The evidence leans negative2 supporting, 5 against, 0 worth knowing
Supporting
matches near a 52-week low, which has beaten the market by +0.45 points over 20 sessions across 47,393 past signals
revenue grew 11% year on year in the quarter ending 2026-06-30
Against
trading 16% below its 200-day average
at 3% of its 52-week range — nearly everyone who bought in the past year is underwater
down 19% over twelve months
1 of the scans it matches has historically underperformed the market
net margin has narrowed from 13.3% to 9.1% across four quarters
Worth knowing
nothing the data supports either way
What would change this read: a close back above 295, its 200-day average.
Assembled automatically from the figures on this page — the scans matched, their measured record, the filed financials, the derivatives positioning and the peer comparison. It is not a recommendation, no one has spoken to the company, and every claim above can be checked against a number further down this page.
What is working, what is not
read from the filings, with the figure behind every line
Working2
Profit rose year on year in all 4 of the last 4 quarters.
4
Revenue rose 10.6% year on year, from Rs 289 cr to Rs 319 cr.
+10.6%Rs 289 crRs 319 cr
Needs watching1
Profit grew slower than revenue, +0.5% against +10.6%.
+0.5%+10.6%
Every figure here is computed from the company’s own filings. Wording of 3 of these 3 lines was drafted by a language model, which is given the figures and may not introduce another — any sentence containing a number that did not come from the filings is discarded before it reaches this page.
How it has performed
price return over each window, measured against zero
What the scans say today
2 of 47 matched on 2026-08-21
FLAIR matches 2 of the 47 scans today, across 2 different kinds of evidence.
FLAIR trades at 19× trailing earnings, below its median of 25× over this window — 25% less expensive than usual. The band runs from the 5th to the 95th percentile, so single-day spikes do not set the edges.
This window is short by the standards of valuation history — it begins where four quarters of filed earnings first exist. A stock can look cheap against two years and expensive against ten.
Analyst call filings were typically +0.14pt vs the market over the next 5 sessions (n=3,352) · Results filings were typically -0.52pt vs the market over the next 5 sessions (n=7,520) · Other filing filings were typically -0.08pt vs the market over the next 5 sessions (n=12,093)
The business
from the company’s filed results
Everything below is taken from the company’s own quarterly filing with the exchange — the XBRL document it submitted, not a vendor’s summary of it. Figures in rupees crore.
RevenueNet profit, drawn inside its revenue barNet margin, own scale belowrupees crore, per quarter as filed. Revenue bars start at zero.
Going for it
revenue grew 11% against the same quarter a year earlier
profit rose 0% year on year
Going against it
net margin narrowed from 11.3% to 9.1%
Quarter-by-quarter numbers, as filed
Quarter
Revenue
Profit before tax
Net profit
EPS
Net margin
Q1 FY27
2026-06-30 · consolidated
319
39
29
2.71
9.1%
Q4 FY26
2026-03-31 · consolidated
323
49
37
3.40
11.3%
Q3 FY26
2025-12-31 · consolidated
318
45
33
3.11
10.4%
Q2 FY26
2025-09-30 · consolidated
321
54
43
4.04
13.3%
Q1 FY26
2025-06-30 · consolidated
289
39
29
2.72
10.0%
Q4 FY25
2025-03-31 · consolidated
298
41
31
2.93
10.3%
Quarterly filings are unaudited unless stated. Consolidated figures are used where the company files both. A single quarter is a noisy thing — the trend across the column is worth more than the top row.
Where the price stands
the same figures every scan on this site is computed from
Trend
Distance from the averages traders watch. Above all of them is a bull phase; below the 200-day is the line most investors use to say otherwise.
Versus 50-day average-4.0%
Versus 200-day average-15.6%
Below 52-week high-26.9%
Above 52-week low+1.3%
Momentum
How hard it has been pushed lately. Above 70 on RSI is stretched, below 30 is washed out — neither is a signal on its own.
RSI (14)45.4
Higher closes in last 52 of 5
Six-month return−20.12%
Risk and liquidity
What a position costs to hold and to exit. Position sizing starts with the daily swing, not with conviction.
Typical daily swing (ATR)2.63%
Volume versus 20-day0.6x
Median daily turnoverRs 2.8 cr
Recent sessions
what this stock has matched since the engine went live
This is the live record, not the backtest — the scans this stock actually appeared in on each stored session. A name that keeps reappearing is in a persistent condition; a one-day appearance usually is not.