Key risks
- OPM volatile: 14.89% (Mar 2025) to 22.31% (Dec 2025) to 17.37% (Mar 2026); verify driver (mix, costs, seasonality)
- PE 32.78 elevated for pharma; -15.5% 1-year return reflects repricing — assess valuation hold
- EPS outlier ₹4.74 (Dec 2024) vs ₹0.98–₹2.0 typical range; verify one-time items
- Weak institutional holdings (FII 2.3%, DII 0.62%); 69% promoter concentration may limit liquidity
Generated analysis · source review pending