Key risks
- Stock down 50.46% in 1y despite 18.77% ROE and 17.77% OPM — verify demand stress or execution risk
- Operating margin swung 0.6% (Mar 2026) to 25.42% (Dec 2025); quarterly profits ₹0.8–17.5 Cr — verify earnings quality and margin sustainability
- Institutional ownership minimal (FII 1.22%, DII 0.53%) — verify reasons, sector participation, coverage depth
- Industrial capex cycle exposure — demand vulnerable if investment cycle slows
Generated analysis · source review pending