Key risks
Valuation: PE 87.74 elevated against ROE 10.45%; verify order book depth and capex plans support multiple.
Earnings volatility: Net profit ₹0.4–27.7 Cr across quarters; OPM ranges 8.92–18.28%, indicating project lumpiness or customer concentration.
Sector cyclicality: Defense capex depends on government budgets and geopolitics; verify forward visibility and budget commitments.
Institutional backing: FII and DII combined hold 3.42%; verify analyst coverage and trading liquidity.
Generated analysis · source review pending