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LISTEDSME

Vivid Electromech IPO

Open 25th Mar 2026 · Close 30th Mar 2026 · Listing 7th Apr 2026

Verified 2026-08-2489% data coverage
Issue Price₹555.00
Listing Price₹565.00
Current Price
Listing Gain1.80%
Current Return

At a glance

Updated 2026-08-24

The shares listed at ₹565.00, a 1.80% move from the issue price. Vivid Electromech is a SME IPO with an issue size of ₹130.54 crore, proposed for listing on NSE SME. The offer opens on 25th Mar 2026 and closes on 30th Mar 2026. The issue structure includes a fresh issue of ₹97.97 crore and an offer-for-sale component of ₹25.97 crore. The current listing schedule points to 7th Apr 2026.

Issue details

Listing atNSE SME
Issue typeBook Build Issue
Issue size₹130.54 Cr
Fresh issue₹97.97 Cr
Offer for sale₹25.97 Cr
Face value₹10
Price band₹528.00–₹555.00
Allotment2nd Apr 2026
Listing7th Apr 2026

Listing performance

Full performance ↗
Issue price₹555.00
Listing price₹565.00
Current price
Listing gain1.80%
Current return
Price progressionIssue → Listing → Current

Grey market

GMP page ↗
Latest GMP₹0.00
GMP / upper price0.00%
Est. listing₹555.00
GMP is unofficial sentiment data, not an exchange price.

Timeline

Opens25th Mar 2026
Closes30th Mar 2026
Allotment2nd Apr 2026
Refund6th Apr 2026
Demat6th Apr 2026
Listing7th Apr 2026

Subscription demand

Full bidding ↗
Total1.06×

Lot size

InvestorLotsSharesAmount
Minimum Bid1480₹266,400

Company

Incorporated1990

Use of proceeds

ObjectAmount
Funding the capital expenditure requirements towards setting up of a new manufacturing unit.₹43.84 Cr
Repayment of certain borrowings availed by the Company₹9.30 Cr
To meet working capital requirements of the Company₹36.00 Cr
General Corporate Purpose₹2.90 Cr
Issue Expenses₹15.63 Cr
Total₹107.67 Cr

31 Mar 2023

Assets55.14
Total Income59.63
EBITDA1.76
Profit After Tax0.06
NET Worth2.38
Reserves and Surplus14.94
Total Borrowing6.47

31 Mar 2024

Assets62.38
Total Income89.55
EBITDA7.18
Profit After Tax4.28
NET Worth6.98
Reserves and Surplus18.05
Total Borrowing4.77

31 Mar 2025

Assets115.30
Total Income155.77
EBITDA28.39
Profit After Tax20.24
NET Worth27.45
Reserves and Surplus38.29
Total Borrowing4.23

30 Sep 2025

Assets119.62
Total Income70.89
EBITDA13.50
Profit After Tax9.44
NET Worth37.03
Reserves and Surplus44.23
Total Borrowing14.17
Trend chart₹ crore

KPIs

KPIMar 31, 2025Sep 30, 2025
ROE117.61%29.29%
ROCE87.34%25.67%
Debt / Equity0.15%0.38%
RoNW73.76%
PAT Margin13.04%13.38%
EBITDA Margin18.28%19.13%
Price to Book Value14.1610.5

Valuation & shareholding

Pre-IPO EPS28.90
Post-IPO EPS22.78
Pre-IPO P/E19.2
Post-IPO P/E24.37
Promoter holding pre99.99%
Promoter holding post73.53%
Market cap₹493.27 Cr.

Issue expenses

ExpenseAmount
Funding the capital expenditure requirements towards setting up of a new manufacturing unit.₹43.84 Cr
Repayment of certain borrowings availed by the Company₹9.30 Cr
To meet working capital requirements of the Company₹36.00 Cr
General Corporate Purpose₹2.90 Cr
Issue Expenses₹15.63 Cr
Total₹107.67 Cr

Registrar & lead managers

Registrar

MUFG Intime India Pvt.Ltd.

Lead managers

  • Location

Offer documents

Data is reconciled from multiple public IPO sources. Official exchange filings and offer documents remain the source of truth. Last verified 2026-08-24.