Key risks
- PE 65.32 against volatile earnings (EPS ranged -55.09 to 206.9 recent quarters) — verify growth assumptions justify valuation
- Profit volatility: loss ₹62.05 crore Dec 2025, profit ₹71.37 crore Mar 2025 on ₹1,198 crore revenue — understand if cyclical or structural
- Operating margins 14.14% to 20.21% — verify cost control and pricing consistency
- Promoter concentration 75% — verify minority protections and liquidity depth
Generated analysis · source review pending