Key risks
- High valuation at PE 94.92; verify earnings trajectory to support multiple
- Revenue volatility exposed (₹37.94 Cr in Mar 2021 vs. ₹6.87 Cr in Jun 2020 during lockdown); assess cyclical exposure
- Operating margins range 9.77%–24.41%, indicating operational sensitivity; Jun 2020 loss (-64.45% OPM) showed downside risk
- Zero institutional holdings (FII 0%, DII 0%); verify liquidity constraints and coverage gaps from concentration
Generated analysis · source review pending