Board approves 1:5 sub-division and 4:1 bonus issue with record date October 31, 2025 and deemed allotment date November 3, 2025.
Impact
High
Severity
Medium
Justification
Major corporate action involving both sub-division and significant bonus issue (4:1 ratio) affecting 91.66 crore shares with immediate trading implications for shareholders.
Fineotex Chemical Limited announces a 1:5 stock split (sub-division) and 4:1 bonus issue with record date October 31, 2025 and deemed allotment date November 3, 2025.
Impact
High
Severity
Medium
Justification
Material corporate action involving both stock split and significant bonus issue affecting all shareholders. Total shares to increase to over 91 crore, substantially impacting liquidity and market capitalization structure.
Fineotex Chemical Limited announces sub-division and bonus issue in the ratio of 4:1 with record date October 31, 2025 and effective listing date November 4, 2025.
Impact
Medium
Severity
Medium
Justification
Significant corporate action affecting all shareholders with 4:1 bonus ratio, creating substantial increase in share count but neutral impact on market capitalization
BSE announces demat auction for Settlement No. 734 covering 108 scrips across various companies for physical securities delivery shortages.
Impact
Medium
Severity
Medium
Justification
Regular demat auction affecting multiple scrips due to delivery shortages in settlement; impacts specific brokers and clients but is a standard market operation
BSE demat auction notice for settlement number 734 dated October 14, 2025, listing securities and quantities available for auction across 109 scrips.
Impact
Low
Severity
Low
Justification
Routine demat auction notice affecting limited quantities of securities across multiple scrips. Standard market settlement mechanism with minimal market-wide impact.
BSE demat auction settlement listing securities and quantities for physical delivery obligation settlement dated October 14, 2025.
Impact
Medium
Severity
Medium
Justification
Routine demat auction settlement affecting multiple securities with delivery obligations. Important for affected brokers and clients but part of standard settlement process.