Key risks
- Valuation disconnect: PE 27.59 + ROE 8.19% = minimal error margin on growth assumptions
- Margin whipsaws: OPM 7.51–23.58% across recent quarters signals execution inconsistency or mix variability
- Earnings volatility: Net profit ₹2.85–27.25 Cr per quarter questions operational predictability
- Institutional void: FII 0.23% + DII 0.27% = minimal analyst coverage, uncertain conviction
Generated analysis · source review pending