Key risks
- Extreme earnings instability: net profit ranged from −₹0.52 Cr (Mar 2024) to +₹0.78 Cr (Mar 2025); high risk the recent profitability and margin do not sustain
- Missing financial data for multiple quarters (revenue unreported Jun 2024, Mar 2024, Jun 2023, Sep 2024) reduces visibility into operational consistency
- Zero institutional investors (FII 0%, DII 0%) coupled with extreme 52-week stock range (₹89.8–₹411.4, 4.6× spread) signals highly speculative stock
- Micro-scale operations (₹1.25 Cr Mar 2025 revenue) in fragmented food sector; researcher should verify market position and sustainable differentiation
Generated analysis · source review pending