Key risks
Revenue collapsed 70% in 15 months: ₹62.41 Cr (Dec 2024) to ₹18.47 Cr (Mar 2026), signalling client concentration or loss of major contracts.
Profitability swung from -₹7.82 Cr loss (Mar 2026) to ₹4.69 Cr profit (Dec 2024); operating margins ranged -20.84% to +22.91%, indicating project mix sensitivity or fixed-cost scale issues.
Stock down 27.85% in 1 year despite low debt (D/E 0.01), suggesting investor concern about demand durability or execution capability.
Dividend paid Feb 2025 despite losses in recent quarters; verify whether cash position and dividend policy can sustain if profitability does not recover.
Generated analysis · source review pending