Allotment of Securities |
| Date of Board meeting for approval of issuance of security* | 21-07-2026 |
| Whether any disclosure was made for the issuance of securities as per SEBI LODR and SEBI Circular September 09, 2015* | Yes |
| If Yes, specify the date of disclosure* | 21-07-2026 |
| If No/Not Applicable, provide reason for non-disclosure* | |
| Date of Board / Committee for Allotment of Securities* | 07-09-2026 |
| Type of Securities Allotted* | Convertibles |
| If Others, please specify | |
| Type of Issuance | Preferential Issue |
| If Any other method, please specify | |
| If Yes, provide details of the discussion |
| Paid-up share capital* | 143477000.00 |
| Number of Shares* | 14347700 |
| Details of such alteration of the terms or structure of any existing securities* |
| Paid-up share capital* | 143477000.00 |
| Number of Shares* | 14347700 |
| Post allotment of securities - outcome of the subscription, | Allotment of 30,00,000 Convertible Warrants of the Company |
| Issue price / allotted price (in case of convertibles) | 151.5 |
| Number of investors | 18 |
| Any other disclosure w.r.t. compliance of any SEBI Act, Regulation, Circular or provision | |
| Any other information | The rights attached to Warrants may be exercised by the Warrant Holder(s), in one or more tranches, at any time on or before the expiry of 18 months, from the date of allotment of the Warrants |
| Remarks (for Website dissemination) | |
| Remarks for Exchange (not for website dissemination) | |