Key risks
- OPM volatility: 17.48% (Jun 2026) to -45.25% (Dec 2025); average 4.63% is thin. Verify project delivery schedule.
- Dec 2025 loss: -₹8.67 Cr net, -45.25% OPM despite D/E 0.51. Confirm if temporary or structural.
- ROE 3.37% very low; capital efficiency weak. Verify if thin margins or asset-heavy model drives this.
- Stock -37% in 1y (₹371.45 near 52w low ₹369.65 vs ₹657.7 high) despite PE 35.79. Verify if market reprices execution risk or sector headwinds.
Generated analysis · source review pending