Consolidated Construction Consortium Limited

NSE: CCCLRealty

Consolidated Construction Consortium Limited Share Price & Analysis

₹14.27+0.56%Updated 4 Sept 2026, 03:30 pm IST
LTP
₹14.27+0.56%
Open
₹14.49
High
₹14.54
Low
₹14.12
Close
₹14.27
52W High
₹28.90
52W Low
₹12.76
Volume
119K
Lot Size
1
Sector
Realty
Market Cap
₹638 Cr
Face Value
₹2
Small Cap

Price Chart

Candle
Range

Fundamentals

P/E
Sector P/E
49.10
P/B
2.41
EPS
₹3.06
ROE
−4.32%
ROCE
−1.85%
D/E Ratio
0.00
Div Yield
0.00%
Book Value
₹6.24

Strengths

  • Virtually debt-free
  • Near 52-week low — potential value zone (₹13)

Concerns

  • Negative return on equity (ROE -4.3%)
  • Negative return on capital (ROCE -1.9%)

Peer Comparison

CompanyCMPMkt CapP/EP/BROE %ROCE %D/E
DLF
DLF Limited
682
₹1.7L Cr39.23.719.56.320.04
LODHA
Lodha Developers Limited
1,222
₹1.2L Cr29.65.2415.516.40.42
PHOENIXLTD
The Phoenix Mills Limited
1,942
₹69K Cr53.66.3311.612.80.46
PRESTIGE
Prestige Estates Projects Limited
1,587
₹68K Cr604.27.5310.40.92
OBEROIRLTY
Oberoi Realty Limited
1,876
₹68K Cr25.83.814.617.30.18
GODREJPROP
Godrej Properties Limited
1,982
₹60K Cr36.93.128.827.630.89
BRIGADE
Brigade Enterprises Limited
661
+1.04%
₹23K Cr33.32.3310.510.50.84

Showing 7 peers in the same sector · Sorted by market cap

Shareholding Pattern

CCCL · as of Mar 2026

Promoters60.05%4.11pp
FII0.02%0.01pp
DII8.93%0.61pp
Public31.00%4.72pp
CategoryDec 2024Mar 2025Jun 2025Sep 2025Dec 2025Mar 2026
Promoters15.16%15.16%62.39%62.39%64.16%60.05%
FII0.01%0.02%
DII57.13%57.13%10.01%10.01%9.54%8.93%
Public27.71%27.72%27.60%27.60%26.28%31.00%

Corporate Events

To consider and approve the financial results for the period ended March 31, 2026

Results27 Apr 2026

Annual General Meeting

AGM8 Aug 2024

Annual General Meeting

AGM19 Sept 2023

Latest News

All news

Consolidated Finvest proposes voluntary delisting from NSE

*Consolidated Finvest proposes voluntary delisting from the NSE.* The company filed disclosure under Regulation 30 and received an Initial Public Announcement dated **September 03, 2026**, under SEBI Delisting Regulations 2021. This move could impact shareholder liquidity and investment strategy. Investors should monitor the delisting process and tender offer details closely. 📊 *STOCKS:* $CONSIFINVEST | 🏢 *SECTOR:* CapitalMarkets | #HIGHIMPACT #Delisting

NSE Filing3d ago
High Impact

Lohia Corp announces Q1FY26 financial results

*Lohia Corp announces Q1FY26 financial results*. The company reported consolidated financial performance for the quarter ended June 30, 2026, during its investor meet. Key metrics include revenue of **₹1,240 crore** and net profit of **₹142 crore**, reflecting strong YoY growth. Results indicate improved margins and volume growth in petrochemicals segment. 📊 *STOCKS:* $LOHIACORP | 🏢 *SECTOR:* Chemicals | #HIGHIMPACT #Earnings

NSE Filing27 Aug
High Impact

DCM Shriram Fine Chemicals reports Q1 FY26 results

*DCM Shriram Fine Chemicals reports Q1 FY26 results* released its financial performance for the quarter ended June 30, 2026. The company reported consolidated financials with **revenue of ₹319.45 crore** and **net profit of ₹12.52 crore**. Results reflect operational performance amid ongoing market conditions. 📊 *STOCKS:* $DCMSHRIRAM | 🏢 *SECTOR:* Chemicals | #MEDIUMIMPACT #Earnings

NSE Filing14 Aug
High Impact

BF Investment reports unaudited results for quarter ended June 30, 2026

*BF Investment reports unaudited results for quarter ended June 30, 2026.* The company announced its standalone and consolidated financial results for the period ending June 30, 2026. Results are unaudited and filed with the exchange. No **major deviations or guidance changes** were highlighted in the filing. 📊 *STOCKS:* $BFIL | 🏢 *SECTOR:* CapitalMarkets | #LOWIMPACT #Earnings

NSE Filing14 Aug
High Impact

Anupam Rasayan reports Q1 FY26 financial results

*Anupam Rasayan reports Q1 FY26 financial results* with consolidated financials for the quarter ended June 30, 2026. The company disclosed its performance, including revenue and **net profit** details, reflecting business trends in the specialty chemicals segment. Key metrics like **EBITDA margin** and **operating income** showed movement versus the prior quarter. Investors await commentary on guidance and export performance. 📊 *STOCKS:* $ANUPAMRSN | 🏢 *SECTOR:* Chemicals | #HIGHIMPACT #Earnings

NSE Filing14 Aug
High Impact

V.S.T Tillers reports Q1FY26 financial results

*V.S.T Tillers reports Q1FY26 financial results*. V.S.T Tillers Tractors Limited has announced its financial results for the quarter ended June 30, 2026. The company reported consolidated financial performance, including revenue and profit metrics, though specific figures were not detailed in the filing. The results may influence near-term trading sentiment. 📊 *STOCKS:* $VSTTILLERS | 🏢 *SECTOR:* Auto | #MEDIUMIMPACT #earnings

NSE Filing13 Aug
High Impact

Mukka Proteins reports strong Q1 FY27 performance.

*Mukka Proteins reports strong Q1 FY27 performance.* The company announced robust consolidated financial results for the first quarter of FY27, showcasing significant year-on-year growth. Revenue and net profit surged to **₹120 crore** and **₹18 crore** respectively, surpassing market expectations. Operational efficiency and increased export demand drove the strong performance. 📊 *STOCKS:* $MUKKAPRO | 🏢 *SECTOR:* CapitalMarkets | #HIGHIMPACT #Earnings

NSE Filing13 Aug
High Impact

JHS Svendgaard Retail Ventures announces board meeting outcome.

*JHS Svendgaard Retail Ventures announces outcome of recent board meeting.* The company discussed strategic initiatives and approved financial statements **consolidated for 31st March, 2026**. No major operational or leadership changes were disclosed. The update is primarily procedural in nature. 📊 *STOCKS:* JHSRETLINE | 🏢 *SECTOR:* Corporate | #LOWIMPACT #BoardMeeting

NSE Filing13 Aug
High Impact

IL&FS Investment Managers reports unaudited results for Jun 2026 quarter

*IL&FS Investment Managers reports unaudited results for Jun 2026 quarter.* The company has submitted its standalone and consolidated financials for the period ended June 30, 2026. Results are unaudited and no major financial metrics were disclosed. Further details expected upon full release. 📊 *STOCKS:* $ILFSINVEST | 🏢 *SECTOR:* CapitalMarkets | #LOWIMPACT #Earnings

NSE Filing13 Aug
High Impact

Solar Industries reports Q1 standalone and consolidated results

*Solar Industries reports Q1 standalone and consolidated results*. The company released unaudited financial results for the quarter ended June 30, 2026. Key figures include revenue of **₹1,842.3 Cr** and net profit of **₹167.5 Cr**. Margins improved YoY due to higher operating efficiency and cost optimization. The stock rose **4.2%** on the announcement. 📊 *STOCKS:* $SOLARINDS | 🏢 *SECTOR:* CapitalMarkets | #HIGHIMPACT #Earnings

NSE Filing13 Aug
High Impact

Financials

Quarterly Results

MetricDec 2025Sep 2025Jun 2025Mar 2025Dec 2024Sep 2024Jun 2024Mar 2024
Revenue
₹74.14 Cr
12.2%
₹66.06 Cr
28.7%
₹51.31 Cr
14.1%
₹44.96 Cr
13.8%
₹52.17 Cr
7.9%
₹56.63 Cr
100.6%
₹28.23 Cr
5.5%
₹29.86 Cr
Op. Profit
₹0.93 Cr
124.0%
₹-3.87 Cr
82.2%
₹-21.69 Cr
186.5%
₹-7.57 Cr
73.4%
₹-28.49 Cr
109.8%
₹-13.58 Cr
224.9%
₹-4.18 Cr
91.2%
₹-47.7 Cr
OPM
1.3%
121.3%
-5.9%
86.1%
-42.3%
151.0%
-16.8%
69.2%
-54.6%
127.7%
-24.0%
61.9%
-14.8%
90.7%
-159.8%
Net Profit
₹3.52 Cr
918.6%
₹-0.43 Cr
100.6%
₹77.94 Cr
39.4%
₹55.92 Cr
574.3%
₹-11.79 Cr
125.6%
₹46.08 Cr
1893.0%
₹-2.57 Cr
100.2%
₹1.3K Cr
EPS (₹)
0.08
900.0%
-0.01
100.6%
1.74
39.2%
1.25
546.4%
-0.28
124.1%
1.16
2033.3%
-0.06
100.2%
33.52

Values in ₹ Cr · Source: Screener.in

Annual Profit & Loss

MetricMar 2026Mar 2025Mar 2024Mar 2023Mar 2022Mar 2021Mar 2020Mar 2019Mar 2018Mar 2017
Revenue
₹295 Cr
62.1%
₹182 Cr
38.9%
₹131 Cr
5.8%
₹139 Cr
6.1%
₹131 Cr
35.8%
₹204 Cr
40.7%
₹344 Cr
26.0%
₹465 Cr
1.3%
₹471 Cr
19.6%
₹586 Cr
Expenses
₹328 Cr
39.0%
₹236 Cr
68.5%
₹750 Cr
338.6%
₹171 Cr
10.9%
₹192 Cr
23.5%
₹251 Cr
38.0%
₹405 Cr
12.3%
₹462 Cr
6.1%
₹492 Cr
18.0%
₹600 Cr
Op. Profit
₹-33 Cr
38.9%
₹-54 Cr
91.3%
₹-619 Cr
1834.4%
₹-32 Cr
48.4%
₹-62 Cr
29.2%
₹-48 Cr
21.3%
₹-61 Cr
2133.3%
₹3 Cr
114.3%
₹-21 Cr
50.0%
₹-14 Cr
OPM
-11.0%
63.3%
-30.0%
93.7%
-474.0%
1960.9%
-23.0%
51.1%
-47.0%
104.3%
-23.0%
27.8%
-18.0%
1900.0%
1.0%
120.0%
-5.0%
150.0%
-2.0%
Other Income
₹120 Cr
32.6%
₹178 Cr
86.2%
₹1.3K Cr
32175.0%
₹4 Cr
33.3%
₹6 Cr
82.9%
₹35 Cr
75.0%
₹20 Cr
56.5%
₹46 Cr
30.3%
₹66 Cr
247.4%
₹19 Cr
Interest
₹6 Cr
60.0%
₹15 Cr
11.8%
₹17 Cr
78.5%
₹79 Cr
1.3%
₹78 Cr
6.0%
₹83 Cr
24.5%
₹110 Cr
5.2%
₹116 Cr
6.5%
₹124 Cr
15.6%
₹147 Cr
Depreciation
₹2 Cr
60.0%
₹5 Cr
0.0%
₹5 Cr
16.7%
₹6 Cr
14.3%
₹7 Cr
22.2%
₹9 Cr
28.6%
₹7 Cr
16.7%
₹6 Cr
25.0%
₹8 Cr
52.9%
₹17 Cr
PBT
₹79 Cr
24.0%
₹104 Cr
84.0%
₹649 Cr
669.3%
₹-114 Cr
19.7%
₹-142 Cr
36.5%
₹-104 Cr
34.2%
₹-158 Cr
116.4%
₹-73 Cr
16.1%
₹-87 Cr
45.3%
₹-159 Cr
Tax %
0.0%
100.0%
16.0%
500.0%
-4.0%
300.0%
-1.0%
0.0%
-1.0%
0.0%
-1.0%
0.0%
100.0%
-1.0%
0.0%
0.0%
Net Profit
₹79 Cr
10.2%
₹88 Cr
86.9%
₹673 Cr
695.6%
₹-113 Cr
19.9%
₹-141 Cr
36.9%
₹-103 Cr
34.4%
₹-157 Cr
118.1%
₹-72 Cr
17.2%
₹-87 Cr
45.3%
₹-159 Cr
EPS (₹)
1.77
9.7%
1.96
88.4%
16.88
698.6%
-2.82
20.1%
-3.53
36.8%
-2.58
34.5%
-3.94
117.7%
-1.81
17.0%
-2.18
45.4%
-3.99
Div Payout
0.0%
0.0%
0.0%
0.0%
0.0%
0.0%
0.0%
0.0%
0.0%
0.0%

Values in ₹ Cr · Source: Screener.in

Balance Sheet

ItemSep 2025Mar 2025Mar 2024Mar 2023Mar 2022Mar 2021Mar 2020Mar 2019Mar 2018Mar 2017
Liabilities
Equity Capital
₹89 Cr
0.0%
₹89 Cr
11.3%
₹80 Cr
0.0%
₹80 Cr
0.0%
₹80 Cr
0.0%
₹80 Cr
0.0%
₹80 Cr
0.0%
₹80 Cr
0.0%
₹80 Cr
0.0%
₹80 Cr
Reserves
₹188 Cr
70.9%
₹110 Cr
311.5%
₹-52 Cr
92.8%
₹-725 Cr
18.3%
₹-613 Cr
29.3%
₹-474 Cr
27.8%
₹-371 Cr
73.4%
₹-214 Cr
52.9%
₹-140 Cr
137.3%
₹-59 Cr
Borrowings
₹0 Cr
₹0 Cr
100.0%
₹141 Cr
90.7%
₹1.5K Cr
4.1%
₹1.5K Cr
3.9%
₹1.4K Cr
3.4%
₹1.4K Cr
18.6%
₹1.1K Cr
2.9%
₹1.1K Cr
17.0%
₹1.3K Cr
Other Liabilities
₹167 Cr
24.8%
₹222 Cr
40.6%
₹374 Cr
22.2%
₹306 Cr
0.0%
₹306 Cr
7.0%
₹329 Cr
1.5%
₹324 Cr
32.5%
₹480 Cr
6.3%
₹512 Cr
49.7%
₹342 Cr
Total Liabilities
₹445 Cr
5.5%
₹422 Cr
22.1%
₹542 Cr
53.9%
₹1.2K Cr
4.2%
₹1.2K Cr
8.2%
₹1.3K Cr
3.8%
₹1.4K Cr
6.6%
₹1.5K Cr
4.7%
₹1.6K Cr
8.2%
₹1.7K Cr
Assets
Fixed Assets
₹70 Cr
65.7%
₹204 Cr
1.9%
₹208 Cr
45.1%
₹379 Cr
1.8%
₹386 Cr
1.8%
₹393 Cr
2.2%
₹402 Cr
55.8%
₹258 Cr
2.3%
₹264 Cr
39.4%
₹436 Cr
CWIP
₹0 Cr
₹0 Cr
₹0 Cr
100.0%
₹23 Cr
0.0%
₹23 Cr
0.0%
₹23 Cr
0.0%
₹23 Cr
0.0%
₹23 Cr
0.0%
₹23 Cr
0.0%
₹23 Cr
Investments
₹0 Cr
₹0 Cr
₹0 Cr
₹0 Cr
₹0 Cr
₹0 Cr
₹0 Cr
₹0 Cr
100.0%
₹1 Cr
50.0%
₹2 Cr
Other Assets
₹374 Cr
71.6%
₹218 Cr
34.7%
₹334 Cr
56.9%
₹775 Cr
5.5%
₹820 Cr
11.1%
₹922 Cr
4.5%
₹965 Cr
20.2%
₹1.2K Cr
5.3%
₹1.3K Cr
2.8%
₹1.2K Cr
Total Assets
₹445 Cr
5.5%
₹422 Cr
22.1%
₹542 Cr
53.9%
₹1.2K Cr
4.2%
₹1.2K Cr
8.2%
₹1.3K Cr
3.8%
₹1.4K Cr
6.6%
₹1.5K Cr
4.7%
₹1.6K Cr
8.2%
₹1.7K Cr

Values in ₹ Cr · Source: Screener.in

Cash Flow Statement

ItemMar 2025Mar 2024Mar 2023Mar 2022Mar 2021Mar 2020Mar 2019Mar 2018Mar 2017Mar 2016
Operating CF
₹156 Cr
205.9%
₹51 Cr
₹0 Cr
100.0%
₹8 Cr
0.0%
₹8 Cr
50.0%
₹16 Cr
61.9%
₹42 Cr
14.3%
₹49 Cr
14.0%
₹57 Cr
145.2%
₹-126 Cr
Investing CF
₹-13 Cr
110.3%
₹126 Cr
₹0 Cr
100.0%
₹2 Cr
100.0%
₹1 Cr
150.0%
₹-2 Cr
113.3%
₹15 Cr
200.0%
₹5 Cr
150.0%
₹-10 Cr
300.0%
₹5 Cr
Financing CF
₹-80 Cr
54.0%
₹-174 Cr
17300.0%
₹-1 Cr
80.0%
₹-5 Cr
28.6%
₹-7 Cr
63.2%
₹-19 Cr
69.4%
₹-62 Cr
29.2%
₹-48 Cr
2.1%
₹-47 Cr
195.9%
₹49 Cr
Net Cash Flow
₹63 Cr
2000.0%
₹3 Cr
250.0%
₹-2 Cr
150.0%
₹4 Cr
100.0%
₹2 Cr
150.0%
₹-4 Cr
0.0%
₹-4 Cr
180.0%
₹5 Cr
400.0%
₹1 Cr
101.4%
₹-71 Cr
Free Cash Flow
₹156 Cr
14.3%
₹182 Cr
18300.0%
₹-1 Cr
112.5%
₹8 Cr
14.3%
₹7 Cr
56.3%
₹16 Cr
61.9%
₹42 Cr
14.3%
₹49 Cr
19.5%
₹41 Cr
132.5%
₹-126 Cr

Values in ₹ Cr · Source: Screener.in

Key Ratios History

MetricMar 2025Mar 2024Mar 2023Mar 2022Mar 2021Mar 2020Mar 2019Mar 2018Mar 2017Mar 2016
Debtor Days
86d
32.3%
65d
53.6%
140d
45.7%
258d
20.6%
214d
43.6%
149d
2.6%
153d
53.1%
326d
30.4%
250d
50.3%
503d
Inventory Days
186d
62.8%
500d
27.0%
685d
42.8%
1198d
173.5%
438d
49.0%
294d
21.0%
243d
0.8%
245d
45.8%
168d
64.1%
468d
Days Payable
471d
58.0%
1122d
13.7%
987d
40.4%
1657d
216.8%
523d
11.0%
471d
42.7%
330d
2.2%
323d
59.1%
203d
66.7%
610d
Cash Conv. Cycle
-200d
64.1%
-557d
243.8%
-162d
19.4%
-201d
255.8%
129d
560.7%
-28d
143.1%
65d
73.8%
248d
14.8%
216d
40.2%
361d
Working Capital Days
-188d
72.5%
-683d
83.4%
-4117d
1.2%
-4067d
68.7%
-2411d
84.5%
-1307d
307.2%
-321d
44.6%
-222d
18.7%
-273d
183.7%
326d
ROCE
0.0%
100.0%
-119.0%
2875.0%
-4.0%
42.9%
-7.0%
133.3%
-3.0%
0.0%
-3.0%
175.0%
4.0%
100.0%
2.0%
300.0%
-1.0%
66.7%
-3.0%

Source: Screener.in · Lower days = better efficiency

About Consolidated Construction Consortium Limited

Incorporated in 1997, Consolidated Construction Consortium Limited is is an integrated turnkey construction service provider which is engaged in construction design, engineering, procurement, construction and project management.

RealtyRealty

Frequently Asked Questions

What is Consolidated Construction Consortium Limited share price today?
Consolidated Construction Consortium Limited (CCCL) is currently trading at ₹14.27 on NSE, up 0.56% as of the last market session. Prices update daily after market close on MarketNetra.
Is Consolidated Construction Consortium Limited available in F&O (Futures & Options)?
Yes, Consolidated Construction Consortium Limited (CCCL) is part of the NSE F&O segment with a lot size of 1 shares. Options are available with monthly expiry contracts. You can track the full option chain and OI analysis on MarketNetra.
What is Consolidated Construction Consortium Limited 52-week high and low?
Consolidated Construction Consortium Limited's 52-week high is ₹28.9 and the 52-week low is ₹12.76. The current price of ₹14.27 is 50.6% below the 52W high.
What is Consolidated Construction Consortium Limited P/E ratio?
Consolidated Construction Consortium Limited's P/E ratio and other fundamental metrics including P/B, ROE, and ROCE are available on the overview page. Data is sourced weekly from Screener.in.
How to trade Consolidated Construction Consortium Limited options?
Consolidated Construction Consortium Limited options are traded on NSE with monthly expiry contracts (lot size: 1 shares). To trade CCCL options: select your expiry on the option chain page, identify key OI strikes, check the PCR and buildup type on OI analysis, and review FII/DII flows for institutional sentiment before taking a position.