B.R. Goyal Inrastructure is engaged in the construction and development of infrastructure projects i.e., roads, bridges, highways, and buildings. The company carry out EPC services for third-parties, in the roads and highways, industrial parks, housing projects, commercial complex etc. It has many ongoing projects in Madhya Pradesh, Gujarat, Haryana, Uttar Pradesh, Maharashtra, Mizoram, Uttar Pradesh, and Manipur. The company as an RMC manufacturing unit with an installed capacity of 1.80 lakhs cubic meters per annum. It also has a 1.25 MW Wind Power Turbine at Jaisalmer.
B.R.Goyal IPO open date is January 7, 2025 and the IPO will close on January 9, 2025. B.R.Goyal IPO price band is ₹128 to ₹135 per share. The retail quota is 35%, QIB is 50%, and HNI is 15%. B.R.Goyal IPO to list on BSE on January 14, 2025. The allotment of B.R.Goyal IPO date is January 10, 2025.
The company reported revenue of ₹596.19 crores in 2024 against ₹353.30 crore in 2023. The company reported profit of ₹21.89 crores in 2024 against Profit of ₹17.34 crores in 2023.
B.R.Goyal IPO Details
IPO Open Date: | January 7, 2025 |
IPO Close Date: | January 9, 2025 |
Face Value: | ₹10 Per Equity Share |
IPO Price Band: | ₹128 to ₹135 Per Share |
Issue Size: | Approx ₹85.21 Crores |
Fresh Issue: | Approx ₹85.21 Crores |
IPO Listing: | BSE SME |
Retail Quota: | Not more than 35% |
QIB Quota: | Not more than 50% |
NII Quota: | Not more than 15% |
B.R.Goyal IPO Timeline
The B.R.Goyal IPO date is January 7 and the close date is January 9. The B.R.Goyal IPO allotment will be finalized on January 10 and the IPO listing on January 14.
IPO Open Date: | January 7, 2025 |
IPO Close Date: | January 9, 2025 |
Basis of Allotment: | January 10, 2025 |
Refunds: | January 13, 2025 |
Credit to Demat Account: | January 13, 2025 |
IPO Listing Date: | January 14, 2025 |
B.R.Goyal SME IPO Lots
SME IPO Activity | Date |
---|---|
Issue Price | ₹128.00-135.00 |
Market Lot: | 1000 Shares |
1 Lot Amount: | ₹135000 |
Min HNI Lots: | 2000 shares (2 lots)- ₹270000 |
B.R. Goyal Infrastructure: Key Financial Highlights and Performance
Period Ended | 31 Jul 2024 | 31 Mar 2024 | 31 Mar 2023 | 31 Mar 2022 |
Assets | 26,999.85 | 23,948.52 | 19,725.84 | 20,338.54 |
Revenue | 15,686.45 | 59,619.2 | 35,329.74 | 22,863.32 |
Profit After Tax | 194.46 | 2,188.91 | 1,733.51 | 756.09 |
Net Worth | 12,863.48 | 12,666.79 | 10,479.04 | 8,746.91 |
Reserves and Surplus | 11,124.2 | 11,797.15 | 9,609.4 | 7,877.27 |
Total Borrowing | 6,411.09 | 4,947.28 | 4,163.54 | 5,340.28 |