Key risks
- Valuation: PE 95.95 is extreme; verify if earnings growth can support multiple
- Returns: ROE 0.46% despite 83–96% OPM indicates minimal shareholder value creation
- Earnings volatility: EPS ₹19.35–₹60.52 across quarters; verify portfolio concentration and drawdown risk
- Performance: stock fell 34.78% over 12 months (52-week range ₹10,655–₹22,165); evaluate portfolio positioning
Generated analysis · source review pending