Key risks
High PE of 52.24 limits margin of safety; confirm earnings trajectory and growth rate justify this valuation multiple
Operating margin swings from 12.46% to 18.32% across recent quarters signal exposure to input costs or demand fluctuations; verify paint-sector inflation trends and company pricing power
Stock returned -0.16% over 1y despite positive net profit, with 52w range of ₹404.5–₹590.1 (46% volatility); clarify whether weakness reflects valuation reset or underlying demand concerns
Paints tied to construction and housing; verify demand stability in current economic environment and cycle position
Generated analysis · source review pending