Canara robeco asset management company limited IPO Overview
Canara robeco asset management company limited IPO is a Mainboard public issue offered through a Book Building issue with a total issue size of ₹1,326.13 Cr. The IPO price band is set at ₹253 to ₹266 per share, and retail investors can apply with a minimum investment of ₹14,896 as per IPO guidelines.
The Canara robeco asset management company limited IPO opens on 9 Oct 2025 and closes on 13 Oct 2025. The IPO allotment is expected to be finalized on 14 Oct 2025, and the equity shares are proposed to be listed on BSE, NSE on 16 Oct 2025.
Investors can refer to the Canara robeco asset management company limited IPO RHP-DRHP for detailed information. The issue is managed by SBI Capital Markets Ltd.,Axis Capital Ltd.,JM Financial Ltd. as the book running lead manager, while MUFG Intime India Private Limited (Link Intime) is the registrar to the IPO. Before investing, market participants often review IPO details, valuation, PE ratio, financials, and risk factors.
About canara robeco asset management company limited
The company's headquarters are located in Mumbai, Maharashtra, India. It operates as a joint venture between Canara Bank and Orix Corporation Europe N.V. (formerly Robeco Group N.V.).
CRAMC offers a diverse range of investment options, including equity, debt, and hybrid schemes.
As of June 30, 2025, out of the 26 schemes that the company managed, 15 are equity-oriented schemes (inclusive of 12 equity schemes and three (3) hybrid schemes), while remaining 11 are debt-oriented schemes (inclusive of 10 debt schemes and one (1) hybrid scheme).
Canara Robeco Asset Management Company Ltd. has a nationwide presence, directly serving customers in over 23 cities across 14 states and 2 union territories through a network of 25 branches as of JUne 30, 2025.
The company works with a wide network of 52,343 distribution partners across India, including Canara Bank, 44 other banks, 548 national distributors (NDs), and 51,750 mutual fund distributors (MFDs), helping make its investment products easily accessible to customers.
Competitive Strengths:
Strong brand with legacy of operations and established parentage
Operations led by professional management team and established corporate governance standards
Well-diversified equity products mix backed by research-driven investment process
PAN India multi-channel sales and distribution network
Expanding proportion of AUM contributed by individual investors and SIP contributions
Integrated technology-led operations with a well-established digital eco-system
