Key risks
- PE 26.48 vs ROE 14.69%: premium to returns; earnings miss triggers reset
- 1y return -20.53% despite steady quarterly profit; verify cause—sector rotation, credit stress, fund flow
- OPM ranged 24.58%–29.83%; verify if cycle-driven, cost-driven, or quality-driven
- Promoter 68.86%, free float 31.14%; verify trading depth for exit
Generated analysis · source review pending