Key risks
- Revenue contracted 67% from ₹17.54 Cr (Dec 2019) to ₹5.73 Cr (Mar 2021); extent of recovery since must be verified from recent filings
- Profitability swings: net losses of ₹2.26 Cr (Dec 2020) and ₹0.67 Cr (Mar 2021), with OPM turning negative (−20.73% in Dec 2020)
- Stock down 45.39% over 1 year with 52-week range ₹129.8–₹309.05; verify what has changed in business drivers given volatility
- Zero FII and DII holdings (each 0%) as of June 2026 may signal limited institutional confidence or liquidity constraints
Generated analysis · source review pending