Key risks
- Quarterly earnings volatile: net profit swings -₹2.81 to +₹7.16 Cr; OPM varies 1.1%–7.94%, revenue includes unexplained zero-revenue quarters
- Stock halved in 52 weeks (₹32.57 to ₹16.62); 1y return -21.6% reflects sustained underperformance
- OPM 4.42% leaves scant room for cost absorption; verify if structural or cyclical
- FII/DII both 0%, promoter holds 72.64%; limited institutional capital access
Generated analysis · source review pending