31 Mar 2022
Assets221.84
Total Income361.11
EBITDA38.52
Profit After Tax16.93
NET Worth24.57
Reserves and Surplus37.82
Total Borrowing87.54
Open 13th Jun 2025 · Close 17th Jun 2025 · Listing 20th Jun 2025
The shares listed at ₹634.00, a 3.26% move from the issue price. Oswal Pumps is a Mainboard IPO with an issue size of ₹1,387.34 crore, proposed for listing on BSE, NSE. The offer opens on 13th Jun 2025 and closes on 17th Jun 2025. The issue structure includes a fresh issue of ₹890.00 crore and an offer-for-sale component of ₹497.34 crore. The current listing schedule points to 20th Jun 2025.
| Investor | Lots | Shares | Amount |
|---|---|---|---|
| Minimum Bid | 1 | 24 | ₹14,736 |
| Object | Amount |
|---|---|
| Funding certain capital expenditure of the Company. | ₹89.86 Cr |
| Investment in the wholly-owned Subsidiary, Oswal Solar, in the form of debt or equity, for funding the setting up of new manufacturing units at Karnal, Haryana. | ₹272.76 Cr |
| Pre-payment/ re-payment, in part or full, of certain outstanding borrowings availed by the Company. | ₹280.00 Cr |
| Investment in the wholly-owned Subsidiary, Oswal Solar, in the form of debt or equity, for repayment/prepayment, in part or full, of certain outstanding borrowings availed by Oswal Solar. | ₹31.00 Cr |
| General Corporate Purposes | ₹167.90 Cr |
| Issue Expenses | ₹75.54 Cr |
| Total | ₹917.05 Cr |
| KPI | Mar 31, 2024 |
|---|---|
| ROCE | 81.85% |
| Debt / Equity | 0.42% |
| RoNW | 88.73% |
| PAT Margin | 12.83% |
| EBITDA Margin | 19.79% |
| Price to Book Value | 38.14 |
| Expense | Amount |
|---|---|
| Funding certain capital expenditure of the Company. | ₹89.86 Cr |
| Investment in the wholly-owned Subsidiary, Oswal Solar, in the form of debt or equity, for funding the setting up of new manufacturing units at Karnal, Haryana. | ₹272.76 Cr |
| Pre-payment/ re-payment, in part or full, of certain outstanding borrowings availed by the Company. | ₹280.00 Cr |
| Investment in the wholly-owned Subsidiary, Oswal Solar, in the form of debt or equity, for repayment/prepayment, in part or full, of certain outstanding borrowings availed by Oswal Solar. | ₹31.00 Cr |
| General Corporate Purposes | ₹167.90 Cr |
| Issue Expenses | ₹75.54 Cr |
| Total | ₹917.05 Cr |