Key risks
Valuation stretched: PE 59.41 leaves minimal margin for earnings miss or multiple compression
Margin volatility: OPM ranged 11.45% (Sep 2025) to 15.65% (Mar 2026) in recent quarters—verify if execution-driven or sector cyclicality
Weak capital returns: ROE 12.35% despite zero debt; 1-year return 0.98% despite 17.6% revenue growth—verify sources of market skepticism
Industrial cyclicality: verify customer concentration, capex cycle timing, and exposure to economic-sensitive end markets
Generated analysis · source review pending