1.5
Strong Sell
Last Updated: 14 Feb 2026, 10:31 pm IST | Report Date: Feb 14, 2026

Kridhan Infra Limited Stock Analysis

KRIDHANINF NSE India

Kridhan Infra Limited (KRIDHANINF) is a India-based company listed on NSE. This AI-powered analysis provides investment insights based on quarterly earnings reports and financial performance metrics.

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Kridhan Infra Limited faces severe financial distress with accumulated losses leading to fully eroded net worth and defaults on working capital borrowings, triggering a going concern uncertainty explicitly flagged by auditors. The company's consolidated results show negligible revenue activity (Rs. 0.00 lakhs from wholly owned subsidiary) and continued losses (Rs. 0.69 lakhs comprehensive loss), indicating complete operational paralysis. The auditor's qualified opinion highlights material uncertainty about the company's ability to continue operations, while missing financial information from an associate company (Vijay Nirman) whose investment has already been fully impaired demonstrates deteriorating asset quality. With no meaningful revenue generation, mounting defaults, and regulatory red flags in the audit report, this represents a distressed situation with potential insolvency risk.

Based on: Kridhan Infra Limited - Financial Results (14/2/2026) (Feb 14, 2026)

AI Investment Score & Analysis

+ Key Strengths

Consolidated structure includes wholly owned subsidiary Kridhan Infra Solutions Private Limited showing organizational framework for potential future operations
Company continues to file regulatory disclosures under SEBI Listing Regulations demonstrating ongoing compliance efforts despite financial stress
Auditors completed limited review under SRE 2410 standards providing third-party validation of reported figures
Management has prepared accounts on going concern basis suggesting confidence in restructuring or turnaround plans not yet disclosed in this quarterly report

- Key Risks

Net worth fully eroded due to accumulated losses creating negative equity and potential delisting risk under exchange regulations
Active defaults on working capital borrowings indicate inability to service debt and potential creditor-driven insolvency proceedings under IBC
Material going concern uncertainty explicitly highlighted by auditors in both standalone and consolidated reports questioning viability as operating entity
Zero revenue generation (Rs. 0.00 lakhs) from subsidiary and comprehensive loss of Rs. 0.69 lakhs showing complete cessation of business activities
Investment in associate Vijay Nirman Company already fully impaired with no current financial information received demonstrating failed strategic bets
Subsidiary Readymade Steel Singapore excluded from consolidation suggesting international operations abandoned or non-operational

Forward Outlook

The report provides no forward-looking guidance, new initiatives, expansion plans, or strategic announcements for the quarter ended December 31, 2025. The complete absence of revenue generation and ongoing defaults suggest the company is in survival mode focused on restructuring or debt resolution rather than growth initiatives. With no disclosed catalysts, pipeline projects, or turnaround plans mentioned in the quarterly filing, investors should expect continued financial distress in coming quarters unless a comprehensive restructuring plan or strategic investor is announced. The going concern flag indicates management may be pursuing out-of-court settlements with creditors or exploring corporate insolvency resolution, though no specific timeline or framework is provided in this report.

Score History

All Scores

Date Report Score Sentiment AI
Feb 14, 2026 Kridhan Infra Limited - Financial Results (14/2/2026) 1.5 Strong Sell Claude

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Frequently Asked Questions

What is the AI Stock Score?

The AI Stock Score is a composite rating from 0-10 generated by analyzing quarterly earnings reports using three leading AI models (Google Gemini, Anthropic Claude, and OpenAI ChatGPT). Each AI independently evaluates financial performance, growth prospects, risks, and market positioning to provide an objective investment perspective.

How should I interpret Buy/Hold/Sell ratings?

Buy (7.0-10.0): Strong fundamentals and positive outlook. Hold (4.0-6.9): Mixed signals, suitable for existing positions. Sell (0-3.9): Deteriorating fundamentals or significant risks. These are AI-generated opinions for informational purposes only, not investment advice.

How is the composite score calculated?

The composite score is the mathematical average of the latest scores from each AI provider. For example, if Gemini rates 7.5, Claude rates 4.5, and ChatGPT rates 6.0, the composite score would be (7.5+4.5+6.0)/3 = 6.0. This multi-AI approach reduces bias from any single model.

How often are scores updated?

Scores are automatically generated within hours of quarterly earnings results being published on NSE. The system monitors earnings announcements 4 times daily and processes new reports immediately. Check the "Last Updated" date at the top of this page for the most recent analysis timestamp.

Is this financial advice?

No. This is AI-generated analysis for informational and educational purposes only. MarketsHost is not a SEBI-registered Research Analyst or Investment Adviser. AI models can produce inaccurate results. Always consult a qualified financial advisor and conduct your own due diligence before making investment decisions.