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CPAC logoCementos Pacasmayo S.A.A.(CPAC)Earnings, Financials & Key Ratios

CPAC•NYSE
$10.49
$889M mkt cap·15.9× P/E·Price updated May 6, 2026
SectorBasic MaterialsIndustryConstruction MaterialsSub-IndustryCement and concrete producers
AboutCementos Pacasmayo S.A.A., a cement company, produces, distributes, and sells cement and cement-related materials in Peru. The company operates through three segments: Cement, Concrete and Precast; Quicklime; and Sales of Construction Supplies. It produces cement for various uses, such as residential and commercial construction, and civil engineering; ready-mix concrete used in construction sites; concrete precast, such as paving units or paver stones for pedestrian walkways, as well as other bricks for partition walls and concrete precast for structural and non-structural uses; and cement-based products. The company also produces and distributes quicklime for use in steel, food, fishing, chemical, mining, agriculture, and other industries. In addition, it sells and distributes other construction materials manufactured by third parties, such as steel rebars, cables, and pipes. As of March 31, 2022, the company operated a network of 240 independent retailers and 379 hardware stores. It also sells its cement products directly to other retailers, private construction companies, and government entities. The company was incorporated in 1949 and is headquartered in Lima, Peru. Cementos Pacasmayo S.A.A. operates as a subsidiary of Inversiones ASPI S.A.Show more
  • Revenue$1.98B+1.4%
  • EBITDA$549M+14.0%
  • Net Income$199M+17.7%
  • EPS (Diluted)2.30+17.9%
  • Gross Margin36.83%+4.2%
  • EBITDA Margin27.77%+12.4%
  • Operating Margin19.77%+14.2%
  • Net Margin10.05%+16.1%
  • ROE16.5%+16.8%
  • ROIC10.98%+17.2%
  • Debt/Equity1.24-6.8%
  • Interest Coverage3.95+17.9%
Technical→

CPAC Key Insights

Cementos Pacasmayo S.A.A. (CPAC) fundamental analysis — strengths, weaknesses & financial health based on data analysis

✓Strengths

  • ✓Strong Piotroski F-Score: 8/9
  • ✓High quality earnings: Operating CF exceeds net income
  • ✓Good 3Y average ROE of 15.1%
  • ✓Healthy dividend yield of 5.6%

✗Weaknesses

No significant weaknesses identified

* These insights are generated automatically based on available financial data. Please conduct your own research before making investment decisions.

CPAC Price & Volume

Cementos Pacasmayo S.A.A. (CPAC) stock price & volume — 10-year historical chart

Loading chart...

CPAC Growth Metrics

Cementos Pacasmayo S.A.A. (CPAC) revenue, earnings & EPS growth — 3, 5 & 10-year CAGR

Revenue CAGR

10 Years4.76%
5 Years7.27%
3 Years0.69%
TTM6.18%

Profit CAGR

10 Years0.31%
5 Years8.54%
3 Years9.09%
TTM20.27%

EPS CAGR

10 Years1.01%
5 Years8.21%
3 Years8.51%
TTM18.18%

Return on Capital

10 Years13.71%
5 Years17.17%
3 Years14.43%
Last Year15.36%

CPAC Recent Earnings

Cementos Pacasmayo S.A.A. (CPAC) EPS & revenue vs analyst estimates — last 4 quarters

Full history →
●Beat EPS 6/12 qtrs (55%)●Beat Revenue 7/12 qtrs (58%)
Q2 2026Latest
Apr 24, 2026
EPS
$0.28
Est $0.11
+159.5%
Revenue
$164M
Est $150M
+9.2%
Q1 2026
Feb 13, 2026
EPS
$0.06
Est $0.05
-220.0%
Revenue
$167M
Est $175M
-4.7%
Q1 2026
Feb 12, 2026
EPS
$0.06
Est $0.05
-220.0%
Revenue
$167M
Est $175M
-4.7%
Q4 2025
Oct 28, 2025
EPS
$0.24
Est $0.19
+26.3%
Revenue
$166M
Est $160M
+3.9%
QuarterDateEPS (Act vs Est)Revenue (Act vs Est)
Q2 2026LatestApr 24, 2026
$0.28vs $0.11+159.5%
$164Mvs $150M+9.2%
Q1 2026Feb 13, 2026
$0.06vs $0.05-220.0%
$167Mvs $175M-4.7%
Q1 2026Feb 12, 2026
$0.06vs $0.05-220.0%
$167Mvs $175M-4.7%
Q4 2025Oct 28, 2025
$0.24vs $0.19+26.3%
$166Mvs $160M+3.9%
Based on last 12 quarters of dataView full earnings history →

CPAC Peer Comparison

Cementos Pacasmayo S.A.A. (CPAC) competitors in Cement and concrete producers — business model, growth, and fundamentals comparison

Select Columns
Stock Universe
Valuation
Growth
Profitability
Financial Health
Dividends & Buybacks
Price Performance
Technical
Fundamentals ($)
Sector-Specific
CompanyMarket CapStock PriceP/E Ratio (TTM)Revenue Growth 1YNet MarginReturn on Equity (ROE)FCF YieldDebt / Equity
CX logoCXCEMEX, S.A.B. de C.V.Direct Competitor1.96B13.552.05-0.1%5.95%7.08%0.56
USLM logoUSLMUnited States Lime & Minerals, Inc.Direct Competitor3.07B106.9822.9117.31%35.4%21.28%0.01
EXP logoEXPEagle Materials Inc.Direct Competitor6.99B217.0615.760.05%19.41%29.07%0.88
MLM logoMLMMartin Marietta Materials, Inc.Product Competitor37.12B615.4832.740.12%38.67%25.07%0.53
VMC logoVMCVulcan Materials CompanyProduct Competitor38.37B295.7236.426.94%13.88%13.07%0.63
CRH logoCRHCRH plcProduct Competitor76.78B114.9120.859.01%9.21%20.58%0.77
BCPC logoBCPCBalchem CorporationProduct Competitor5.17B161.3833.978.75%14.95%12.38%0.15
CAT logoCATCaterpillar Inc.Supply Chain431.16B926.6449.214.29%13.31%47.51%2.03

Compare CPAC vs Peers

Cementos Pacasmayo S.A.A. (CPAC) vs competitors — business, growth, and fundamentals comparison against the closest industry rivals.

Closest Rival

vs CX

Most directly comparable listed peer for CPAC.

Scale Benchmark

vs CAT

Larger-name benchmark to compare CPAC against a more recognizable public peer.

Peer Set

Compare Top 5

vs CX, USLM, EXP, MLM

CPAC Income Statement

Cementos Pacasmayo S.A.A. (CPAC) annual income statement — 10-year revenue, gross profit & net income history

10Y historyFree accessUpdated daily
Line itemDec'16Dec'17Dec'18Dec'19Dec'20Dec'21Dec'22Dec'23Dec'24TTM
Sales/Revenue1.24B1.23B1.26B1.39B1.3B1.94B2.12B1.95B1.98B2.08B
Revenue Growth %0.74%-1.17%2.99%10.33%-6.92%49.48%9.18%-7.83%1.44%6.18%
Cost of Goods Sold736.53M732.96M796.21M905.81M921.05M1.38B1.46B1.26B1.25B1.3B
COGS % of Revenue59.39%59.8%63.08%65.04%71.05%71.13%69.18%64.64%63.17%-
Gross Profit
503.64M▲ 0%
492.68M▼ 2.2%
466.05M▼ 5.4%
486.89M▲ 4.5%
375.29M▼ 22.9%
559.43M▲ 49.1%
652.03M▲ 16.6%
689.45M▲ 5.7%
728.53M▲ 5.7%
784.29M▲ 0%
Gross Margin %40.61%40.2%36.92%34.96%28.95%28.87%30.82%35.36%36.83%37.63%
Gross Profit Growth %-5.91%-2.18%-5.41%4.47%-22.92%49.07%16.55%5.74%5.67%-
Operating Expenses219.57M246.54M218.48M206.09M199.18M241.31M296.7M351.9M337.49M377.48M
OpEx % of Revenue17.7%20.12%17.31%14.8%15.36%12.45%14.02%18.05%17.06%-
Selling, General & Admin211.82M242.18M193.22M190.67M172.45M225.52M276.1M275.89M301.41M344.26M
SG&A % of Revenue17.08%19.76%15.31%13.69%13.3%11.64%13.05%14.15%15.24%-
Research & Development0000000000
R&D % of Revenue----------
Other Operating Expenses-4.56M682K1.62M15.43M26.73M15.79M20.6M76.01M36.08M1.46M
Operating Income
272.81M▲ 0%
198.56M▼ 27.2%
241.77M▲ 21.8%
270.52M▲ 11.9%
176.11M▼ 34.9%
318.25M▲ 80.7%
355.32M▲ 11.6%
337.56M▼ 5.0%
391.03M▲ 15.8%
406.81M▲ 0%
Operating Margin %22%16.2%19.15%19.42%13.59%16.42%16.79%17.31%19.77%19.52%
Operating Income Growth %-14.45%-27.22%21.76%11.89%-34.9%80.71%11.65%-5%15.84%-
EBITDA384.07M322.77M371.55M400.34M315.28M453.82M493.86M481.75M549.28M464.28M
EBITDA Margin %30.97%26.33%29.44%28.75%24.32%23.42%23.34%24.7%27.77%22.28%
EBITDA Growth %-1.44%-15.96%15.12%7.75%-21.25%43.94%8.82%-2.45%14.02%-11.78%
D&A (Non-Cash Add-back)111.27M124.21M129.78M129.82M139.17M135.57M138.54M144.19M158.25M57.47M
EBIT243.97M174.3M164.79M256.43M156.69M295.89M339.17M346.47M395.15M419.66M
Net Interest Income-72.18M-67.92M-84.97M-75.41M-69.03M-86.07M-91.8M-96.8M-92.67M-80.49M
Interest Income2.59M5.84M1.86M1.73M1.76M2.89M3.31M3.96M6.3M11.97M
Interest Expense45.86M73.76M48.65M62.08M70.79M88.97M95.11M100.76M98.97M92.46M
Other Income/Expense-74.7M-70.14M-125.63M-76.17M-90.21M-94.14M-92.9M-91.85M-94.85M-79.61M
Pretax Income
198.11M▲ 0%
128.42M▼ 35.2%
116.14M▼ 9.6%
194.35M▲ 67.3%
85.9M▼ 55.8%
224.11M▲ 160.9%
262.42M▲ 17.1%
245.71M▼ 6.4%
296.19M▲ 20.5%
327.2M▲ 0%
Pretax Margin %15.97%10.48%9.2%13.96%6.63%11.57%12.4%12.6%14.97%15.7%
Income Tax78.63M47.03M40.99M62.31M28M70.94M85.59M76.81M97.31M105.12M
Effective Tax Rate %39.69%36.62%35.3%32.06%32.6%31.65%32.62%31.26%32.85%32.13%
Net Income
116.17M▲ 0%
93.78M▼ 19.3%
76.7M▼ 18.2%
132.05M▲ 72.2%
57.89M▼ 56.2%
153.17M▲ 164.6%
176.83M▲ 15.4%
168.9M▼ 4.5%
198.88M▲ 17.7%
222.08M▲ 0%
Net Margin %9.37%7.65%6.08%9.48%4.47%7.9%8.36%8.66%10.05%10.66%
Net Income Growth %-46.1%-19.27%-18.22%72.16%-56.16%164.57%15.45%-4.48%17.75%20.27%
Net Income (Continuing)119.48M81.39M75.15M132.05M57.89M153.17M176.83M168.9M198.88M222.08M
Discontinued Operations0000000000
Minority Interest112.59M148K00000000
EPS (Diluted)
1.34▲ 0%
1.10▼ 17.9%
0.90▼ 18.2%
1.55▲ 72.2%
0.70▼ 54.8%
1.80▲ 157.1%
2.05▲ 13.9%
1.95▼ 4.9%
2.30▲ 17.9%
2.55▲ 0%
EPS Growth %-42.98%-17.91%-18.18%72.22%-54.84%157.14%13.89%-4.88%17.95%18.18%
EPS (Basic)1.341.100.901.550.701.802.051.952.30-
Diluted Shares Outstanding86.88M85.62M85.62M85.62M85.62M85.62M85.62M85.62M85.62M86.95M
Basic Shares Outstanding86.88M85.62M85.62M85.62M85.62M85.62M85.62M85.62M85.62M86.95M
Dividend Payout Ratio132.91%133.28%223.98%91.37%248.08%219.9%101.69%103.87%88.02%-

CPAC Balance Sheet

Cementos Pacasmayo S.A.A. (CPAC) balance sheet — assets, liabilities & shareholders' equity

Line itemDec'16Dec'17Dec'18Dec'19Dec'20Dec'21Dec'22Dec'23Dec'24TTM
Total Current Assets559.98M554.06M613.58M226.01M242.65M1.01B1.19B995.66M995.75M1.16B
Cash & Short-Term Investments80.23M49.28M48.87M20.62M85.4M272.49M168.94M90.5M72.96M182.12M
Cash Only80.23M49.28M48.87M20.62M85.4M272.49M81.9M90.5M72.96M182.12M
Short-Term Investments00000087.03M000
Accounts Receivable126.78M99.57M98.99M45.52M28.33M111.63M109.93M104.53M139.36M183.28M
Days Sales Outstanding37.3129.6528.6211.937.9821.0318.9719.5725.7128.54
Inventory345.09M373.5M423.05M156.75M127.34M603.15M886.38M793.79M776.53M749.53M
Days Inventory Outstanding171.01185.99193.9463.1650.46159.72221.03229.83226.83212.44
Other Current Assets0000000008
Total Non-Current Assets2.75B2.26B2.24B660.05M591.82M2.19B2.19B2.31B2.25B2.2B
Property, Plant & Equipment2.32B2.22B2.15B634.44M558.57M1.98B2.01B2.11B2.04B2B
Fixed Asset Turnover0.54x0.55x0.59x2.20x2.32x0.98x1.05x0.93x0.97x1.03x
Goodwill006.3M1.35M1.23M4.44M4.47M4.47M4.47M4.45M
Intangible Assets42.85M13.43M40.71M14.31M13.72M50.32M56.95M63.14M63.8M61.05M
Long-Term Investments75.89M37.95M43.51M3.17M9.84M135.91M32.96M33.53M33.9M84.11M
Other Non-Current Assets358.16M747.95K445.18K3.86M3.52M11.98M11.01M10.34M9.76M85.66M
Total Assets
3.31B▲ 0%
2.82B▼ 14.8%
2.85B▲ 1.2%
886.06M▼ 68.9%
834.47M▼ 5.8%
3.19B▲ 282.6%
3.38B▲ 5.8%
3.3B▼ 2.2%
3.25B▼ 1.8%
3.36B▲ 0%
Asset Turnover0.38x0.43x0.44x1.57x1.55x0.61x0.63x0.59x0.61x0.64x
Asset Growth %-2.81%-14.79%1.2%-68.93%-5.82%282.59%5.78%-2.16%-1.75%1.53%
Total Current Liabilities177.2M205.26M257.54M106.51M73.28M719.74M954.66M691.76M768.06M826.01M
Accounts Payable63.83M76.58M69.28M25.64M23.15M110.96M159.35M107.7M96.87M113.61M
Days Payables Outstanding31.6338.1331.7610.339.1829.3839.7431.1828.2940.15
Short-Term Debt0060.57M29.83M18.46M451.3M621.9M388.48M462.81M498.43M
Deferred Revenue (Current)1.18M4.28M786.78K3.56M4.11M14.62M14.73M15.78M10.41M27.06M
Other Current Liabilities58.61M76.87M58.95M40.26M18.27M99.04M85.97M132.93M138.19M149.96M
Current Ratio3.16x2.70x2.38x2.12x3.31x1.40x1.25x1.44x1.30x1.30x
Quick Ratio1.21x0.88x0.74x0.65x1.57x0.56x0.32x0.29x0.29x0.29x
Cash Conversion Cycle176.7177.51190.864.7649.26151.37200.26218.22224.25200.83
Total Non-Current Liabilities1.16B1.1B1.15B350.19M383.13M1.28B1.23B1.42B1.26B1.15B
Long-Term Debt993.98M966.52M1.02B303.35M332.67M1.09B975.82M1.19B1.04B917.12M
Capital Lease Obligations00017.21K1.41M3.96M2.35M4.14M6.48M43.67M
Deferred Tax Liabilities139.17M108.96M124.84M44.51M42.05M149.88M199.46M192.59M188.17M691.99M
Other Non-Current Liabilities24.64M28.33M5.36M2.31M7.01M36.52M47.71M27.55M28.24M1.11B
Total Liabilities1.33B1.31B1.41B456.7M456.41M2B2.18B2.11B2.03B1.98B
Total Debt993.98M966.52M1.08B333.2M352.53M1.55B1.6B1.59B1.51B1.43B
Net Debt913.75M917.24M1.03B312.58M267.13M1.27B1.52B1.5B1.43B1.25B
Debt / Equity0.50x0.64x0.75x0.78x0.93x1.30x1.34x1.33x1.24x1.24x
Debt / EBITDA2.59x2.99x2.90x0.83x1.12x3.41x3.24x3.29x2.74x3.07x
Net Debt / EBITDA2.38x2.84x2.77x0.78x0.85x2.81x3.07x3.11x2.61x2.61x
Interest Coverage5.95x2.69x4.97x4.36x2.49x3.58x3.74x3.35x3.95x4.54x
Total Equity
1.97B▲ 0%
1.51B▼ 23.5%
1.45B▼ 4.2%
429.36M▼ 70.3%
378.06M▼ 11.9%
1.19B▲ 215.2%
1.2B▲ 0.4%
1.19B▼ 0.2%
1.22B▲ 1.9%
1.38B▲ 0%
Equity Growth %-3.31%-23.49%-4.19%-70.3%-11.95%215.24%0.44%-0.25%1.92%9.67%
Book Value per Share22.6917.6216.885.014.4213.9213.9813.9514.2115.90
Total Shareholders' Equity1.86B1.51B1.45B429.36M378.06M1.19B1.2B1.19B1.22B1.38B
Common Stock531.46M423.87M423.87M140.18M128.31M423.87M423.87M464.15M464.15M423.87M
Retained Earnings674.26M612.43M517.17M150.16M126.23M270.69M269.05M262.89M286.28M496.37M
Treasury Stock-108.25M-119M-121.26M-36.62M-33.52M-121.26M-121.26M-121.26M-121.26M-121.26M
Accumulated OCI170.76M117.14M155.77M44.93M37.39M148.04M151.09M152.87M152.58M151.54M
Minority Interest112.59M148K00000000

CPAC Cash Flow Statement

Cementos Pacasmayo S.A.A. (CPAC) cash flow — operating, investing & free cash flow history

Line itemDec'16Dec'17Dec'18Dec'19Dec'20Dec'21Dec'22Dec'23Dec'24TTM
Cash from Operations241.68M259.51M203.63M205.14M331.37M170.56M111.82M412.32M321.14M321.14M
Operating CF Margin %19.49%21.17%16.13%14.73%25.56%8.8%5.29%21.14%16.24%-
Operating CF Growth %-12.32%7.38%-21.53%0.74%61.53%-48.53%-34.44%268.74%-22.11%460.79%
Net Income185.12M127.11M116.14M194.35M85.9M224.11M262.42M168.9M198.88M222.08M
Depreciation & Amortization111.27M124.21M129.78M129.82M139.17M135.57M138.54M144.19M159.57M165.43M
Stock-Based Compensation16.09M11.4M9.49M6.52M5.76M00000
Deferred Taxes-94.28M-39.11M-63.71M-72.98M-87.63M00000
Other Non-Cash Items82.31M71.09M83.11M77.08M87.92M-25.75M-53.36M45.99M-8.07M-72.06M
Working Capital Changes-58.83M-35.19M-71.19M-129.65M100.25M-163.37M-235.78M53.24M-29.24M16.56M
Change in Receivables28.08M-31.18M-171K-23.39M38.01M-47.71M-3.69M-1.87M-34.19M-17.77M
Change in Inventory-49.97M-31.86M-59.64M-97.66M54.14M-151.53M-282.55M90.58M5.9M27.37M
Change in Payables-36.2M14.08M-9.65M-4.22M3.35M48.83M60.57M-48.68M00
Cash from Investing-135.63M-73.79M-98.83M-79.58M-48.42M-91.82M-176.19M-289.44M-76.61M-80.32M
Capital Expenditures-137.07M-80.83M-111.27M-83.02M-52.55M-94.55M-178.5M-272.6M-64.32M-100.65M
CapEx % of Revenue11.05%6.6%8.81%5.96%4.05%4.88%8.44%13.98%3.25%-
Acquisitions5.93M6.84M13.85M4.2M-590K4.15M2.66M000
Investments----------
Other Investing1.44M6.35M12.44M-763K4.72M4.5M2.67M-16.84M-12.29M20.84M
Cash from Financing-177.54M-185.43M-105.34M-106.84M-43.85M-130.09M-121.48M-115.44M-261.34M-264.74M
Debt Issued (Net)0068.69M27.28M99.45M217.58M73.5M-26.08M-86.59M-89.97M
Equity Issued (Net)0-1000K00000000
Dividends Paid-154.4M-124.99M-171.79M-120.65M-143.62M-336.82M-179.82M-175.43M-175.05M-175.32M
Share Repurchases0-34.22M00000000
Other Financing-23.14M-26.22M-2.25M-13.48M321K-10.85M-15.16M86.08M297K549K
Net Change in Cash
-77.79M▲ 0%
-31M▲ 60.2%
-149K▲ 99.5%
19.2M▲ 12985.2%
240.65M▲ 1153.4%
-35.51M▼ 114.8%
-191.63M▼ 439.6%
8.42M▲ 104.4%
-17.47M▼ 307.5%
42.87M▲ 0%
Free Cash Flow
104.61M▲ 0%
178.68M▲ 70.8%
92.36M▼ 48.3%
122.12M▲ 32.2%
278.82M▲ 128.3%
76.02M▼ 72.7%
-66.68M▼ 187.7%
123.02M▲ 284.5%
256.82M▲ 108.8%
286.01M▲ 0%
FCF Margin %8.44%14.58%7.32%8.77%21.51%3.92%-3.15%6.31%12.98%13.72%
FCF Growth %150.36%70.8%-48.31%32.22%128.31%-72.74%-187.72%284.49%108.77%15.59%
FCF per Share1.202.091.081.433.260.89-0.781.443.003.00
FCF Conversion (FCF/Net Income)2.08x2.77x2.65x1.55x5.72x1.11x0.63x2.44x1.61x1.29x
Interest Paid0000000099.68M26.48M
Taxes Paid0000000000

CPAC Key Ratios

Cementos Pacasmayo S.A.A. (CPAC) financial ratios — P/E, ROE, debt and 30+ core market and balance-sheet ratios

Metric201620172018201920202021202220232024TTM
Return on Equity (ROE)5.79%5.39%5.19%14.09%14.34%19.51%14.8%14.13%16.5%16.06%
Return on Invested Capital (ROIC)6.95%5.61%7.4%12.61%19.04%15.35%10.29%9.37%10.98%10.98%
Gross Margin40.61%40.2%36.92%34.96%28.95%28.87%30.82%35.36%36.83%37.63%
Net Margin9.37%7.65%6.08%9.48%4.47%7.9%8.36%8.66%10.05%10.66%
Debt / Equity0.50x0.64x0.75x0.78x0.93x1.30x1.34x1.33x1.24x1.24x
Interest Coverage5.95x2.69x4.97x4.36x2.49x3.58x3.74x3.35x3.95x4.54x
FCF Conversion2.08x2.77x2.65x1.55x5.72x1.11x0.63x2.44x1.61x1.29x
Revenue Growth0.74%-1.17%2.99%10.33%-6.92%49.48%9.18%-7.83%1.44%6.18%

CPAC Frequently Asked Questions

Cementos Pacasmayo S.A.A. (CPAC) stock FAQ — growth, dividends, profitability & financials explained

Growth & Financials

Cementos Pacasmayo S.A.A. (CPAC) reported $2.08B in revenue for fiscal year 2024. This represents a 175% increase from $756.6M in 2009.

Cementos Pacasmayo S.A.A. (CPAC) grew revenue by 1.4% over the past year. Growth has been modest.

Yes, Cementos Pacasmayo S.A.A. (CPAC) is profitable, generating $222.1M in net income for fiscal year 2024 (10.1% net margin).

Dividend & Returns

Yes, Cementos Pacasmayo S.A.A. (CPAC) pays a dividend with a yield of 5.59%. This makes it attractive for income-focused investors.

Cementos Pacasmayo S.A.A. (CPAC) has a return on equity (ROE) of 16.5%. This is reasonable for most industries.

Cementos Pacasmayo S.A.A. (CPAC) generated $286.0M in free cash flow for fiscal year 2024. Positive FCF indicates the company can fund dividends, buybacks, or reinvestment.

Explore More CPAC

Cementos Pacasmayo S.A.A. (CPAC) financial analysis — history, returns, DCA and operating performance tools

Total Return Calculator

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Dividend History

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Earnings History

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Price History

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Revenue History

Sales growth patterns & revenue breakdown

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Financial Ratios

30 years of market, efficiency and balance-sheet ratios

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Valuation

DCF intrinsic value, peer multiples & estimates

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