Key risks
- PE 35.63 elevated relative to market; verify earnings growth trajectory justifies this multiple
- ROE 5.08% significantly lags OPM 10.3%, pointing to working-capital drag or asset underutilization
- Net profit volatility from ₹5.65 Cr (Sep 2025) to ₹91.77 Cr (Mar 2026); verify source—seasonality or operational inconsistency
- Consumer discretionary cyclical; verify cost flexibility and liquidity buffer for demand downturns
Generated analysis · source review pending