/ 87 Shares
30-Apr-2026 - 05-May-2026
₹ 162 - ₹ 171
₹ 14877.00
87
54,147,391
Face Value - ₹ 1/- Per Share
Listing at NSE BSE
217,834 Application Required in Retail for 1 Time.
Registrar : KFin Technologies Limited
Fresh Issue of Equity Shares aggregating to Rs. 850 Cr and Offer for Sale of up to 4,439,788 Equity Shares
| Category | % | Shares/Amount |
|---|---|---|
| QIB | 50% | 27,073,695 Shares RS.462.96 CR |
| HNI 1 | 5% | 2,707,370 Shares RS.46.30 CR @ 2223 FORM 1X |
| HNI 2 | 10% | 5,414,739 Shares RS.92.59 CR @ 4446 FORM 1X |
| Retail | 35% | 18,951,587 Shares RS.324.07 CR @ 217834 FORM 1X |
BRLMs: JM Financial, HSBC Securities and Capital Markets, Nuvama Wealth Management, SBI Capital Markets, Centrum Broking
| Retail (Upto 2 Lakh) | HNI (2 Lakh to 10 Lakh) | HNI (Above 10 Lakh) |
|---|---|---|
| 217834 FORM 1X | 2223 FORM 1X | 4446 FORM 1X |
| Category | Lots | Shares | Amount |
|---|---|---|---|
| Retail (Upto 2 Lakh) | 1 | 87 | ₹ 14,877 |
| Retail (Upto 2 Lakh) | 13 | 1131 | ₹ 193,401 |
| S-HNI (2 Lakh to 10 Lakh) | 14 | 1218 | ₹ 208,278 |
| S-HNI (2 Lakh to 10 Lakh) | 67 | 5829 | ₹ 996,759 |
| B-HNI (Above 10 Lakh) | 68 | 5916 | ₹ 1,011,636 |
Competitive Strength
Business Strategies
BRIEF FINANCIAL DETAILS* (? In Cr)
|
Particulars |
9 Months ended Dec. 30th, 2025 |
As of March 31, |
||
|
2025 |
2024 |
2023 |
||
|
Share capital |
5.41 |
5.36 |
4.78 |
4.78 |
|
Instruments entirely equity in nature |
6.61 |
5.32 |
5.29 |
5.28 |
|
Other equity |
1,242.32 |
995.32 |
794.5 |
556.17 |
|
Net-worth |
1,254.34 |
1,005.99 |
804.57 |
566.23 |
|
Total Income |
1,583.93 |
1,352.69 |
1,700.30 |
1,001.51 |
|
Revenue from operations |
1,559.90 |
1,337.47 |
1,674.45 |
984.46 |
|
Revenue Growth (%) |
- |
(20.12) |
70.09 |
- |
|
EBITDA |
488.45 |
403.37 |
358.96 |
97.71 |
|
Restated Profit for the period/year |
199.27 |
160.62 |
197.29 |
27.67 |
|
EPS – Basic (?) |
36.98 |
33.09 |
41.27 |
6.26 |
|
RONW(%) |
21.18% |
15.97% |
24.52% |
4.89% |
|
Return on Assets (%) |
8.48% |
7.14% |
12.85% |
3.25% |
|
NAV - (?) |
231.84 |
187.58 |
168.31 |
118.45 |
|
Cash flow from operating activities |
(137.76) |
(661.43) |
(637.43) |
111.48 |
|
Cash flow from investing activities |
(145.88) |
(33.23) |
40.42 |
(72.45) |
|
Cash flow from financing activities |
340.37 |
542.34 |
312.08 |
443.59 |
| 1 | Augmenting the capital base of Subsidiary, Si Creva, to meet its future capital requirements arising out of the growth of Subsidiary, Si Crevas, business | 637.50 |
| 2 | General Corporate Purposes | |
| Total | 637.50 |
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