — |
| Owners of the holding company | 24,021.2a | 23,349.2a |
| Non-controlling interests | 1.5a | 1.6a |
| Profit for the year | 24,022.7a | 23,350.8a |