Key risks
High leverage: D/E 4.49; margin volatility 11.11%–19.41% across quarters compounds debt servicing risk.
Valuation: PE 29.05 elevated; verify earnings growth justifies multiple.
Institutional exit: FII stake fell 3.89 points to 20.68% (Mar–Jun 2026) despite 43% annual return; understand catalyst.
Demand cycle: CV sector linked to infrastructure spending and rural income; verify current cycle durability.
Generated analysis · source review pending