Key risks
- PE 58.55 elevated — stock prices significant growth; verify if execution justifies multiple
- Profit volatile: ₹2.5 Cr (Mar 2025) to ₹7.05 Cr (Dec 2025), latest ₹9.05 Cr (Jun 2026) — sustainability unclear
- 1-year return -4.95% vs +56% revenue growth suggests market pricing deceleration or margin compression
- DII holdings 0.79% vs FII 11.29% — domestic institutional underweight; verify underlying concerns
Generated analysis · source review pending