Key risks
- Revenue volatile across 8 quarters (₹32.91–₹40.29 Cr) despite stable 26–35% margins; verify cyclicality and one-off drivers.
- Net profit highly volatile (₹2.29–₹10.28 Cr), outlier Mar 2025 spike; verify if sustainable.
- ROE only 3.39% vs PE 10.74 suggests weak capital returns; verify if industry norm or reflects underutilization.
- Stock down 37% in 1 year, near 52-week low; verify if sector headwinds or valuation reset.
Generated analysis · source review pending