Key risks
- No profitability metrics disclosed (PE, ROE, OPM, D/E all n/a)—verify whether earnings fall below disclosure thresholds, are negative, or reflect data gaps.
- Foreign institutional investors exited sharply: FII stake fell from 2.6% (Sep 2025) to 0.57% (Mar 2026)—investigate ~78% reduction.
- Stock price volatility over 52 weeks: ₹284.85–₹486.5 (~70% range)—assess if driven by earnings volatility, macro cycles, or low liquidity.
- IT services subject to global client spending cycles and macro slowdowns—confirm revenue concentration, contract duration, client stickiness.
Generated analysis · source review pending