CLEANMAXUtilities

Clean Max Enviro Energy Solutions Limited

Power Generation · ISIN INE647U01026 · BSE 544717 · NSE EQ · FV ₹1
Last price
₹1,291
+0.33%today
What this company does

Clean Max Enviro Energy Solutions Limited operates in Power Generation, part of the Utilities sector. It booked ₹832 cr of revenue in its latest quarter (Q1 FY27) and kept 5.8% of sales as profit.

44out of 100
Equitytale Health Score
Strained

Healthier than 44% of companies in Utilities, on the 5 of 6 measures we could read for it. Each measure is ranked against the 6–25 companies that reported it.

Measures financial condition, not whether to buy. Learn what this score means · How this is calculated

Price momentum
neutral
RSI (14)
47

At close. Not part of the score.

Profitability & returns35

How much profit it earns on the money it employs

Balance sheet14

How much it owes, and whether earnings cover the interest

Cash quality95

Whether reported profit actually arrives as cash

Valuation22

What today's price implies, against our models or its peers

Governance & risk86

How much of the promoters' stake is pledged, and how much they hold

Not measurable for this company: growth & consistency. Those pillars are left out of the score rather than counted as zero.

Is this company doing well?
not investment advice
Strengths
Makes a profit
Promoters hold 49%
Watch-outs
! Thin 5.8% net margin
! 20.0% of promoter stake pledged
! Low 4.2% return on equity
! Carries high debt (D/E 2.2)

What if I invest in CLEANMAX?

Set a growth rate and see what a monthly SIP would add up to. Your assumption, our arithmetic.

You would put in
₹12.00 lakh
120 instalments
At 10% a year, it would become
₹20.15 lakh

The starting rate is a round number, not a view on this company — this is your assumption, and the figure above is arithmetic on it. Returns are not steady year to year, and a real holding would not grow in a straight line. We do not publish price targets or predict returns.

Key ratios · latest quarter + price
₹1,291 +0.33%
latest close · 2026-09-17
52-wk low ₹1,17142 sessions so far52-wk high ₹1,472
Is it cheap or expensive?
What you pay for the profits, book value and cash flow. Higher isn't automatically worse — it can signal faster growth.
P/E ratio78.0High
LowAverageHigh
P/B ratio3.26High
Below bookModerateHigh
EV / EBITDA14.2Average
LowAverageHigh
How good is the business?
How much profit it earns from its money and its sales.
Return on equity4.2%Weak
WeakFairStrong ▸15%
Return on capital7.8%Weak
WeakFairStrong
Net margin5.8%Decent
ThinDecentStrong
EBITDA margin55.6%Healthy
ThinDecentHealthy
Is it financially safe?
How much it owes, and whether it can comfortably cover it.
Debt to equity2.25High
LowModerateHigh ▸1
Interest cover1.4×Risky
RiskyOkayStrong ▸5×
Current ratio0.66Tight
Tight ◂1HealthyAmple
More figures
Market cap
₹15,134 cr
Book value
₹396
EPS
₹4.14
latest quarter
Net debt
₹11,209 cr
owes more than its cash
Enterprise value
₹26,343 cr
EBITDA
₹1,851 cr
annualised
EBIT
₹1,393 cr
annualised
Operating margin
41.8%
Return on assets
0.8%
Earnings yield
1.28%
P/S
4.55
Sales / share
₹284.0
Tax rate
41.5%
Face value
₹1
Shares
11.7 cr
Working capital
₹-1,724 cr
Current assets
₹3,405 cr
Current liabilities
₹5,129 cr
Delivery %
42.3%
Strong / safeFairWeak / riskyValuation — a level, not good/badBands are general rules of thumb, not advice.

P/E, ROE, ROCE and margins are annualised from the latest quarter; per-share and balance-sheet ratios use the most recent balance sheet on file · prices as of 2026-09-17.

Worth vs price · from the exchange filings
not investment advice
Hard to value confidentlyLow confidence
Too few reliable models — the filings don't support two independent estimates of value.

An educational model from the company's own filings, every assumption shown — not investment advice or a price target. Prices can stay above or below any model for years.

P&L · Q1 FY27 (consolidated)
Revenue from Operations₹832 cr
Other Income₹42 cr
Total Income₹874 cr
Cost of Materials₹290 cr
Purchases of Stock-in-Trade₹9 cr
Employee Benefit Expense₹32 cr
Finance Costs₹255 cr
Depreciation & Amortisation₹115 cr
Other Expenses₹80 cr
Total Expenses₹781 cr
Profit before Tax₹94 cr
Tax Expense₹39 cr
Share of JV / Associates₹47.9 L
Net Profit₹55 cr
Net margin on total income6.3%
Where the money goes · Q1 FY27
% of total income
Materials + stock-in-trade₹299 cr34.2%
Employee benefit expense₹32 cr3.7%
Finance costs₹255 cr29.1%
Depreciation & amortisation₹115 cr13.1%
Other expenses₹80 cr9.2%
Tax expense₹39 cr4.4%
Profit for the period₹55 cr6.3%
Total income ₹874 cradds up to ₹100 ✓
Quarterly results · consolidated (₹ cr)
MetricQ3 FY26Q4 FY26Q1 FY27
Revenue422 cr557 cr832 cr
Total income466 cr640 cr874 cr
Expenses460 cr567 cr781 cr
Profit before tax6 cr73 cr94 cr
Tax-15 cr30 cr39 cr
Net profit (owners' share)28 cr55 cr49 cr
Net margin (owners' share, on revenue)6.5%9.9%5.8%
EPS (₹)2.705.314.14
Balance sheet & cash flow · as of Mar 2026
High debt
Total assets
₹23,098 cr
Shareholder equity
₹4,638 cr
parent shareholders
Total debt
₹12,411 cr
Cash
₹1,202 cr
Peer comparison
Power Generation · by market value
CompanyPriceMarket capP/E
NTPC Limited₹330₹3.20 L cr11.9
Adani Green Energy Limited₹1,274₹2.10 L cr63.1
JSW Energy Limited₹512₹93,821 cr48.5
NHPC Limited₹75₹75,539 cr17.2
NTPC Green Energy Limited₹88₹73,798 cr60.8
NLC India Limited₹262₹36,372 cr18.8
Acme Solar Holdings Limited₹411₹29,022 cr27.7
SJVN Limited₹65₹25,445 cr28.4
NAVA LIMITED₹547₹15,490 cr13.9
Same industry · latest reported numbers · not a recommendation.
Who owns it · 2026-06-30
20.0% pledged
Promoter
49.4%
FII / Foreign
11.2%
DII / Domestic
14.7%
Retail / others
24.7%
Promoter stake down 0.1% over the last 3 quarters.
Smart-money activity
Bulk / block deals
short · NSE73 Sep 26
BoughtWHITEOAK CAPITAL MUTUAL FUND · NSE2.05 L @ ₹1,2203 Sep 26
BoughtSBI LIFE INSURANCE COMPANY LTD. · NSE5.09 L @ ₹1,2203 Sep 26
Who controls this company, and what it pays them

Most Indian companies are controlled by a family or group — the promoters. The exchange requires them to be listed by name, including members who own no shares at all, and requires the company to disclose any business it does with them.

The promoter group — 28 named members
owning 49.4% between them · as of 2026-06-30
BGTF One Holdings (DIFC) Limited21.28%
Kempinc LLP11.09%
Rikhab Investments B.V.8.36%
Kuldeep Jain8.23%
Nidhi Jain0.43%
Pratap Rikhablal Jain0.04%
Amit Jainno shares
Amit Jain HUF (Karta - Amit Jain)no shares

Names and holdings from the company’s shareholding pattern filed with the exchange; transactions from the related-party note in its annual report. Every figure is as filed — these are legal, disclosed dealings, and what to make of them is your call.

How the stock has moved · adjusted for splits & bonuses
Data from primary exchange filings · analysis tool, not investment advice.