#SUZLON Results Updates !!!
Q1:CONS NET PROFIT OF 2433 CR V 22 CR LOSS (YOY), 204 CR LOSS (Q0Q)
REVENUE UP 21 % AT 1377 CR (YOY) , DOWN 44 % (Q0Q)
EBITDA UP 49 % AT 211 CR (YOY) UP 15 % (Q0Q)
MARGINS AT 15.3 % V 12.9 % (YOY), 7.5 % (Q0Q)
The results seems excellent with huge margin expansion of 240 basis points. What are your views on this stock? Should an investors bet and hold it for long term ?