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CS

Clear Secured Services Limited

NSE:CSSLSME
UnclassifiedUnclassified
₹69.6
-5.95%1 Oct close
Mkt cap
—
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OverviewChartPeersProfit & lossBalance sheetCash flowRatiosShareholdingF&ODocumentsEventsAnnouncementsNotes
AnnualQuarterly
ConsolidatedStandalone

Standalone figures · ₹ crore

₹ CrMar 2026
Revenue358
COGS69
Gross profit290
263
Operating profit (EBITDA)26
OPM %7.3%
Depreciation4
Interest9
7
Profit before tax20
Tax5
Tax %24.2%
PAT15
PAT margin %4.3%
EPS (₹)7.8

₹ CrMar 2026
Equity capital—
Reserves—
Borrowings—
Other liabilities317
Total equity & liabilities317
Fixed assets13
CWIP—
Investments39
265
Total assets317

₹ CrMar 2026
5
-64
74
Net cash flow14
Free cash flow-16
CFO / Operating profit %17.1%

Segment results

As reported in NSE results XBRL. Segment result is before tax and finance costs. ROCE uses that annual result divided by segment assets less liabilities.

Source XBRL ↗

Latest reported period · 31 Mar 2026 · ₹ crore

SegmentRevenueResultAssetsLiabilitiesCapital employedROCE %
Facility Management Services353.728.76242.36107.14135.2221.27
Agro Products4.76000——
Cash Recycler Machines00.45

Agro Products · revenue

₹ crore by fiscal year

0
0
—
—
Iron and Steels Products0000——