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Cementos PacasmayoA. Stock Quote

Cementos PacasmayoA. (NYSE: CPAC)

$10.58
(3.6%)
+0.37
Price as of December 24, 2025, 1:00 p.m. ET

KEY DATA POINTS

Current Price
$10.58
Daily Change
(3.6%) +$0.37
Day's Range
$10.28 - $10.66
Previous Close
$10.58
Open
$10.38
Beta
0.12
Volume
12,148
Average Volume
74,993
Sector
Market Cap
$897M
Market Cap / Employee
$10.58M
52wk Range
$5.10 - $11.30
Revenue
N/A
Gross Margin
0.37%
Dividend Yield
N/A
EPS
$0.71
CAPs Rating
N/A
Industry
Construction Materials

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Cementos PacasmayoA. Return vs. S&P

1 Year5 Year5 Year AnnualizedSince IPO
CPAC+114.72%+139.38%+19.06%+117%
S&P+14.77%+87.2%+13.35%+414%
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Cementos PacasmayoA. Company Info

Cementos Pacasmayo SAA engages in the production and market of cement, quicklime, aggregates, ready-mix concrete, precast concrete products, and construction materials. It operates through the following segments: Cement, Concrete, and Blocks; Construction Supplies; Quicklime; and Other. The company was founded in 1949 and is headquartered in Lima, Peru.

News & Analysis

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Financial Health

General

Q3 2025YOY Change
Revenue$162.45M17.9%
Gross Profit$61.85M18.8%
Gross Margin38.07%0.3%
Market Cap$590.11M21.1%
Net Income$20.24M21.6%
EBITDA$46.30M15.5%

Currently no data to display

Revenue Growth Rate

Currently no data to display.

Earnings Per Share Growth Rate

Currently no data to display.

Assets

Q3 2025YOY Change
Net Cash$52.63M40.3%
Accounts Receivable$39.28M37.0%
Inventory216.62.4%

Liabilities

Q3 2025YOY Change
Long Term Debt$268.49M-7.5%
Short Term Debt$144.04M26.4%

Ratios

Q3 2025YOY Change
Return On Assets6.56%1.1%
Return On Invested Capital6.62%0.7%

Cash Flow

Q3 2025YOY Change
Free Cash Flow$41.04M22.0%
Operating Free Cash Flow$47.63M29.9%

Valuation

MetricQ3 2024Q1 2025Q2 2025Q3 2025YoY Change
Price to Earnings10.039.198.899.79-10.05%
Price to Book1.241.541.471.618.97%
Price to Sales0.940.930.931.0512.00%
Price to Tangible Book Value1.301.611.541.688.69%
Price to Free Cash Flow TTM21.6213.6620.8618.7314.60%
Enterprise Value to EBITDA22.1824.8725.7220.65-4.75%
Free Cash Flow Yield4.6%7.3%4.8%5.3%-12.74%
Return on Equity16.4%15.9%16.3%16.0%16.02%
Total Debt$399.96M$402.11M$413.74M$412.53M2.04%

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