Key risks
Profitability opaque (PE, ROE, OPM n/a). Stock gained 212% in 1y—verify if operational strength or speculative move.
High volatility: ₹64–₹230.85 52w range (259% swing). Institutional holdings shifted—FII fell from 1.15% to 0%; DII from 0.26% to 0.03%.
Debt metrics missing (D/E n/a). Cannot assess financial risk or leverage.
Small market cap ₹298.35 Cr in commodity-exposed segment may face liquidity and scale constraints.
Generated analysis · source review pending