Key risks
High valuation multiple: PE of 68.61 significantly exceeds typical pharma sector multiples — verify earnings growth trajectory and sustainability
Profit volatility: OPM fluctuates between 31.13% and 42.96% quarter-to-quarter, and quarterly revenue ranged ₹305–432 Cr — verify drivers and stability of margins
Massive 1-year return of 149.89%: verify if current valuation reflects sustainable growth or speculative momentum
Profitability concentrated in maintaining operating margins — input cost inflation or pricing pressure could compress OPM and EPS
Generated analysis · source review pending