Public Listing

Unlocking Growth: A Comprehensive Look at the Regaal Resources IPO

The Indian primary market continues to buzz with exciting new investment opportunities, and the upcoming public offering from Regaal Resources Ltd. is certainly garnering attention. As investors look for promising avenues, understanding the intricacies of an Initial Public Offering (IPO) becomes crucial. This blog post delves deep into the Regaal Resources IPO, providing a detailed analysis of the company, its financials, the issue specifics, and what it could mean for potential investors.

Company Overview: Inside Regaal Resources Ltd.

Established in 2012, Regaal Resources Limited has carved a niche in the manufacturing of maize specialty products in India. With a robust crushing capacity of 750 tonnes per day, the company plays a significant role in its sector.

Diverse Product Portfolio:

  • Maize starch and modified starch (natural plant-based).
  • Co-products including gluten, germ, enriched fiber, and fibre.
  • Food-grade starches such as maize flour, icing sugar, custard powder, and baking powder.

The company's manufacturing facility is strategically located in Kishanganj, Bihar, spanning a vast 54.03 acres and boasts a zero liquid discharge system, highlighting its commitment to sustainable operations. Regaal Resources serves a broad customer base, both domestically and internationally, with exports to Nepal and Bangladesh. Its clientele spans diverse industries, including food products, paper, animal feed, and adhesives. The company effectively caters to end product manufacturers, intermediate product manufacturers, and distributors/wholesale traders. As of May 31, 2025, Regaal Resources employed a workforce of 491 individuals.

Key Competitive Advantages:

  • Strategic positioning of its manufacturing unit near raw material sources and consumption markets.
  • Efficient raw material procurement facilitated by multiple sourcing avenues.
  • A diversified product range serving various industries, well-poised to capitalize on market trends.
  • An established and extensive sales and distribution network.
  • Guidance from experienced promoters and a skilled management team.

The Public Offering: Regaal Resources IPO Specifics

The Regaal Resources IPO is a book-building issue aiming to raise ₹306.00 crores. This includes a fresh issuance of 2.06 crore shares, aggregating to ₹210.00 crores, and an offer for sale (OFS) of 0.94 crore shares, amounting to ₹96.00 crores.

IPO Key Figures:

DetailDescription
Face Value₹5 per share
Issue Price Band₹96 to ₹102 per share
Total Issue Size3,00,00,235 shares (₹306.00 Cr)
Fresh Issue2,05,88,235 shares (₹210.00 Cr)
Offer for Sale94,12,000 shares (₹96.00 Cr)
Issue TypeBookbuilding IPO
Listing AtBSE, NSE

IPO Timeline: Key Dates to Remember

Mark your calendars for these important dates related to the Regaal Resources IPO:

Regaal Resources IPO Journey

1

Open Date
Aug 12, 2025

2

Close Date
Aug 14, 2025

3

Allotment
Aug 18, 2025

4

Listing Date
Aug 20, 2025

*Timeline is tentative and subject to change.

EventDate
IPO Open DateTuesday, August 12, 2025
IPO Close DateThursday, August 14, 2025
Tentative Allotment DateMonday, August 18, 2025
Initiation of RefundsTuesday, August 19, 2025
Credit of Shares to DematTuesday, August 19, 2025
Tentative Listing DateWednesday, August 20, 2025

Application Details: Lot Size and Investment

Investors interested in the Regaal Resources IPO can bid for a minimum of 144 shares and in multiples thereafter. The investment amounts vary for different investor categories:

CategoryLots (Min/Max)Shares (Min/Max)Amount (Min/Max)
Retail Individual Investor (RII)1 / 13144 / 1,872₹14,688 / ₹1,90,944
Small HNI (sNII)14 / 682,016 / 9,792₹2,05,632 / ₹9,98,784
Big HNI (bNII)69+9,936+₹10,13,472+

IPO Reservation Structure:

  • Qualified Institutional Buyers (QIB): Not more than 50% of the Offer.
  • Retail Investors: Not less than 35.00% of the Offer.
  • Non-Institutional Investors (NII): Not more than 15% of the Offer.

Promoters and Shareholding Dynamics

The promoters steering Regaal Resources Ltd. are Anil Kishorepuria, Shruti Kishorepuria, Karan Kishorepuria, and BFL Private Limited. Their vision and leadership have been instrumental in the company's journey.

Shareholding Before and After the IPO:

DetailValue
Shares held Pre-Issue8,21,35,940 shares
Promoter Holding Pre-Issue99.56%
Shares held Post-Issue10,27,24,175 shares

The public offering will lead to a dilution of the promoters' stake as new shares are issued, inviting broader public ownership in the company.

Financial Health Check: A Closer Look at Performance

Regaal Resources Ltd. has demonstrated impressive financial growth. The company's revenue surged by 53%, and its Profit After Tax (PAT) remarkably increased by 115% between the financial years ending March 31, 2024, and March 31, 2025.

Snapshot of Company Financials (Amount in ₹ Crores):

Period EndedMarch 31, 2025March 31, 2024March 31, 2023
Assets860.27585.97371.52
Total Income917.58601.08488.67
Profit After Tax (PAT)47.6722.1416.76
EBITDA112.7956.3740.67
Net Worth235.41126.61104.41
Reserves and Surplus202.44125.12102.92
Total Borrowing507.05357.21188.93

Key Performance Indicators (KPIs) and Valuation:

As of March 31, 2025, Regaal Resources boasts a market capitalization of ₹1047.79 Crores. Let's examine some crucial performance metrics and valuation ratios:

KPIValue (as of Mar 31, 2025)
Return on Equity (ROE)20.25%
Return on Capital Employed (ROCE)14.17%
Debt/Equity Ratio2.08
Return on Net Worth (RoNW)20.25%
Profit After Tax (PAT) Margin5.19%
EBITDA Margin12.32%
Price to Book Value6.18

Earnings Per Share (EPS) and Price-to-Earnings (P/E) Ratio:

MetricPre-IPOPost-IPO
EPS (Rs)5.804.64
P/E (x)17.5821.98

*Pre-IPO EPS is based on pre-issue shareholding and the latest FY earnings. Post-IPO EPS is based on post-issue shareholding and annualized FY earnings.

Objectives of the Public Issue: What the Funds Will Achieve

Regaal Resources Ltd. intends to utilize the net proceeds from this IPO for specific strategic purposes, primarily aimed at strengthening its financial position and supporting general operational needs.

Key Utilization Areas:

  • Debt Repayment/Pre-payment: A significant portion, approximately ₹159.00 crores, will be used to repay or pre-pay certain outstanding borrowings. This is a common strategy to reduce financial leverage and interest costs, thereby improving profitability and financial flexibility.
  • General Corporate Purposes: The remaining funds will be allocated towards various general corporate needs, which may include capital expenditures, working capital requirements, strategic investments, and other operational expenses essential for the company's growth and day-to-day functioning.

Strategic Insights: SWOT Analysis of Regaal Resources

A SWOT analysis provides a balanced perspective on the internal and external factors influencing Regaal Resources Ltd.

Strengths:

  • Strong manufacturing capacity and a diverse product range.
  • Strategic location ensuring efficient raw material sourcing and market access.
  • Consistent growth in revenue and profit after tax, indicating operational efficiency.
  • Experienced management and a robust distribution network.
  • Commitment to sustainability (zero liquid discharge plant).

Weaknesses:

  • Relatively high Debt/Equity ratio, which could pose a risk if market conditions deteriorate or interest rates rise significantly.
  • Dependency on maize as a primary raw material, making it vulnerable to commodity price fluctuations.

Opportunities:

  • Growing demand for specialty maize products in diverse industries.
  • Potential for expansion into new domestic and international markets.
  • Increased focus on plant-based ingredients in the food industry globally.
  • Utilization of IPO proceeds to reduce debt can significantly improve financial health and future growth prospects.

Threats:

  • Intense competition from both organized and unorganized players in the maize processing industry.
  • Changes in government policies or regulations impacting agricultural commodities or manufacturing.
  • Economic downturns affecting industrial demand for their products.
  • Adverse weather conditions impacting maize production and pricing.

Participating in the IPO: How to Apply

Applying for the Regaal Resources IPO is straightforward. Most investors opt for online applications through their brokerage accounts.

Common Application Methods:

  • UPI (Unified Payments Interface): Many discount brokers offer IPO applications via UPI. You can log into your broker's platform, navigate to the IPO section, enter your bid details (UPI ID, quantity, price), and then approve the mandate from your UPI app.
  • ASBA (Applications Supported by Blocked Amount): Full-service brokers and most banks offer ASBA facilities through their net banking portals. Here, the application amount is blocked in your bank account until allotment, ensuring funds are available without being debited immediately.

Key Stakeholders: Registrar and Contact Details

Understanding who handles the IPO's administrative aspects is vital for investors.

Issue Management Team:

  • Book-Running Lead Managers: Pantomath Capital Advisors Pvt Ltd and Sumedha Fiscal Services Limited.
  • IPO Registrar: MUFG Intime India Private Limited (Link Intime). They are responsible for processing applications, managing the allotment process, and handling refunds.

Company Contact Information:

  • Address: 6th Floor, D2/2, Block-EP & GP, Sector-V, Kolkata, West Bengal, 700091
  • Phone: 033 3522 2405
  • Email: cs@regaal.in
  • Website: regaalresources.com

Concluding Thoughts: Is This IPO for Your Portfolio?

The Regaal Resources IPO presents an opportunity to invest in a growing company within the maize specialty products sector, supported by solid financial performance and strategic advantages. The company's consistent revenue and profit growth, coupled with its diversified product portfolio and efficient operations, highlight its potential. While the high debt-to-equity ratio is a point to consider, the planned utilization of IPO funds for debt reduction is a positive step.

As with any investment, it's essential to conduct your own thorough due diligence. Assess your personal investment goals, risk tolerance, and the broader market conditions before making a decision. Staying informed about the company's performance post-listing and industry trends will be key for long-term investors.