Key risks
- Stock down 42.71% over 1y despite 23.39% OPM; verify if driven by demand headwinds, competitive pressure, or valuation reset
- ROE and D/E n/a; unable to assess capital structure and asset efficiency — verify balance sheet and solvency
- 52-week range ₹119.5–₹339.3 (184% swing) indicates high volatility; verify if company-specific or sector-driven
- PE 21.35 without peer context; unclear if fairly priced — verify competitive position and growth prospects
Generated analysis · source review pending