BV=25.5, IV=40
Positive: OPM>50%, CAGR=18% last 5 yrs, NPA reduced, Net Profit increased last 5 yrs, PE<10, PEG<1
Negative: Huge Debt/Borrowings/Liabilities, increased for last few yrs, ROCE<10%, Debt to Equity>8, ROE<5 last 3 yrs, Poor Sales growth p.a., Net cashflow
Accumulate the stocks in proper support as drawn; a route to find the root to reach safely