Key risks
- Revenue and profit swing sharply: ₹0.01 Cr revenue in Dec 2023 to ₹23.27 Cr in Q4 FY25; verify whether recent growth is structural or cyclical
- Operating margins compressed to 2.58% (Mar 2025) after spiking to 38.46% (Sep 2024); verify cost structure and margin sustainability
- Valuation (PE 1,002.82) leaves no room for disappointment: any earnings miss will trigger sharp drawdown given 93.13% 1y rally
- Stock volatility (52w range ₹214.8–₹1,107) far exceeds earnings predictability
Generated analysis · source review pending