Key risks
- Extreme valuation: PE of 82.54 suggests the market has priced in significant growth; verify what justifies this multiple
- Revenue volatility: peaked at ₹151.57 Cr in Mar 2025, then settled to ₹104–₹121 Cr range; underlying driver (one-time, cyclical, seasonal) should be identified
- Margin instability: OPM ranged from 12.35% to 18.15% in recent quarters, a 580 basis-point swing; verify what causes this volatility
- Stock volatility: 52-week range of ₹101.83–₹414.35 (4.1x) is extreme; verify if this reflects company-specific, sector, or liquidity risk
Generated analysis · source review pending