Key risks
- Valuation stretched: PE 31.93 reflects 126% 12-month return; verify what fundamentals justified rerating and whether momentum sustains
- Growth stalled: Jun 2026 consolidated revenue ₹198.28 Cr grew only 4.2% YoY (vs ₹190.33 Cr Jun 2025); verify if market demand, competition, or supply constraints limit expansion
- Margin volatility: consolidated OPM ranges 14.92%–17.09% across recent quarters while standalone swings 16.25%–23.11%; verify whether divergence reflects cyclical order timing or structural portfolio differences
- Institutional adoption thin: FII holdings 1.18% (Jun 2026) negligible; verify reasons for weak external capital interest
Generated analysis · source review pending