RBM Infracon Limited (NSE SME)

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RBM Infracon Limited (NSE SME)

December 23, 2022 – December 27, 2022

Price ₹36 - ₹36
Premium ₹13
Lot size 3000
Allotment Dec 30, 2022
Listing Jan 4, 2023

Address

RBM Infracon Limited
C/O Rahul Mani Tripathi Mb Complex,
Main Road, Baitalpur, 274201

Phone: 0288-2710463
Email: info@rbminfracon.com
Website: http://www.rbminfracon.com/

Registrar
Skyline Financial Services Private Ltd
Phone: 02228511022
Address: Skyline Financial Services Private Ltd D-153A, 1st Floor, Okhla Industrial Area, Phase-I, New Delhi -110020
Subscription
Investor CategorySubscription (times)
Qualified Institutions[.]
Non-Institutional Buyers46.32
Retail Investors34.32
Employees[.]
Others[.]
Total40.32
About
Category Lot(s) Qty Amount Reserved
Retail 1 3000 108000 0
HNI 2 6000 216000 0

RBM Infracon Limited is primarily engaged in engineering, execution, testing, commissioning, operating & maintenance of mechanical and rotary equipment for oil & gas refineries, cement, fertilizers, Petrochemicals, Coal/Gas based power plants, etc.

Its key business services include Fabrication & Erection of structural work, Fabrication & Erection of Piping, ARC maintenance, Turnaround, blasting & painting, Insulation and Refractory, Electrical and Instrumentation, NDT services, and others.

The firm provides services at different plants like CDU-VDU, DHDS, NHT-CCR, HMU-I & II, CPP, DCU, Rail and Jetty and is also involved in ARC maintenance jobs in RIL-Jamnagar and YARA-Babrala. It has successfully executed 14 Turnaround Shutdowns at Reliance Industries Ltd (RIL), Nayara Energy, and Yara Fertilisers.

As on Sep 6, 2022, it has an order book value of Rs 121 Crores, and recently, it has received a new order worth Rs 200 Crores from Malco Energy Ltd for operations & maintenance of the Metcoke Manufacturing Plant.

Strengths

  • Strong project execution capabilities.
  • Experienced management team.
  • High growth opportunities in the infrastructure sector.
Company Financials
RBM Infracon Limited Financial Information (Restated)
Period EndedTotal AssetsTotal RevenueProfit After TaxNet WorthReserves and SurplusTotal Borrowing
31-Mar-202115.973516.78-12.03540.44488.44666.85
31-Mar-212333.623888.74-133.24462.54406.94813.41
31-Mar-222503.64763.06190.99653.52597.92850.9
30-Jun-222450.291027.265.4718.93663.33641.41
Amount in ₹ Lakhs

Strength

Weakness