Key risks
- Extreme valuation (PE 83.55) leaves no buffer for earnings disappointment
- Earnings volatile: net profit swung -₹8.77 Cr loss (Mar 2026) to +₹17.76 Cr profit (Jun 2026); EPS ranged -6.63 to 13.21
- Operating inconsistency: OPM fluctuated 7.7%–11.15% across recent quarters
- Leverage amplifies volatility: D/E ratio 1.09 magnifies impact of earnings swings on shareholder returns
Generated analysis · source review pending