Key risks
Margin compression: OPM swings 5.93–22.12% across recent quarters; verify what drives low-margin periods (product mix, gold prices, seasonal, or operational)
Revenue volatility: quarterly revenues range ₹100–320 Cr (2–3x variance); seasonal or operational—verify business model resilience
Commodity exposure: gems and precious metals costs fluctuate sharply; verify hedging practices and cost pass-through ability
Institutional traction: FII 1.99%, DII 0.78% indicate limited analyst coverage—verify liquidity and price discovery efficiency
Generated analysis · source review pending