Key risks
- Sep 2025 consolidated net loss ₹18.83 Cr despite 12.14% OPM signals material non-operational charges — verify one-time vs recurring
- Standalone segment margin fell to 2.81% Jun 2026 from 12-13% historical — verify permanent deterioration vs temporary weakness
- ROE 9.19% and 42% YoY stock decline (₹905→₹505.25) — verify if valuation reflects business challenges and capital efficiency
- Regulatory risk in Indian telecom — verify exposure to policy changes impacting profitability or model
Generated analysis · source review pending