Key risks
- OPM volatility (59.32–76.01% across quarters) suggests operational inconsistency or revenue mix shifts; verify if driven by contract timing or customer changes
- 1y return 1.55% vs 52w range ₹535.2–₹901.4 indicates persistent stock underperformance and volatility despite stable earnings
- FII 0.67%, DII near zero reflect minimal institutional participation; verify if liquidity or analyst coverage gaps exist
- Telecom infrastructure revenue hinges on operator capex cycles; verify customer concentration and contract renewal risk
Generated analysis · source review pending