Key risks
- Eight consecutive quarters of negative or near-zero net profit (Jun 2019–Mar 2021) question business viability
- Zero institutional backing: FII and DII both 0%
- Promoter stake fell 2.75 percentage points in three months (19.33% Mar 2026 to 16.58% Jun 2026)
- Extreme volatility: 52-week range ₹15.27–₹68.72 (4.5x spread); 194.95% annual return suggests speculative trading dominates
Generated analysis · source review pending