Key risks
- Valuation stretched: PE 43.86 priced for recovery, ROE 4.27% shows poor returns. Verify latest results.
- Revenue instability: ₹0.02–₹21.96 Cr quarterly range (2019–2021) signals fragility or seasonal swings. Confirm stabilization post-2021.
- Institutional exodus: FII 2.73%→1.83% (Mar-Jun 2026), DII down. Verify fundamental concerns or sector rotation.
- Underperformance: Stock −40.88% YoY despite dividends. Verify recovery trajectory assumptions.
Generated analysis · source review pending