Key risks
Profitability highly volatile: net profit ranges from +17.91 Cr to -31.61 Cr, operating margins from 18.77% to -3.34%. Verify drivers: commodity prices, input costs, or production utilization.
Return on equity 2.49% is very low; verify if current-cycle stress or structural issue.
Debt-to-equity 0.72 is moderate, but commodity businesses face working-capital strain in loss quarters—verify liquidity and covenant headroom.
Stock down 18.98% over one year, trades 37% below ₹403.9 peak; verify if undervaluation or unpriced downside.
Generated analysis · source review pending