Key risks
Earnings volatility: net profit swung from ₹75.99 Cr (Sep 2025) to -₹20.01 Cr loss (Dec 2025) to ₹48.37 Cr (Jun 2026); verify demand cyclicality and order backlog trends
Operating margins ranged 2.12–7.01% across four recent quarters; clarify whether swings reflect volume, pricing power, or raw material cost pass-through
PE ratio of 36.23 vs. ROE of 2.76% suggests valuation disconnect; verify if price reflects expectations not yet supported by return on capital
Stock down 30.76% over 12 months and trading near 52-week low; identify catalysts and timeline for recovery
Generated analysis · source review pending