Readymix Construction Machinery is an engineering-led company. The company offers end-to-end turnkey solutions from conceptualization to designing, development, fabrication, and installation of plant & machinery. It further designs equipment like Dry Mix Mortar Plant, support equipment, high-capacity silos, artificial sand plants, wall putty plants, etc. The firm caters to various industries i.e., cement, concrete, crushing, construction, and building materials.

Readymix Construction Machinery IPO open date is February 6, 2025 and the IPO will close on February 10, 2025. Readymix Construction Machinery IPO price band is ₹121 to ₹123 per share. The retail quota is 35%, QIB is 50%, and HNI is 15%.

Readymix Construction Machinery IPO to list on NSE on February 13, 2025. The allotment of Readymix Construction Machinery IPO date is February 11, 2025. The company reported revenue of ₹69.84 crores in 2024 against ₹55.01 crore in 2023. The company reported profit of ₹9.28 crores in 2024 against profit of ₹2.78 crores in 2023. 

Readymix Construction Machinery IPO Details

IPO Open Date:February 6, 2025
IPO Close Date:February 10, 2025
Face Value:₹10 Per Equity Share
IPO Price Band:₹121 to ₹123 Per Share
Issue Size:Approx ₹37.66 Crores
Fresh Issue:Approx ₹37.66 Crores
IPO Listing:NSE SME
Retail Quota:Not more than 35%
QIB Quota:Not more than 50%
NII Quota:Not more than 15%

Readymix Construction Machinery IPO Timeline

IPO Open Date:February 6, 2025
IPO Close Date:February 10, 2025
Basis of Allotment:February 11, 2025
Refunds:February 12, 2025
Credit to Demat Account:February 12, 2025
IPO Listing Date:February 13, 2025

Readymix Construction SME IPO Lots

SME IPO ActivityDate
Issue Price₹121.00-123.00
Market Lot:1000 Shares
1 Lot Amount:₹123000
Min Small HNI Lots(2-10 Lakh):2000 shares (2 lots) – ₹246000
Min Big HNI Lots(10+ Lakh):9000 shares (9 lots) – ₹1107000

Readymix Construction Machinery Limited: Financial Overview & Key Insights

Period Ended31 Dec 202431 Mar 202431 Mar 202331 Mar 2022
Assets52.4338.9732.1630.16
Revenue35.569.8455.0147.83
Profit After Tax1.049.282.781.33
Net Worth19.818.759.436.63
Reserves and Surplus11.918.298.966.17
Total Borrowing16.687.97.64.68

Categorized in:

IPO,

Last Update: February 7, 2025