CIMENTS DU MAROC

Management

Chairman of the Bord of Directors

CHAIBI Mohamed

Managing director

WEIG Severin

Deputy Managing director

BOUJNAOUI Mohamed

Financial Manager

ALLOUCHERY Christophe

Main shareholders

28/12/2023

HEIDELBERG MATERIALS ITALIA CEMENTI S.P.A41,00 %
DIVERS ACTIONNAIRES 22,25 %
PROCIMAR10,00 %
CIMR9,52 %
CAISSE MAROCAINE DE RETRAITE (CMR)6,50 %
FIPAR HOLDING5,94 %
Abu Dhabi Fund for Development4,79 %
Total100,00 %

Key indicators

Company information

Company name CIMAR
Corporate address Lotissement Moulay Driss. lot n° 30. Boulevard Panoramique. Californie. Casablanca
External auditorsMAZARS / Ernst & Young
Date of creation07/07/1951
Date of IPO24/06/1969
Length of fiscal year12
Social object
To establish. acquire and operate cement factories and lime-works or any other hydraulic binder and construction materials in Morocco or in any other country.

Key figures (1)

2023

2022

2021

Consolidated accountsYesYesYes
Share capital1 443 600 400,001 443 600 400,001 443 600 400,00
Equity3 428 715 000,003 321 526 000,003 788 013 000,00
Number of titles(2)14 436 00414 436 00414 436 004
Sales figures4 333 153 000,004 067 756 000,004 146 387 000,00
Operating result1 428 162 000,001 327 103 000,001 619 570 000,00
Net income (4)970 195 000,00905 080 000,001 197 051 000,00

At the end of the financial year.

All lines of action combined.

(3) Equity of the consolidated group for companies publishing consolidated accounts

Net income Group share for companies publishing consolidated accounts.

Ratio

Ratios202320222021
BPA67,2162,7082,92
ROE (in %)28,3027,2531,60
Payout (in %)-95,70114,57
Dividend yield (in %)-4,695,00
PER25,0020,4222,91
PBR7,075,567,24

Investor Relations - Contacts

Contacts

Christophe ALLOUCHERY

Phone

+212 522 85 95 17

Fax

(212) 0522 50 10 99 / 022 50 45 80

Corporate Website

www.cimentsdumaroc.com

Financial operation

Capital increase

Date

Capital after operation

Type of operation

Securities variation

Nominal value

Nominal value

Effective date

Fiscal period

EGM decision

Ratification authority

14/07/2010

1 443 600 400,00

Incorporation of reserves and allotment of free shares

7 218 002

100,00

-

01/01/2010

-

28/06/2010

28/06/2010

13/12/1999

-

Contribution in kind

2 845 920

100,00

301,00

01/01/1999

Nx:De 08/11/1999 To 13/12/1999

28/07/1999

29/10/1999

14/09/1994

-

Incorporation of reserves and allotment of free shares

1 282 443

100,00

-

01/01/1994

-

06/05/1994

06/05/1994

14/09/1994

-

Subscription in cash with preferential right

427 481

100,00

300,00

01/01/1994

Nx:De 13/05/1994 To 13/06/1994

06/05/1994

23/06/1994

06/01/1994

-

Incorporation of reserves and allotment of free shares

899 960

100,00

-

01/01/1993

-

19/11/1992

19/11/1992

17/02/1993

-

Contribution in kind

904 400

100,00

-

01/01/1992

Nx:De 13/02/2008 To 13/02/2008

19/11/1992

19/11/1992

14/01/1993

-

Incorporation of reserves and allotment of free shares

899 960

100,00

-

01/01/1993

-

19/11/1992

19/11/1992

14/01/1993

-

Subscription in cash with preferential right

269 988

100,00

200,00

01/01/1993

Nx:De 02/12/1992 To 22/12/1992

19/11/1992

29/12/1992

Dividend

Year

Dividend amount

Dividend type

Ex-date

Payment date

2022

60,00

Ordinary

06/07/2023

17/07/2023

2021

95,00

Ordinary

04/07/2022

15/07/2022

2020

90,00

Ordinary

06/07/2021

15/07/2021

2020

10,00

Exceptional

06/07/2021

15/07/2021

2019

100,00

Ordinary

10/06/2020

19/06/2020

2018

85,00

Ordinary

24/06/2019

03/07/2019

2017

75,00

Ordinary

26/06/2018

05/07/2018

2017

25,00

Exceptional

26/06/2018

05/07/2018

2016

65,00

Ordinary

21/06/2017

04/07/2017

2015

55,00

Ordinary

23/06/2016

04/07/2016

2014

50,00

Ordinary

23/06/2015

02/07/2015

2014

28,00

Exceptional

21/09/2015

02/10/2015

2013

45,00

Ordinary

25/06/2014

04/07/2014

2012

40,00

Ordinary

26/06/2013

05/07/2013

2011

35,00

Ordinary

06/06/2012

15/06/2012

Bond issue

Ticker

Name or title

Bond type

nominal value

Rate

Eligibility date

Maturity date

Type of amortization

Amount issued

Remaining Capital

No results found

Date

Declarant

Quantity

Price

Treshold crossed in %

Direction

Intention of the declarant

26/12/2023

PROCIMAR

935 900

1 637,12

10,00

Rise

Stop its purchases of the security

30/11/2022

Italcementi Fabbriche Riunite Cemento SPA Bergamo

7 362 403

-

33,33

Rise

Sit on the board of directors of the listed company

28/11/2019

COCIMAR

376 273

1 515,00

50,00

Decrease

-

21/02/2019

CAISSE MAROCAINE DE RETRAITE (CMR)

231 000

1 335,00

5,00

Rise

-

21/02/2018

Abu Dhabi Fund for Development

35 517

1 660,00

5,00

Decrease

-

01/07/2016

HeidelbergCement France SAS

8 994 514

-

50,00

Rise

Sit on the board of directors of the listed company

16/07/2009

COCIMAR

4 208 384

404,48

50,00

Rise

Stop its purchases of the security

16/07/2009

CIMENTS FRANCAIS

4 208 384

404,48

5,00

Decrease

Stop its purchases of the security

29/12/2003

BANQUE NATIONALE POUR LE DEVELOPPEMNT ECONOMIQUE

407 513

1 063,00

5,00

Decrease

-

29/12/2003

BANQUE NATIONALE POUR LE DEVELOPPEMNT ECONOMIQUE

345

1 063,00

5,00

Decrease

-

29/12/2003

FIPAR HOLDING

257 513

1 063,00

5,00

Rise

Stop its purchases of the security

The instruments of the issuer

Ticker

Instrument

CMA

CIMENTS DU MAROC

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