Key risks
- Earnings volatility: EPS ranges ₹0.93–7.53 across recent quarters and net profit swings from ₹14 Cr to ₹113 Cr; magnitude raises questions on revenue consistency or cost control.
- Valuation disconnect: PE of 28.69 on ROE of 13.03% prices in returns not yet demonstrated; verify if forward guidance justifies the premium.
- Operating-margin compression risk: OPM low of 13.98% (Dec 2025) vs. 17.42% average signals pricing or cost pressure in certain quarters—clarify if structural or cyclical.
- Stock down 29.26% over one year from 52w high ₹597.25 to ₹420.2; verify if repricing reflects deteriorating fundamentals or temporary market sentiment.
Generated analysis · source review pending