BSECompany Update6d ago · 14 Aug 2026, 04:51 pm
Please find the attached PIT Intimation received from the Promoter group for the Allotment of Equity shares pursuant to Conversion of warrants.
Retaggio Industries Ltd · 544391
✦ AI SummaryFundraise
Retaggio Industries Ltd has made a preferential allotment of 5,60,000 equity shares to Retaggio Ventures LLP, a promoter group entity, pursuant to the conversion of warrants.
Analysis Scores
Earnings Impact2/10
Growth Catalyst3/10
Governance Concern1/10
Regulatory Risk1/10
Balance Sheet Risk2/10
Liquidity Impact5/10
Market Sentiment5/10
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Full Announcement
Retaggio Industries Ltd - 544391 - Announcement under Regulation 30 (LODR)-Code of Conduct under SEBI (PIT) Regulations, 2015
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RETAGGIO VENTURES LLP
LLPIN-ACS-1459
Regd Office: Unit-204, Options Primo, Plot No.X-2,, Next to Akruti Software Park,
Andheri E, Mumbai, Mumbai City, Maharashtra, India, 400093
Emalil: retaggioventures@gmail.com
Retaggio Industries Ltd
Unit-204, Options Primo, Plot No.X-2,
Next to Akruti Software Park,
Andheri E, Mumbai, 400093.
Sub: Disclosure under Regulation 7(2) read with Regulation 6(2) of SEBI (Prohibition of Insider
Trading) Regulations, 2015—continual disclosure.
Scrip Code: 544391
Dear Sir/Madam,
In accordance with Regulation 7(2) read with Regulation 6(2) of SEBI (Prohibition of Insider Trading)
Regulations, 2015 and Company’s code of conduct for reporting trading by insiders.
Kindly take the same on records.
Thanking You,
Yours Faithfully,
For RETAGGIO VI
FOR RETAGGIO VE|
Desi rtner
Savinay Lodha
Designated Partner
DPIN: 02634124
Date: 14th August, 2026
Place: Mumbai
FORM C
SEBI (Prohibition of Insider Trading) Regulations, 2015
[Regulation 7 (2) read with Regulation 6(2) — Continual Disclosure]
Name of the company: Retaggio Industries Ltd
ISIN of the company: INEOKWJ01014
Details of change in holding of Securities of Promoter, Member of the Promoter Group, Designated Person or Director of a listed company
and immediate relatives of such persons and other such persons as mentioned in Regulation 6(2).
Name, PAN,|Categ |Securities held prior to [Securities acquired/Dispesed Securities held|Date of allotment [Date of(Mode of|Exchange
CIN/DIN, ory of i advice/ intimation |acquisition [on which
& address |Perso disposal acquisition of |to /disposal- [the trade
with contact|n shares/ company [(enmarket/|was
nos. (Prom disposal of shares, public/ executed
oter/m- specify rights/
ember (Type of No. and Type of No. Value |Transac [Type of{No. From To preferential
ofthe- [securities [%o of share |[securities tion securities |and % offer/
promo |(For eg. fholding (For eg. Type (Foreg. |of offmarott
ter —Shares — (Purcha |-Shares, |shareh Inter-se
group/ |Warrants, Shares, se/sale (Warrants, |olding transfer;-
desig- (Convertible Warrants, Pledge/ |Converti ESOPs,
nated- |Debentures, Convertib Revocat |ble ete.)
person|Rights le Debentur ion/ Debentur
F entitlem es, Rights Invocati |es,
Direet [ents etc.) entitleme on/ Rights
oF nt, etc.) Others- |entitleme
slimm please [nt, etc.)
ediate- specify)
relativ
tolothe
s etc.)
1 2 3 4 5 6 7 8 9 10 11 12 13 14 15
240,000 10,00,00
Name: Promotel Equity Shares Equity Shares| 5,60,000 1,09,20,000} Buy Equity 130 13" August, 147 August, Preferential Not
Retaggio (214%) (75% of Shares o August, 2026 2026 Offer applicable
(4.88%)
Group issue price) 2026 (allotment
|Ventures LLP
Warrants 24,40,000 pursuant to
PAN: (Convertible Warrants 18,80,00 conversion
warrants) 0 of warrants)
IABMFR4404
(Convert
lible
arrans
|Add: Unit
204,
Options
IPrimo, Plot,
inoX2, Next
fto Akruti
Software,
Chakala
Midc,
Mumbai,
1400093
Tel: +91
9820179615
Note: (i) “Securities” shall have the meaning as defined under regulation 2(1)(i) of SEBI (Prohibition of Insider Trading) Regulations, 2015.
(i) Value of transaction excludes taxes/brokerage/any other charges
Details of trading in derivatives on the securities of the company by Promoter, member of the promoter group,
designated person or Director of a listed company and immediate relatives of such persons and other such persons as
mentioned in Regulation 6(2).
Trading in derivatives (Specify type of contract, Futures or Options etc.) Exchange on which
the trade was
executed
Type of |Contract Buy Sell
contract specifications
Notional Number of[Notional Value [Number of unitg
Value units (contracts * lof
(contracts * lof size)
size)
16 17 18 19 20 21 22
Note: In case of Options, notional value shall be calculated based on Premium plus strike price of options.
FOR RETAGGIO VE]
Desi
Savinay Lodha
Designated Partner
DPIN: 02634124
Date: 14th August, 2026
Place: Mumbai