Key risks
- Key profitability metrics absent (PE n/a, OPM n/a, ROE n/a) — verify whether this reflects recent losses, data gaps, or incomplete financial establishment
- Stock volatility high: 52-week range ₹90.3–₹187.9 (108% swing) — establish whether driven by order announcements, operational setbacks, or pure sentiment
- Institutional investor exodus: FII fell from 1.74% to 1.14%, DII from 10.16% to 8.08% in latest quarter — verify if reflects operational concerns or valuation repricing
- Leverage position unknown (D/E n/a) — in capital-intensive civil construction, confirm debt levels and covenant compliance
Generated analysis · source review pending