Login
Home
Charts
Search
Watchlist
Products
All IPOs

Paluck Technologies Ltd

MiscellaneousIPOSME
₹48 - 48
₹48 - 48

Over the years, the Company has evolved into a diversified engineering services and infrastructure support organisation, with operations spanning in Automobile & Engineering Services, Logistics & Equipment Rental and Telecom Engineering. Our Company has built and maintained a robust portfolio serving both corporate and retail clients across sectors with high growth potential.

Lot3,000Min Invest₹2,88,000Face Value₹10Issue Size₹33 CrFresh Issue₹33 CrListing Price₹47CMP₹49

Timeline

28 Aug
Bidding opens
1 Sept
Bidding closes
2 Sept
Allotment
3 Sept
Refund & demat credit
4 Sept
Listing

Subscription

Subscription opens once dates are announced

Reports

Offer Details

Terms

Issue Size₹33 Cr0.69 Cr shares
Fresh Issue₹33 Cr
Face Value₹10
Lot Size3,000 shares
ReservationQIB 49.98% · NII 15.02% · RETAIL 35%

Application Sizes

Retail2,88,0001-1 lots
sNII2,88,000from 2 lots
bNII10,08,000from 7 lots

Managers & Registrar

Lead ManagerHorizon Management Private Limited
RegistrarBigshare Services Pvt Ltd

Ownership & Proceeds

Shareholding

CategoryPre IPOPost IPOPromoter Group86.55%57.96%Public13.45%42.04%

Objects of the Issue

  1. Funding capital expenditure towards the purchase of new Ready-Mix Concrete (RMC) machinery and DG sets
  2. Pre-payment/ re-payment, in part or full, of certain outstanding borrowings availed by the Company
  3. Funding the Working Capital requirement of the company
  4. General corporate purposes

Anchor Book

Bid Date27-Aug-2026

Financials

Profit & Loss

Financial YearFY22FY23FY24FY25FY26
RevenueCr6892101103105
Operating ProfitCr1215131924
OPM%18.016.113.218.522.8
PBTCr3351318
PATCr2231014
EPS8223210

Balance Sheet

Financial YearFY22FY23FY24FY25FY26
Equity CapitalCr333314
ReservesCr1012162932
BorrowingsCr3440301713
Total AssetsCr5360546770

Cash Flow

Financial YearFY22FY23FY24FY25FY26
Operating Cash FlowCr-712117
Investing Cash FlowCr--9100
Financing Cash FlowCr-2-13-11-7
Net Cash FlowCr-0000

Strengths & Risks

Strengths · as stated in the DRHP
  • Geographical presence and strategic location of our operations.
  • Quality Assurance and Quality Control of our products.
  • Strong, cordial & long-term relationship with our customers
  • Cost effective solutions and timely fulfilment of requirements
  • Well experienced management team with proven project management and implementation skills
Strategies · as stated in the DRHP
  • RMC Business Expansion.
  • Grow telecom infra and 5G services portfolio.
  • Capitalizing on Clean Energy Transition in Delhi NCR.
  • Geographic Expansion in North India with Focus on Automotive OEM Partnerships.
Risks · as stated in the DRHP
  • The company is heavily dependent on a limited number of customers, and any loss of business, reduction in orders, or deterioration in commercial terms with these customers could materially and adversely affect its revenues, cash flows, profitability, and long-term growth prospects.
  • The Company has experienced delays in repayment of loans in the past.
  • There have been instances of non-compliance in filling statutory forms which were required to be filed as per the reporting requirements with the Registrar of Companies under the Companies Act in the past which may attract penalties.
  • There are instances of overdue accounts which may expose it to financial and operational risks.
  • Non-receipt of No Objection Certificates (NoCs) and consents from equipment financiers may impact the Company's ability to utilize certain assets or create further security on them.
  • Non-filing of statutory returns with the Registrar of Companies (RoC) for the past four years may attract regulatory action and impact the Company't compliance record.
Show all 121 risks