Key risks
- Valuation: PE of 27.86 appears elevated; verify if growth and ROE justify this multiple relative to the industry
- Margin volatility: OPM swings from 17.25% to 23.02% across recent quarters; assess what drives this range and whether it indicates operational or demand risks
- Financial leverage: D/E of 0.57 is moderate; verify refinance needs and interest-rate sensitivity of debt service
- Earnings cyclicality: Quarterly net profit ranges from ₹2,122 Cr to ₹3,492 Cr; determine whether this reflects seasonal patterns or deeper demand uncertainty
Generated analysis · source review pending