Key risks
- Commodity exposure: OPM fell to 2.83% (Dec 2025), net profit -4.45 Cr; verify if recovery to 13.85% holds or cyclical bounce
- Negative returns: ROE -0.91%, share down -44.96% in 1 year; verify if inflection reached or deterioration continues
- Concentration risk: FII 0.04%, DII 0.07%; verify if fundamental weakness or institutional neglect
Generated analysis · source review pending