Key risks
- Margin and profit volatility: Operating margins swung from -12.13% (Dec 2023) to 7.44% (Mar 2025), and latest quarter (Mar 2025) posted ₹4.83 Cr loss despite ₹111.76 Cr revenue.
- Low returns: ROE of 7.4% suggests weak competitive advantage and limited pricing power in commodity sector.
- Commodity price exposure: Aluminium prices and demand subject to macro cycles and imports—verify hedging practices and end-market concentration.
- Institutional absence: 0% FII and 0% DII holdings may indicate limited visibility or investor confidence; liquidity and analyst coverage risks.
Generated analysis · source review pending