Key risks
Extreme profitability volatility—OPM swung -7.54% (Jun 2020) to +12.96% (Jun 2019); Mar 2020 revenue ₹45.54 Cr yielded ₹0.18 Cr profit (0.4% margin), exposing structural cost or demand sensitivity.
Valuation offers no safety margin—PE 44.31 on ROE 1.39% prices recovery not yet realized; stock down 11% YoY.
Thin operating margin (6.98%) amplifies downside if volumes slip or input costs rise.
Cyclical sector exposure—paper and forest products commodity-like; verify export concentration, input hedging, competitive position.
Generated analysis · source review pending