Key risks
Operating margins persistently negative except 2 recent quarters (range -56.83% to +5.86%); verify if structural cost issues or driven by one-time items
Extreme net profit volatility (₹-21.12 to ₹5,081.7 Cr on ₹160–312 Cr stable revenue); several quarters show net profit >> quarterly revenue — verify accounting sources and whether repeatable
Market skepticism evident in 28% share price decline YoY and PE ratio of 0.46 despite recent positive results; suggests doubts about quality or sustainability
Share price fell from ₹725.3 (52w high) to ₹411.45 — verify if demand weakness, competitive pressure, or sector cyclicality
Generated analysis · source review pending