Company Name | Pyramid Technoplast Limited IPO |
For the Period Ended | Mar-23 | Mar-22 | Mar-21 |
Total Assets | 22,578.16 | 18,375.59 | 15,345.57 |
Net Assets | 10,725.02 | 7,520.36 | 4,884.60 |
Total Borrowings | 5,534.36 | 6,476.51 | 5,129.61 |
Total Revenue | 48,202.73 | 40,264.15 | 31,617.63 |
Profit After Tax | 3,176.10 | 2,615.10 | 1,699.20 |
Opening Date | |
Closing Date | |
Basis of Allotment | |
Initiation of Refunds | |
Credit of Shares to Demat | |
Listing Date |
Repayment and/or pre-payment, in full or part, of certain outstanding borrowings availed by the company. |
Funding of long-term working capital requirements. |
General corporate purposes. |
Registered Office | Office No.2, 2nd Floor, Shah Trade Centre, Rani Sati Marg, Near W.E Highway, Malad (East), Mumbai - 400 097 |
Phone | +91 22 4276 1547 |
cs@pyramidtechnoplast.com | |
Website | https://pyramidtechnoplast.com/ |
file:///C:/Users/Sharma%20Pagaria/Desktop/Tarak/IPOs/Pyramid%20Technoplast%20Limited/Pyramid-Technoplast-Limited-RHP.pdf |
Name | Bigshare Services Pvt Ltd |
Phone | +91-22-6263 8200 |
ipo@bigshareonline.com | |
Website | https://ipo.bigshareonline.com/ipo_status.html |
Pre-Issue | ₹ 519 CR |
Post-Issue | ₹ 611 CR |