Key risks
- Extreme operational volatility: net loss of ₹3.27 Cr in Dec 2025 (OPM 8.72%) swung to profit of ₹8.89 Cr in Mar 2026 (OPM 12.87%)—verify root causes
- ROE of 5.47% falls well below cost of capital, indicating weak capital efficiency
- High valuation: PE of 37.63 on 80.94% 1-year gain leaves minimal downside protection if profitability reverts
- Zero FII ownership and minimal DII (0.13%); verify institutional coverage and share liquidity resilience
Generated analysis · source review pending