Key risks
- PE 76.94 stretched against current profitability; verify sustainability if cyclical downturn persists
- Margins compressed from 8.45% (Mar 2026) to 4.48% (Jun 2026); thin 7.47% average reflects commodity exposure and input-cost volatility
- Net profit ranged ₹2–7 Cr quarterly with sharp swings; verify if recent compression signals structural shift or typical cycle
- Aluminium commodity exposure and input-cost volatility; assess pricing power and cost-hedging practices
Generated analysis · source review pending