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Clean Max Enviro Energy Solutions Limited
NSE: CLEANMAXINE647U01026·Power·www.cleanmax.com ↗·Mcap ₹17,110 Cr·Listed 2026
₹1,393.40▲ ₹8.20  (0.59%)
52W: ₹727 – ₹1,536 · Vol: 8.9L shares · Close 25 Sept
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Quarterly results

consolidated · as filed with NSE · Q1 FY27 back to Q3 FY26
₹ croreQ1 FY27Q4 FY26Q3 FY26
Revenue from operations832557422
Other income41.982.143.8
Total expenses781567460
EBITDA421268263
EBITDA margin50.6%48.0%62.3%
Finance costs255180190
Depreciation11596.7111
Profit before tax93.572.96.3
Tax38.829.9−14.5
Net profit55.245.421.2
Net margin6.6%8.1%5.0%
EPS (₹)4.145.312.70

Annual results

financial years ending March · from the fourth-quarter filings
₹ croreFY26
Revenue from operations1,913
Other income162
Total expenses1,946
EBITDA1,132
EBITDA margin59.2%
Finance costs786
Depreciation380
Profit before tax129
Tax49.4
Net profit85.6
Net margin4.5%
EPS (₹)9.10
EPS is as filed for each period and is not restated for later bonus issues or splits.

Cash flow

annual · ₹ crore
₹ croreFY26
Operating cash flow1,731
Investing cash flow−5,957
Financing cash flow5,095
Capital expenditure5,687
Free cash flow (CFO − capex)−3,956

Net profit trend

annual, ₹ crore
FY26
₹85.6

Result filings

as filed with NSE · PDF and XBRL
PeriodBasisFiledDocuments
Q1 FY27Consolidated31 Jul 2026PDF on NSE XBRL
Q1 FY27Standalone31 Jul 2026PDF on NSE XBRL
Q4 FY26Consolidated12 May 2026PDF on NSE XBRL
Q3 FY26Consolidated–PDF on NSE XBRL
Q3 FY26Consolidated17 Mar 2026 PDF XBRL
Q3 FY26Standalone17 Mar 2026 PDF XBRL
Q3 FY26Standalone–PDF on NSE XBRL

Annual reports

NSE archive
Key ratios
P/E (TTM)5Y avg 105.3×–
P/B5Y avg 1.94×3.52×
ROEFY26, on average equity1.8%
Net margin4.5%
Debt / equity2.68×
Revenue CAGR (3Y)–
Profit CAGR (3Y)–
EPS (TTM)–
Market cap₹16,314 Cr
Computed from the filings and the last close. Market cap uses the latest share count from the balance sheet.
P/B vs history
3.52×
vs 1-point avg 1.94× (+81%)
1.94× low1.94× avg3.52× high
History points are balance-sheet dates (2026 → 2026), priced at the adjusted close on each date.
Balance sheet 31 Mar 2026
Total assets₹23,098 Cr
Net worth₹4,638 Cr
Total borrowings₹12,411 Cr
Cash & bank balances₹1,202 Cr
Investments₹102 Cr
Inventories₹40 Cr
Trade receivables₹278 Cr
Trade payables₹1,750 Cr
Change vs the same date a year earlier.
Revenue mix FY26
Segment A - Renewable Energy Power Sales73.8%result ₹546 Cr
Segment B - Renewable Energy Services26.2%result ₹58.9 Cr
Segment revenue as reported, before inter-segment eliminations.
Shareholding 30 Jun 2026
%Jun 26Mar 26Mar 26
Promoter49.4249.4849.48
FII11.2129.8029.93
DII14.6714.7515.29
of which MF3.162.261.87
Retail3.143.322.99
Other public21.562.652.31
23,620 shareholders · NSE shareholding pattern filings.