Key risks
- Earnings volatile: net profit swings ₹9.33–₹26.69 Cr, EPS ₹1.65–₹7.72 across quarters despite stable revenue, signalling operational inconsistency or market-cycle sensitivity.
- High leverage: D/E 7.26 constrains financial flexibility, amplifies losses in volume shocks or bear markets.
- Stock down 23.77% over 1 year (52w range ₹96.73–₹192.3), reflecting investor concerns or competitive pressure.
- Institutional ownership minimal: FII 0.08%, DII 0% leaves company dependent on retail and promoter support, risking liquidity and capital access.
Generated analysis · source review pending