TCS
TCS
Short-term Fundamentals stable—margin expansion possible, deal pipeline strong. Valuation (~22× FY27E) implies limited downside
Long-term Strong structural positioning: large deal wins ($9.4 bn TCV), AI-led growth, high margins. Dividend adds appeal.
Risks: Weak global discretionary IT spending, attrition pressure, currency/cost headwinds.
#Post-ClosingCommentary#WatchOutFor#HiddenGems#Miscellaneous#PersonalFinance

485 likes·65 comments

















