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Dhanwel Hybrid Seeds Ltd

FMCGIPOSME
₹99 - 99
₹99 - 99

Our Company is engaged in the business of seed manufacturing, which includes the development, multiplication, processing, and supply of seeds for a variety of field crops and vegetables. The seed production process is carried out in a structured manner across multiple stages and involves the use of improved genetic seed material procured from recognised sources. Such seed material is multiplied, processed, conditioned, and handled in accordance with prescribed agronomic and processing practices to produce seeds suitable for agricultural use, including seeds supplied to farmers for crop cultivation.

Lot1,200Min Invest₹2,37,600Face Value₹10Issue Size₹27 CrFresh Issue₹27 CrListing Price₹99CMP₹77

Timeline

19 Aug
Bidding opens
21 Aug
Bidding closes
24 Aug
Allotment
25 Aug
Refund & demat credit
26 Aug
Listing

Subscription

Subscription opens once dates are announced

Reports

Offer Details

Terms

Issue Size₹27 Cr0.27 Cr shares
Fresh Issue₹27 Cr
Face Value₹10
Lot Size1,200 shares
ReservationQIB 1.12% · NII 49.44% · RETAIL 49.44%

Application Sizes

Retail2,37,6001-1 lots
sNII2,37,600from 2 lots
bNII10,69,200from 9 lots

Managers & Registrar

Lead ManagerWealth Mine Networks Limited
RegistrarCameo Corporate Services Ltd

Ownership & Proceeds

Shareholding

CategoryPre IPOPost IPOPromoter Group49.94%35.11%Public50.06%64.89%

Objects of the Issue

  1. Funding towards Repayment or prepayment, in full or in part, of borrowings availed by its Company from banks and financial institutions
  2. Funding the working capital requirements of the Company
  3. General corporate purposes

Anchor Book

Financials

Profit & Loss

Financial YearFY23FY24FY25FY26
RevenueCr11354475
Operating ProfitCr1349
OPM%6.87.98.512.4
PBTCr1338
PATCr0226
EPS-7610

Balance Sheet

Financial YearFY23FY24FY25FY26
Equity CapitalCr-046
ReservesCr-4913
BorrowingsCr-268
Total AssetsCr-82137

Cash Flow

Financial YearFY23FY24FY25FY26
Operating Cash FlowCr00-6-2
Investing Cash FlowCr0-2-2-3
Financing Cash FlowCr01111
Net Cash FlowCr004-3

Strengths & Risks

Strengths · as stated in the DRHP
  • Wide Range of Seeds and its Variants.
  • Quality Assurance.
  • Customer Satisfaction.
  • Experienced Promoter supported by dedicated Management team
  • Order Book Visibility.
Strategies · as stated in the DRHP
  • Expanding Customer Reach and Market Presence.
  • Brand building and promotion.
  • Continue to strive for cost efficiency.
  • Focus on consistently meeting quality standards.
  • Establish and strengthen Long Term Relationship with clients.
Risks · as stated in the DRHP
  • The company's business is subject to seasonality and climatic conditions, which could impact demand for its products and affect the company's financial performance.
  • Certain delays, discrepancies and Omissions has been detected in the company's statutory records, as well as in records related to the submission of returns to the concerned Registrar of Companies.
  • Major portion of the company's transactions is conducted in cash, which may expose it to operational, regulatory, and financial risks.
  • Certain delays in statutory filings under the Companies Act, 2013 may lead to financial and regulatory consequences for the Company.
  • Non-compliance with certain procedural requirements under Section 42 of the Companies Act, 2013 relating to a private placement of equity shares may expose the Company to regulatory action, penalties, and other adverse consequences.
  • The company's business is dependent on certain suppliers and loss of any one or more of them would has a material adverse effect on its business.
Show all 46 risks