Key risks
- Stock price collapsed 93% over past year with 52-week range ₹15.51–₹402.55, indicating extreme volatility and investor confidence loss
- Operating margins highly unstable: 60% (Sep 2023) → 2.4% (Dec 2023) → 10–13% (recent), reflecting inability to sustain consistent unit economics
- Quarterly revenue volatile (₹3–120 Cr range over two years) signals operational instability or unclear business scale—verify sustainable run rate
- EPS-to-profit disconnect persists: ₹12.21 Cr profit (Mar 2025) = 0 EPS while ₹6.62 Cr profit (Dec 2024) = 54.72 EPS; verify capital structure and dilution events
Generated analysis · source review pending