Key risks
- Profit swung from -₹37.93 Cr loss (Dec 2024) to +₹4.64 Cr gain (Sep 2025); verify if recovery is durable.
- Operating margins of 3–5% leave minimal buffer for input-cost shocks or competitive pressure.
- Stock near 52-week high (₹1,191) with PE 217.53 after 30% annual return; verify earnings sustainability.
- ROE of 3.12% despite zero debt suggests poor capital efficiency; verify allocation strategy.
Generated analysis · source review pending