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Cementos Pacasmayo CPAC

US equityMarket cap rank #3214Building Materials
$12.13 −$0.09 (-0.74%)
Market open · Oct 8, 10:00 am ET · After hours $12.22 0.00%
Open$12.13
Prev close$12.22
Day range$12.13 – $12.13
Volume4,776
Market cap$1.04B
P/E (TTM)19.4
Dividend yield5.04%

Earnings

Average move on report day±1.7%last 16 reports
Closed higher13 of 1681% of the time
Best reaction+4.9%
Worst reaction-3.1%

Stock move on the day after each report

+2.0%2023/Q3+1.4%2023/Q4-1.8%2024/Q1-3.1%2024/Q2+4.9%2024/Q3+2.1%2024/Q4+0.9%2025/Q1+2.5%2025/Q2+0.3%2025/Q3+1.5%2025/Q4+0.6%2026/Q1+1.1%2026/Q2
QuarterReport dateTimingImplied moveActual moveVersus implied
2026/Q220 Jul 2026After Market–+1.12%–
2026/Q124 Apr 2026After Market–+0.56%–
2025/Q412 Feb 2026After Market–+1.50%–
2025/Q328 Oct 2025After Market–+0.28%–
2025/Q221 Jul 2025After Market–+2.46%–
2025/Q128 Apr 2025After Market–+0.90%–
2024/Q413 Feb 2025After Market–+2.07%–
2024/Q328 Oct 2024After Market–+4.88%–
2024/Q222 Jul 2024After Market–-3.06%–
2024/Q129 Apr 2024After Market–-1.75%–
2023/Q414 Feb 2024After Market–+1.37%–
2023/Q325 Oct 2023After Market–+1.99%–
2023/Q220 Jul 2023After Market–-0.55%–
2023/Q126 Apr 2023After Market–+0.56%–
2022/Q414 Feb 2023After Market–+0.00%–
2022/Q326 Oct 2022None–+3.82%–

"Implied move" is the size of move the options market was pricing ahead of the report. Move is the stock’s change on the first session after the release.

Where the revenue comes from

Quarter 2026/Q2

By business line

  • Cement, concrete, pavement, mortar and precastPEN 544.16M 97.4%
  • Construction suppliesPEN 8.98M 1.6%
  • OthersPEN 5.72M 1.0%

Latest reported quarter: Q2, ended Jun 2026 · reported in PEN

RevenuePEN 558.85M+15.4% YoY
Operating profitPEN 136.43M+50.4% YoY
Net profitPEN 77.24M+61.5% YoY
Diluted EPSPEN 0.90+63.6% YoY
Free cash flowPEN 175.88M+535.5% YoY
Operating cash flowPEN 191.00M

Revenue, last 8 quarters

PEN 517.8MSep '24PEN 526.7MDec '24PEN 499.2MMar '25PEN 484.1MJun '25PEN 574.1MSep '25PEN 559.5MDec '25PEN 555.7MMar '26PEN 558.9MJun '26

Net profit, last 8 quarters

PEN 62.5MSep '24PEN 50.1MDec '24PEN 52.7MMar '25PEN 47.8MJun '25PEN 71.5MSep '25PEN -17.8MDec '25PEN 81.9MMar '26PEN 77.2MJun '26

Profitability & balance sheet

Gross margin40.0%
Operating margin22.9%
Net margin9.5%
Return on equity16.0%
Return on assets6.6%
Return on invested capital9.4%
Current ratio1.22
Liabilities / assets57.9%
Cash & investmentsPEN 199.46M
Total debtPEN 1.38B
Net cash (debt)-PEN 1.18B
Free cash flow / sales16.8%

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