Euro Pratik Sales IPO

Euro Pratik Sales IPO is a book build issue of Rs 451.31 crores, entirely an offer for sale of 1.83 crore shares. The IPO opens on September 16, 2025, and closes on September 18, 2025, with allotment expected on September 19, 2025. Shares will list on BSE and NSE on September 23, 2025. The price band is fixed between Rs 235 to Rs 247 per share. The lot size is 60 shares, requiring a minimum retail investment of Rs 14,820. For sNII, the investment is Rs 2,07,480 (14 lots), while bNII requires Rs 10,07,760 (68 lots). Axis Capital Ltd. is the book-running lead manager, and MUFG Intime India Pvt. Ltd. is the registrar.

Euro Pratik Sales IPO Details

Check out the issue details for Euro Pratik Sales IPO as disclosed in SEBI.

Price Band

₹ 235 - 247

Issue Size

451.32 Cr.

Issue Type

Book Built

Open

2025-09-16

Close

2025-09-18

Company Financials

You can get the following financial statements of Euro Pratik Sales as of now.

Euro Pratik Sales IPO Details

The details about the Euro Pratik Sales IPO are as follows:

  • The issue size of the IPO is Rs 451.31 Cr.
  • The price band for Euro Pratik Sales IPO is Rs 235 to Rs 247.
  • The shares of Euro Pratik Sales IPO will list on BSE and NSE.
  • The latest tentative GMP of Euro Pratik Sales IPO is Rs .
  • The shares of Euro Pratik Sales IPO are subscribed _ Times.

 

Euro Pratik Sales IPO Valuation

The approximate valuation of Euro Pratik Sales IPO based on its price band and RHP is:

Particulars Value
Upper Price Band Rs 247
Existing Shares (Qty) 10.22 Cr
Market Cap Rs 2524.34 Cr
EPS (FY25) Rs 7.53
PE Ratio 32.8x
Industry PE 61.57x

 

Euro Pratik Sales IPO Issue Size

Euro Pratik Sales IPO issue size is Rs 451.31 Cr.

Issue Amount
Fresh Issue Rs 0 Cr
Offer For Sale Rs 451.31 Cr

 

Euro Pratik Sales IPO Market Lot

An individual can apply for a minimum of 1 lot of 60 shares and a maximum of 13 lots (780 shares). Find the details below:

Application Lot Shares Amount
Retail Minimum 1 60 Rs 14,820
Retail Maximum 13 780 Rs 1,92,660

 

Euro Pratik Sales IPO Share Offer

The shares of Euro Pratik Sales IPO are subscribed _ Times. The category-wise shares offered are as follows:

Category % Offered
Qualified Institutional Not more than 50%
Non-Institutional Not less than 15%
Retail Individual Not less than 35%

 

Euro Pratik Sales IPO GMP (Grey Market Premium)

As on GMP (Tentative)
12 September 2025 Rs

Euro Pratik Sales IPO GMP is purely for informational purposes. Invest in an IPO after thoroughly researching on your own.

Euro Pratik Sales IPO Dates

Find below the dates for Euro Pratik Sales IPO

Schedule Date
Basis of Allotment 19 Sep 2025
Refunds 22 Sep 2025
Credit to Demat Account 22 Sep 2025
IPO Listing Date 23 Sep 2025

Profit & Loss (All Figures in Cr. Adjusted EPS in Rs.)

PARTICULARS Mar 2022 Mar 2023 Mar 2024 Mar 2025
Net Sales 211.92 263.58 221.7 219.44
Total Expenditure 153.51 184.92 140.62 147.48
Operating Profit 58.4 78.67 81.07 71.96
Other Income 3.76 4.97 8.41 13.55
Interest 0.79 1.09 0.98 1.58
Depreciation 1.81 2.39 3.59 4.12
Exceptional Items 0 0 0 0
Profit Before Tax 59.57 80.15 84.91 79.69
Provision for Tax 15.05 20.58 24.26 19.8
Net Profit 44.52 59.57 60.65 59.89
Adjusted EPS (Rs.) 0.33 0.52 0.68 0.59

Balance Sheet (All Figures are in Crores.)

Particulars Mar 2022 Mar 2023 Mar 2024 Mar 2025
Equity and Liabilities
Share Capital 0.61 0.51 1.98 10.22
Total Reserves 119.11 129.51 154.98 208.26
Borrowings 0 0 0 0
Other N/C liabilities 14.88 13.73 12.59 9.04
Current liabilities 4.57 14.64 5.77 14.78
Total Liabilities 139.17 158.38 175.33 242.29
Assets
Net Block 16.55 15.2 14.22 13.23
Capital WIP 0 0 0 0
Intangible WIP 0 0 0 0
Investments 0 0 2.08 2.63
Loans & Advances 0.5 0.52 1.79 60.06
Other N/C Assets 9.89 16.53 15.4 11.27
Current Assets 112.22 126.14 141.83 155.1
Total Assets 139.17 158.38 175.33 242.29
* Other Non-current Liabilities include Net deferred Liabilities

Cash Flows (All Figures are in Crores.)

PARTICULARS Mar 2022 Mar 2023 Mar 2024 Mar 2025
Profit from operations 59.57 80.15 84.91 79.69
Adjustment 1.63 1.43 -1 2.52
Changes in Assets & Liabilities -29.75 -3.67 12.85 -39.7
Tax Paid -15.13 -20.81 -21.59 -20.68
Operating Cash Flow 16.32 57.09 75.16 21.82
Investing Cash Flow -11.35 -9.74 -28.8 -21.69
Financing Cash Flow -3.49 -48.4 -42.37 -2.17
Net Cash Flow 1.48 -1.04 3.99 -2.03
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