Key risks
Operating margin of -35.89% with negative readings through Mar 2026; Jun 2026 shows 2.64–3.13% margin — verify if recovery is structural or cyclical
ROE at -8.02% signals capital destruction and limited capacity for organic growth investment
Revenue volatility from ₹7.64 Cr (Dec 2025) to ₹14.37 Cr (Jun 2026) — verify sustainability of recovery and underlying drivers
Negligible institutional holdings (FII 0%, DII 0.02%) may limit analyst coverage and valuation discipline — verify liquidity impact
Generated analysis · source review pending