Key risks
Operating margin of 0.37% aggregate leaves virtually zero buffer against cost or revenue stress — Jun 2026 showed -3.37% OPM with -2.48 Cr net loss, illustrating extreme vulnerability
Profitability highly volatile across quarters (OPM -3.37% to +8.87%, EPS -0.81 to +3.52 Cr) — verify whether rooted in project cyclicality, client concentration, operational issues, or market exposure
Return on equity at 0.26% is extremely poor, indicating capital is not generating returns — verify if temporary cyclical weakness or structural issue with business model
Minimal institutional investor participation (FII 0.12%, DII 0.01%) suggests limited analyst coverage and institutional interest — verify research availability and institutional outlook on company's recovery prospects
Generated analysis · source review pending