BSECompany Update6d ago · 13 Aug 2026, 11:12 pm
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Apar Industries Ltd · 532259
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Apar Industries Ltd has completed a qualified institutions placement of equity shares, allotting 16,88,618 shares to eligible institutional buyers at ₹ 14,805 per share, raising approximately ₹ 2,500 crores.
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Apar Industries Ltd - 532259 - Outcome Of The Meeting Of The Share Issue Committee Of Directors
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SEC/1308/2026 By E-Filing August 13, 2026
National Stock Exchange of India Limited BSE Limited
“Exchange Plaza”, Corporate Relations Department,
C-1, Block G, Phiroze Jeejeebhoy Towers,
Bandra- Kurla Complex, Dalal Street,
Bandra (E), Fort,
Mumbai – 400 051. Mumbai - 400 001.
Scrip Symbol : APARINDS Scrip Code : 532259
Kind Attn.: Listing Department Kind Attn. : Corporate Relationship Department
Re: Qualified institutions placement of equity shares of face value of ₹ 10 each (the “Equity Shares”)
to qualified institutional buyers by APAR Industries Limited (the “Company”) under the provisions of
Chapter VI of Securities and Exchange Board of India (Issue of Capital and Disclosure Requirements)
Regulations, 2018, as amended (the “SEBI ICDR Regulations”), and Sections 42 and 62 of the
Companies Act, 2013 (including the rules made thereunder), each as amended (the “Issue”).
Sub: Outcome of the meeting of the Share Issue Committee of Directors
Dear Sir / Madam,
Further to our letter dated SEC/1008/2026 and SEC/1308/2026 dated August 10, 2026 and August 13, 2026
with respect to the Issue which opened on August 10, 2026 and closed on August 13, 2026 please note that
the Share Issue Committee of Directors at its meeting held today, i.e., August 13, 2026, approved the allotment
of 16,88,618 Equity Shares to eligible qualified institutional buyers at the issue price of ₹ 14,805/- per Equity
Share, i.e., at a premium of ₹ 14,795/- per Equity Share aggregating to approximately ₹ 2500 crores, pursuant
to the Issue.
Pursuant to the allotment of Equity Shares in the Issue, the paid-up equity share capital of the Company stands
increased from ₹ 40,18,37,190 consisting of 4,01,83,719 Equity Shares of face value of ₹10 each to ₹
41,87,23,370 consisting of 4,18,72,337 Equity Shares of face value of ₹ 10 each. The shareholding pattern of
the Company before and after the Issue, will be submitted along with listing applications in the format specified
in Regulation 31 of the Securities and Exchange Board of India (Listing Obligations and Disclosure Requirements)
Regulations, 2015 (“SEBI Listing Regulations”).
Further, find attached herewith the list of allottees who have been allotted more than five percent of the Equity
Shares offered in the Issue and the number of Equity Shares allotted to such allottees, marked as Annexure A.
The meeting of the Share Issue Committee of Directors commenced at 10:41 p.m. and concluded at 10:45 p.m.
The information as required under Regulation 30 of SEBI Listing Regulations read with paragraph A of part A of
Schedule - III of the SEBI Listing Regulations and SEBI Master circular no. HO/49/14/14(7)2025-CFD-
POD2/I/3762/2026 dated January 30, 2026 is as follows:
..2..
APAR Industries Limited
Corporate Office : APAR House, Corporate Park, V. N. Purav Marg, Chembur, Mumbai - 400 071, India
+91 22 4957 2100/6780 0400 corporate@apar.com www.apar.com
Regd. Office: 301/306, Panorama Complex, R. C. Dutt Road, Alkapuri, Vadodara - 390007, India
+91 265 6178 740 apar.baroda@apar.com www.apar.com CIN: L91110GJ1989PLC012802
::2::
Type of securities issued Equity Shares
Type of issuance Qualified Institutions Placement
Total number of securities issued 16,88,618 Equity Shares of face value of ₹ 10 each at an issue
price of ₹ 14,805.00 per Equity Share of face value of ₹10 each
(including a premium of ₹ 14,795.00 per Equity Share)
Total amount for which securities ₹ 24,99,99,89,490.00 (comprising Gross Issue proceeds of
issued approximately ₹2,500 crores)
The trading window closure which was intimated pursuant to our letter no. SEC/0708/2026 dated August 7,
2026 shall open from August 16, 2026 i.e. 48 hours from today being the date of allotment.
We request you to take the above on record and the same be treated as compliance under the SEBI Listing
Regulations, as amended.
Thanking you,
Yours Faithfully,
For APAR Industries Limited
Sanjaya Kunder
Company Secretary
Annexure A
LIST OF ALLOTTEES WHO HAVE BEEN ALLOTTED MORE THAN 5 PER CENT OF THE EQUITY
SHARES OFFERED IN THE QUALIFIED INSTITUTIONS PLACEMENT OF THE COMPANY
Sr No Name of the Allottees No. of Pan Club Percentage Percentage Category
Shares Shares (%) ( PAN
Allotted Clubbed )
(5 %)and
above
MUTUAL
ICICI PRUDENTIAL FLEXICAP FUND 39,089 2.3149 FUND - MF
ICICI PRUDENTIAL BALANCED MUTUAL
ADVANTAGE FUND 78,178 4.6297 FUND - MF
ICICI PRUDENTIAL EQUITY & DEBT MUTUAL
FUND 19,544 1.1574 FUND - MF
ICICI PRUDENTIAL MUTUAL FUND -
1 ICICI PRUDENTIAL ACTIVE 1,68,864 10.0002 MUTUAL
MOMENTUM FUND 6,254 0.3704 FUND - MF
ICICI PRUDENTIAL ENERGY MUTUAL
OPPORTUNITIES FUND 19,544 1.1574 FUND - MF
ISIF EQUITY EX-TOP 100 LONG- MUTUAL
SHORT FUND 4,691 0.2778 FUND - MF
MUTUAL
iSIF EQUITY LONG-SHORT FUND 1,564 0.0926 FUND - MF
HDFC TRUSTEE COMPANY LIMITED- MUTUAL
2 HDFC FLEXI CAP FUND 1,68,864 1,68,864 10.0001 10.0001 FUND - MF
MUTUAL
3 SBI CONTRA FUND 1,68,864 1,68,864 10.0001 10.0001 FUND - MF
FOREIGN
PORTFOLIO
NOMURA INDIA INVESTMENT INVESTOR
4 FUND MOTHER FUND 1,01,317 1,01,317 6.0000 6.0000 (CORPORATE)
ADITYA BIRLA SUN LIFE MUTUAL
FUND - ADITYA BIRLA SUN LIFE MUTUAL
LARGE & MID CAP FUND 15,390 0.9114 FUND - MF
ADITYA BIRLA SUN LIFE MUTUAL
FUND - ADITYA BIRLA SUN LIFE MUTUAL
MANUFACTURING EQUITY FUND 2,523 0.1494 FUND - MF
ADITYA BIRLA SUN LIFE MUTUAL
FUND - ADITYA BIRLA SUN LIFE MUTUAL
INFRASTRUCTURE FUND 2,523 0.1494 FUND - MF
ADITYA BIRLA SUN LIFE MUTUAL
5 FUND - ADITYA BIRLA SUN LIFE 1,01,317 6.0000 MUTUAL
ELSS TAX SAVER FUND 37,072 2.1954 FUND - MF
ADITYA BIRLA SUN LIFE MUTUAL
FUND - ADITYA BIRLA SUN LIFE MUTUAL
FOCUSED FUND 26,312 1.5582 FUND - MF
ADITYA BIRLA SUN LIFE MUTUAL
FUND - ADITYA BIRLA SUN LIFE MUTUAL
MIDCAP FUND 10,496 0.6216 FUND - MF
ADITYA BIRLA SUN LIFE MUTUAL
FUND - ADITYA BIRLA SUN LIFE MUTUAL
MNC FUND 7,001 0.4146 FUND - MF
MUTUAL
AXIS ELSS TAX SAVER FUND 22,543 1.3350 FUND - MF
AXIS MUTUAL FUND TRUSTEE
LIMITED A/C AXIS MUTUAL FUND MUTUAL
A/C AXIS MIDCAP FUND 24,317 1.4401 FUND - MF
MUTUAL
AXIS FOCUSED FUND ACCOUNT 8,105 0.4800 FUND - MF
AXIS MUTUAL FUND TRUSTEE
LIMITED A/C AXIS MUTUAL FUND MUTUAL
A/C AXIS SMALL CAP FUND 21,277 1.2600 FUND - MF
AXIS MUTUAL FUND TRUSTEE
LIMITED A/C AXIS MUTUAL FUND MUTUAL
A/C AXIS EQUITY SAVINGS FUND 507 0.0300 FUND - MF
AXIS MUTUAL FUND TRUSTEE
LIMITED A/C AXIS MUTUAL FUND MUTUAL
A/C AXIS CHILDREN'S FUND 759 0.0449 FUND - MF
AXIS MUTUAL FUND TRUSTEE LTD
A/C AXIS MUTUAL FUND A/C AXIS MUTUAL
FLEXI CAP FUND 9,625 0.5700 FUND - MF
AXIS MUTUAL FUND TRUSTEE
LIMITED A/C AXIS MUTUAL FUND
6 1,01,317 6.0000
A/C AXIS AGGRESSIVE HYBRID MUTUAL
FUND 1,013 0.0600 FUND - MF
AXIS MUTUAL FUND TRUSTEE
LIMITED A/C AXIS MUTUAL FUND
A/C AXIS RETIREMENT FUND - MUTUAL
DYNAMIC PLAN 253 0.0150 FUND - MF
AXIS MUTUAL FUND TRUSTEE
LIMITED A/C AXIS MUTUAL FUND
A/C AXIS RETIREMENT FUND - MUTUAL
AGGRESSIVE PLAN 507 0.0300 FUND - MF
AXIS MUTUAL FUND TRUSTEE
LIMITED A/C AXIS MUTUAL FUND
A/C AXIS ESG INTEGRATION MUTUAL
STRATEGY FUND 760 0.0450 FUND - MF
AXIS MUTUAL FUND TRUSTEE
LIMITED A/C AXIS MUTUAL FUND MUTUAL
A/C AXIS MULTICAP FUND 7,852 0.4650 FUND - MF
AXIS MUTUAL FUND TRUSTEE
LIMITED A/C AXIS MUTUAL FUND
A/C AXIS INDIA MANUFACTURING MUTUAL
FUND 3,799 0.2250 FUND - MF
FOREIGN
PORTFOLIO
ABU DHABI INVESTMENT INVESTOR
AUTHORITY - MONSOON 33,772 2.0000 (CORPORATE)
7 91,185 5.4000
FOREIGN
PORTFOLIO
ABU DHABI INVESTMENT INVESTOR
AUTHORITY - STABLE 57,413 3.4000 (CORPORATE)