Key risks
Revenue volatility: quarterly sales ranged from ₹38.97 Cr (Dec 2020) to ₹75.28 Cr (Mar 2021), signaling unpredictable demand or execution challenges
Margin inconsistency: OPM fluctuated from 4.37% (Mar 2020) to 10.4% (Jun 2019); verify if current 9.63% reflects structural cost control or is volume-dependent
Mar 2020 loss of ₹2.17 Cr with OPM 4.37%; clarify if this reflects temporary sector stress or underlying operational fragility
Limited institutional participation: FII 0% and DII 0.07% concentrate risk among promoters and retail; assess if this affects liquidity or price discovery
Generated analysis · source review pending