Allotment of Securities |
Date of Board meeting for approval of issuance of security* | 05-10-2023 |
Whether any disclosure was made for the issuance of securities as per SEBI LODR and SEBI Circular September 09, 2015* | Yes |
If Yes, specify the date of disclosure* | 05-10-2023 |
If No, provide reason for non-disclosure* | |
Date of Board / Committee for Allotment of Securities* | 01-11-2023 |
Type of Securities Allotted* | Equity Share |
If Others, please specify | |
Type of Issuance | Preferential Issue |
If Any other method, please specify | |
If Yes, provide details of the discussion |
Paid-up share capital* | 249393160.00 |
Number of Shares* | 2,49,39,316 |
Details of such alteration of the terms or structure of any existing securities* |
Paid-up share capital* | 263816740.00 |
Number of Shares* | 2,63,81,674 |
Post allotment of securities - outcome of the subscription, | 26381674 Equity shares of Rs. 10 each |
Issue price / allotted price (in case of convertibles) | Rs. 1754.07 |
Number of investors | 9 |
Any other disclosure w.r.t. compliance of any SEBI Act, Regulation, Circular or provision | |
Any other information | |
Remarks (for Website dissemination) | |
Remarks for Exchange (not for website dissemination) | |