Clean Science & Technology Ltd Falls to 52-Week Low of Rs.724

Feb 20 2026 11:14 AM IST
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Clean Science & Technology Ltd, a player in the Specialty Chemicals sector, has touched a new 52-week low of Rs.724, marking a significant decline in its stock price amid ongoing market pressures and company-specific performance concerns.
Clean Science & Technology Ltd Falls to 52-Week Low of Rs.724

Stock Price Movement and Market Context

On 20 Feb 2026, Clean Science & Technology Ltd’s share price reached Rs.724, its lowest level in the past year and also an all-time low. This decline comes despite a broadly positive market environment, with the Sensex recovering sharply after an initial negative opening and closing at 82,845.26, up 0.42% for the day. The benchmark index remains just 4% shy of its 52-week high of 86,159.02, supported by gains in mega-cap stocks.

In contrast, Clean Science & Technology Ltd underperformed its sector by 1.73% on the day and has seen a consecutive two-day decline, resulting in a cumulative loss of 4.54% over this short period. The stock is currently trading below all key moving averages, including the 5-day, 20-day, 50-day, 100-day, and 200-day averages, signalling sustained downward momentum.

Long-Term Performance and Valuation Metrics

The company’s one-year performance starkly contrasts with the broader market, having delivered a negative return of 44.76%, while the Sensex posted a positive 9.35% return over the same period. The stock’s 52-week high was Rs.1,599, highlighting the extent of the decline.

Clean Science & Technology Ltd’s valuation metrics reflect a challenging environment. Despite a return on equity (ROE) of 17.7%, the stock carries a high price-to-book value of 5.2, indicating a relatively expensive valuation compared to its peers. However, the current share price trades at a discount relative to the historical average valuations of comparable companies in the Specialty Chemicals sector.

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Financial Performance Highlights

Recent quarterly results have shown a decline in key financial indicators. The company reported a profit after tax (PAT) of Rs.45.88 crores for the December 2025 quarter, representing a 30.8% decrease compared to the average of the previous four quarters. Net sales for the quarter stood at Rs.219.67 crores, the lowest recorded in recent periods. Operating profit margins have remained subdued, with a five-year annual growth rate of just 2.36%.

Return on capital employed (ROCE) for the half-year ended December 2025 was 23.61%, the lowest in recent history, reflecting pressure on capital efficiency. These figures contribute to the company’s current Mojo Score of 28.0 and a Mojo Grade of Strong Sell, an upgrade from the previous Sell rating as of 4 August 2025.

Comparative Performance and Market Position

Over the past three years, Clean Science & Technology Ltd has consistently underperformed the BSE500 benchmark index. The stock’s annual returns have lagged behind the broader market in each of these periods, underscoring persistent challenges in delivering shareholder value. Profitability has also declined by 5.8% over the last year, further weighing on investor sentiment.

Despite these headwinds, the company maintains a strong balance sheet with an average debt-to-equity ratio of zero, indicating no reliance on debt financing. Institutional investors hold a significant 29.77% stake in the company, reflecting confidence from entities with substantial analytical resources.

Operational Efficiency and Management

Management efficiency remains a relative strength, with a reported ROE of 22.95%, signalling effective utilisation of equity capital. This contrasts with the subdued growth and profitability metrics, suggesting that while management is generating returns on equity, broader market and sector dynamics may be constraining overall performance.

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Summary of Key Metrics

To summarise, Clean Science & Technology Ltd’s stock has declined to Rs.724, its lowest level in 52 weeks and all-time low, amid a backdrop of subdued sales growth, declining profits, and valuation pressures. The company’s financial results for the December 2025 quarter and half-year period highlight challenges in maintaining revenue and profitability momentum. While management efficiency and a strong balance sheet provide some stability, the stock’s performance relative to the broader market and sector peers remains weak.

The stock’s Mojo Grade of Strong Sell and a low Mojo Score of 28.0 reflect these ongoing concerns. Investors and market participants will note the contrast between the company’s fundamentals and the broader market’s positive trajectory, as evidenced by the Sensex’s recent gains and proximity to its 52-week high.

Market and Sector Outlook

The Specialty Chemicals sector, in which Clean Science & Technology Ltd operates, has seen mixed performance, with some peers maintaining stronger growth and profitability metrics. The company’s current market capitalisation grade of 3 indicates a mid-tier position within its sector, but the recent price decline has eroded market value significantly.

Overall, the stock’s recent price action and financial disclosures suggest a period of consolidation at lower levels, reflecting the market’s reassessment of the company’s growth prospects and valuation.

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