Key risks
- OPM 5.2% (Dec 2025) to 9.92% (Jun 2026) in 8 quarters — verify input volatility or demand swings.
- Thin 6.72% median OPM — verify raw material and energy exposure.
- FII 0.25%, DII 0% — verify institutional avoidance reasons.
- 1y return 0.7% vs. EPS ₹5.75 (Jun 2026) — verify earnings durability.
Generated analysis · source review pending