Key risks
Extreme profitability volatility: negative net profit (₹-2.11 Cr) in Sep 2025 quarter, then recovery; verify structural cause and likelihood of recurrence.
Operating margins fluctuate widely (7.49% average, range -1.15% to +12.94%); verify cost structure and pricing power in competitive broking market.
High valuation (PE 31.09) relative to low returns (ROE 4.45%); verify whether recent margin improvement is durable or temporary recovery.
Minimal institutional participation (FII 0.75%, DII 0.01%) and concentrated promoter ownership (72.83%); verify governance standards and market confidence.
Generated analysis · source review pending