Integrated and well-established manufacturing setup.
Strategic location of our manufacturing facilities.
Experienced Promoters and Management Team.
Healthy Financial Performance.
Product Portfolio.
We derive a significant portion of our revenue from the sale of PET plastic bottles and PET Preforms and any
reduction in demand or in the manufacturing of such products could have an adverse effect on our business, results
of operations and financial condition.
We are dependent on a few suppliers for supply of raw materials and any major disruption to the timely and adequate
supplies of our raw materials could adversely affect our business, results of operations and financial condition.
Our company is significantly dependent on few customers for our revenue in a particular financial year. The loss of
any one or more of such customers may have a material effect on our business operations and profitability.
Trade Receivables, Inventories and other current assets form a substantial part of our Total Assets. Failure to manage
our trade receivables and inventories could have an adverse effect on our net sales, profitability, cash flow and
liquidity.
Our business is dependent on operating of our manufacturing facilities, which is concentrated in a single region i.e.
Gwalior, Madhya Pradesh, hence we face geographical concentration related risks. Further, the loss or shutdown of
our facilities could have a material adverse effect on our business, financial condition and results of operations.
The leasehold rights in certain properties used by our Company are yet to be transferred in our name and any delay
or failure in effecting such transfer may adversely affect our operations.
Our Company may have potential Conflicts of interest with our Promoter Group Entity/ Company as they are engaged
in similar line of business.
Our premises are not owned by us and we have only leasehold rights over such premises. In the event we lose
such rights or are required to negotiate it, our cash flows, business, financial conditions and results of operations
could be adversely affected.
Our Company, its Promoters, its Directors and our Group Company are parties to certain legal proceedings. Any
adverse decision in such proceedings may have a material adverse effect on our business, results of operations and
financial condition.
Majority of our purchases is from Related Parties in the past i.e F.Y 2023-24 and F.Y 2024-25. We may continue to
enter in such transaction in future.