CSMInformation Technology

CSM Technologies Limited

Computers - Software & Consulting · ISIN INE0ZK601013 · BSE 544806 · NSE EQ · FV ₹10
Last price
₹103
+6.67%today
What this company does

CSM Technologies Limited operates in Computers - Software & Consulting, part of the Information Technology sector. It booked ₹43 cr of revenue in its latest quarter (Q1 FY27) and kept -19.5% of sales as profit.

22out of 100
Equitytale Health Score
Fragile

Healthier than 22% of companies in Information Technology, on the 5 of 6 measures we could read for it. Each measure is ranked against the 81–123 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)
58

At close. Not part of the score.

Profitability & returns2

How much profit it earns on the money it employs

Balance sheet12

How much it owes, and whether earnings cover the interest

Cash quality14

Whether reported profit actually arrives as cash

Valuation26

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

Governance & risk100

How much of the promoters' stake is pledged, and how much they hold · highest in its sector on what we could measure

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
Some things to watch
Strengths
Promoters hold 71%
No promoter shares pledged
Watch-outs
! Currently loss-making
! Thin -19.5% net margin
! Low -32.4% return on equity

What if I invest in CSM?

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 We do not publish price targets or predict returns.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
₹103 +6.67%
latest close · 2026-09-17
52-wk low ₹7642 sessions so far52-wk high ₹108
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/B ratio5.16High
Below bookModerateHigh
How good is the business?
How much profit it earns from its money and its sales.
Return on equity-32.4%Loss
WeakFairStrong ▸15%
Return on capital-25.4%Loss
WeakFairStrong
Net margin-19.5%Loss
ThinDecentStrong
EBITDA margin-16.6%Loss
ThinDecentHealthy
Is it financially safe?
How much it owes, and whether it can comfortably cover it.
Debt to equity0.68Moderate
LowModerateHigh ▸1
Interest cover-3.8×Risky
RiskyOkayStrong ▸5×
Current ratio1.66Healthy
Tight ◂1HealthyAmple
More figures
Market cap
₹530 cr
Book value
₹20
EPS
₹-2.14
latest quarter
Net debt
₹65 cr
owes more than its cash
Enterprise value
₹595 cr
EBITDA
₹-28 cr
annualised
EBIT
₹-34 cr
annualised
Operating margin
-19.9%
Return on assets
-15.5%
Earnings yield
P/S
3.10
Sales / share
₹33.1
Tax rate
Face value
₹10
Shares
5.2 cr
Working capital
₹54 cr
Current assets
₹134 cr
Current liabilities
₹81 cr
Delivery %
44.7%
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.
Models span ₹38₹38, midpoint ₹38

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₹43 cr
Other Income₹54.4 L
Total Income₹43 cr
Cost of Materials₹4 cr
Purchases of Stock-in-Trade₹0 cr
Employee Benefit Expense₹33 cr
Finance Costs₹2 cr
Depreciation & Amortisation₹1 cr
Other Expenses₹13 cr
Total Expenses₹54 cr
Profit before Tax₹-11 cr
Tax Expense₹-2 cr
Net Profit₹-8 cr
Net margin on total income-19.1%
Where the money goes · Q1 FY27
% of total spend
Materials + stock-in-trade₹4 cr8.0%
Employee benefit expense₹33 cr61.9%
Finance costs₹2 cr4.1%
Depreciation & amortisation₹1 cr2.7%
Other expenses₹13 cr23.3%
Total income ₹43 cr

The company made a net loss of ₹8 cr this quarter — income covered only 80 of every ₹100 it spent on costs and tax.

Quarterly results · consolidated (₹ cr)
MetricQ4 FY26Q1 FY27
Revenue60 cr43 cr
Total income62 cr43 cr
Expenses47 cr54 cr
Profit before tax11 cr-11 cr
Tax2 cr-2 cr
Net profit (owners' share)9 cr-8 cr
Net margin (owners' share, on revenue)15.4%-19.5%
EPS (₹)2.41-2.14
Balance sheet & cash flow · as of Mar 2026
Moderate debt
Total assets
₹215 cr
Shareholder equity
₹103 cr
parent shareholders
Total debt
₹71 cr
Cash
₹5 cr
Peer comparison
Computers - Software & Consulting · by market value
CompanyPriceMarket capP/E
Tata Consultancy Services Limited₹2,190₹7.93 L cr14.8
Infosys Limited₹1,059₹4.29 L cr13.8
HCL Technologies Limited₹1,258₹3.42 L cr18.4
Wipro Limited₹166₹1.65 L cr13.0
Tech Mahindra Limited₹1,561₹1.38 L cr23.6
LTM Limited₹4,265₹1.26 L cr21.6
Persistent Systems Limited₹5,473₹86,337 cr44.3
Coforge Limited₹1,793₹79,340 cr36.3
MphasiS Limited₹2,320₹44,284 cr22.6
Same industry · latest reported numbers · not a recommendation.
Who owns it · 2026-07-01
No pledge
Promoter
71.2%
FII / Foreign
9.2%
DII / Domestic
3.6%
Retail / others
16.0%
Smart-money activity
Bulk / block deals
BoughtSILVERLEAF CAPITAL SERVICES PRIVATE LIMITED · NSE2.85 L @ ₹98.816 Sep 26
SoldSILVERLEAF CAPITAL SERVICES PRIVATE LIMITED · NSE2.85 L @ ₹98.816 Sep 26
SoldNK SECURITIES RESEARCH PRIVATE LIMITED · NSE2.63 L @ ₹97.5216 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 — 11 named members
owning 71.2% between them · as of 2026-07-01
PRIYADARSHI PANY70.20%
SUSHAMA PANY0.98%
Archisman Panyno shares
Lagna Nanu Pany Private Trustno shares
Lagna Pandano shares
Mayurakshi Panyno shares
Prachi Clinic IVF Center Private Limitedno shares
Rabindra Nath Pandano 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.