Key risks
Operating margin volatility spans 11.43% (Mar 2024) to 27.19% (Sep 2024)—verify what operational or external factors drive these swings.
EPS of zero in Mar 2025 despite net profit of ₹3.81 Cr suggests working capital stress or share capital adjustments requiring reconciliation.
ROE unavailable, making capital efficiency unassessable.
Zero institutional investor presence (0% FII, 0% DII) indicates limited institutional confidence and potential liquidity constraints.
Generated analysis · source review pending