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Safe Mix Concrete Limited
CEMENT
Rs.12.85
-0.95
(-6.88%)
1D
1M
6M
YTD
1Y
3Y
5Y
As of Mon, May 29, 2023 4:00 PM
REG
FUT
ODL
Open
12.85
High
12.85
Low
12.85
Volume
500
CIRCUIT BREAKER
12.77 — 14.84
DAY RANGE
12.85 — 12.85
52-WEEK RANGE
6.12 — 18.00
Ask Price
12.85
Ask Volume
0
Bid Price
12.85
Bid Volume
0
LDCP
13.80
VAR
60.00
HAIRCUT
60.00
P/E Ratio (TTM) **
1.88
1-Year Change *
83.57%
YTD Change *
-11.38%

No record found

Open
0.00
High
12.50
Low
12.50
Close
12.50
Change
-9.42%
LDCP
13.80
Volume
5
Total Trades
1
CIRCUIT BREAKER
11.80 — 15.80
DAY RANGE
12.50 — 12.50
Ask Price
15.80
Ask Volume
20
Bid Price
12.20
Bid Volume
33
Market data powered by capitalstake.com. Provided by PSX. ** Based on unconsolidated financials
  * Returns not adjusted for payouts

Company Profile

BUSINESS DESCRIPTION

Safe Mix Concrete Limited was incorporated on 04 April 2005 as Private Limited Company. Subsequently, it has been converted into Public Limited Company on 21 February 2007. It is involved in the production and supply of ready mix concrete, building blocks and construction of prefabricated buildings, factories and other construction sites.

KEY PEOPLE
Mr. Abdus Samad HabibCEO
Mr. Syed Najmudduja JaffriChairman
Mr. Vaqas RafiCompany Secretary
ADDRESS

Plot # 1, Global Industry Nusrat Bhutto Colony, North Nazimabad Karachi Central Sindh

WEBSITE

www.safemixlimited.com

REGISTRAR

THK Associates (Private) Limited, 2nd Floor, State Life Building No.3, Dr. Ziauddin Ahmed Road, Karachi

AUDITOR

M/s. Rahman Sarfaraz Rahim Iqbal Rafiq, Chartered Accountants

Fiscal Year End

June

Equity Profile

Market Cap (000's)
321,250.00
Shares
25,000,000
Free Float
5,000,000
Free Float
20.00%

Announcements

Financial Results
Board Meetings
Others
DateTitleDocument
May 2, 2023Transmission of Quarterly Report for the Period ended March 31 2023 View   PDF
Apr 28, 2023Financial Results for the Quarter Ended March 31,2023 View   PDF
Mar 2, 2023Transmission of Quaterly Report for the period ended December 31 2022 View   PDF
Mar 1, 2023Financial Results for the Half Year and Quarter Ended December 31,2022 View   PDF
Nov 4, 2022Transmission of Quarterly Report for the Period Ended Sep 30 2022 View   PDF
Oct 28, 2022Financial Results for the Quarter Ended 30 September 2022 View   PDF
Oct 10, 2022Transmission of Annual Report for the Year Ended June 30 2022 View   PDF
Oct 7, 2022Financial Results for the year ended 30 June 2022 View   PDF
May 6, 2022Transmission of Quarterly Report for the Period Ended 31st March 2022 View   PDF
May 6, 2022Financial Results for the Quarter Ended View   PDF
DateTitleDocument
Apr 19, 2023Board Meeting View   PDF
Feb 21, 2023Board Meeting View   PDF
Nov 7, 2022Extract of Resolutions adopted by the members during the Annual General Meeting View   PDF
Oct 21, 2022Board Meeting View   PDF
Oct 7, 2022Notice of Annual General Meeting View   PDF
Sep 29, 2022Board Meeting View   PDF
Apr 22, 2022Board Meeting View   
Feb 21, 2022Board Meeting View   
Nov 8, 2021Extract of Resolutions passed during the 16th Annual General Meeting View   PDF
Nov 8, 2021Extract of Resolutions passed during the 16th Annual General Meeting
REVOKED
View   PDF
DateTitleDocument
Jan 3, 2023Disclosure of Interest by a Director CEO, or Executive of a listed company and their Spouses and the Substantial Shareholders u/c 5.6.1.(d) of PSX Regulations View   PDF
Dec 8, 2022Corporate Briefing Session - 2022 View   PDF
Dec 1, 2022Intimation of Corporate Briefing Session - 2022 View   PDF
Nov 7, 2022Disclosure of Interest by a Director CEO, or Executive of a listed company and their Spouses and the Substantial Shareholders u/c 5.6.1.(d) of PSX Regulations View   PDF
Oct 21, 2022Announcement for the Election of Directors View   PDF
Oct 21, 2022Change of Chief Financial Officer and Company Secretary View   PDF
Sep 6, 2022Unusual Movement in Price or Volume in the Shares of Safe Mix Concrete Limited View   PDF
Nov 26, 2021Disclosure of Interest by a Director CEO, or Executive of a listed company and their Spouses and the Substantial Shareholders u/c 5.6.1.(d) of PSX Regulations View   PDF
Jul 27, 2020DISCLOSURE UNDER CLAUSE 5.6.1(D) of PSX REGULATIONS View   PDF
May 28, 2020Change of Registered Office View   

Financials

All numbers in thousands (000's) except EPS

Annual
Quarterly
2022202120202019
Sales518,494221,232409,448879,312
EPS1.860.26(3.95)(1.19)
Q3 2023Q2 2023Q1 2023Q3 2022
Sales420,705407,643249,41088,123
EPS1.991.231.900.25
Data powered by Capital Stake. To provide comparable data, information might have been standardized. The data presented may therefore differ from issuer's annual report and 'as reported' data should be obtained directly from the source issuer. See the Capital Stake Terms of Use.

Ratios

2022202120202019
Gross Profit Margin (%)19.747.97(3.17)1.57
Net Profit Margin (%)8.962.97(24.12)(3.39)
EPS Growth (%)615.38106.58(231.93)(1,290.00)
PEG0.010.370.010.01

Payouts

DateFinancial ResultsDetailsBook Closure
October 31, 2014 12:10 PM- 25% AT PAR (R) 14/11/2014 - 20/11/2014
October 1, 2014 10:51 AM30/06/2014(YR) 25% AT PAR (R) 16/10/2014 - 22/10/2014

Financial Reports