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icici prudential asset management co.ltd
MainboardBSE,NSECLOSED

icici prudential asset management co.ltd IPO

ICICIAMCISIN: INE346A01027
Listed at
2600
20.09%

IPO Overview

Icici prudential asset management co.ltd IPO is a Mainboard public issue offered through a Book Building issue with a total issue size of ₹10,602.65 Cr. The IPO price band is set at ₹2061 to ₹2165 per share, and retail investors can apply with a minimum investment of ₹13.0K as per IPO guidelines.
The Icici prudential asset management co.ltd IPO opens on 12 Dec 2025 and closes on 16 Dec 2025. The IPO allotment is expected to be finalized on 17 Dec 2025, and the equity shares are proposed to be listed on BSE,NSE on 19 Dec 2025.
Investors can refer to the Icici prudential asset management co.ltd IPO RHP-DRHP for detailed information. The issue is managed by Citigroup Global Markets India Pvt.Ltd. as the book running lead manager, while Kfin Technologies Limited is the registrar to the IPO. Before investing, market participants often review IPO details, valuation, PE ratio, financials, and risk factors.

Price Band
₹2061 to ₹2165
Issue Size
₹10,602.65 Cr
Lot Size
6Shares
P/E Ratio
40.37x
Min Investment
₹13.0K

About Company

Incorporated in 1993, ICICI Prudential AMC is an Asset Management Company. Its investment approach has always been to manage risk first and aim for long term returns for their customers.

ICICI Prudential AMC has active quarterly average asset under management (QAAUM). As of September 30, 2025, it has an QAAUM of 10,147.6 billion.

The company offers Portfolio Management Services (PMS), Alternative Investment Fund (AIF), and Advisory services to offshore clients.

The company manage the largest number of schemes in the mutual fund industry. As of September 30, 2025, with 143 schemes comprising 44 Equity and Equity Oriented Schemes, 20 debt schemes, 61 passive schemes, 15 domestic fund-of-funds schemes, one liquid scheme, one overnight scheme and one arbitrage scheme.

The company has strong PAN India distribution network with 272 offices across 23 states and 4 union territories.

Important Dates

Issue Opens
12 Dec 2025
Issue Closes
16 Dec 2025
Allotment
17 Dec 2025
Listing
19 Dec 2025

Financial Performance

Loading chart...

IPO Lot Size

CategoryLotsSharesAmount
Retail (Min)16₹12,990
Retail (Max)1590₹1,94,850
S-HNI (Min)1696₹2,07,840
S-HNI (UPI)38228₹4,93,620
S-HNI (Max)76456₹9,87,240
B-HNI (Min)77462₹10,00,230
RHP Document
DHRP Document

Allocation Breakdown

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Market Makers
0%
Retail
15%
QIB
50%
NII
35%

Issue Details

Issue Type
BB
Face Value
₹0
Lead Managers
Citigroup Global Markets India Pvt.Ltd.
Min Quantity
6
Company Promoters
ICICI Bank LimitedPrudential Corporation Holdings Limited
Website
http://www.icicipruamc.com/
Email
amcinvestors@icicipruamc.com
Phone
91 022 2651 5000
Address
2 th Floor,
Narain Manzil,
23, Barakhamba Road,
Delhi, New Delhi, 110001

Registrar

Registrar Name
Kfin Technologies Limited
Email
reachus@kfintech.com
Phone
4067162222
Address
KFintech, Tower-B, Plot No 31 & 32,
Financial District, Nanakramguda, Gachibowli,
Hyderabad, Telangana India - 500 032.
Website
https://kosmic.kfintech.com/ipostatus/

Icici prudential asset management co.ltd IPO is a public issue in which the company offers its equity shares to investors through the stock exchange. The IPO allows retail investors, HNIs, and institutional investors to participate.

The IPO price band of Icici prudential asset management co.ltd IPO is ₹2061 to ₹2165 per share, as mentioned in the issue details.

The minimum investment in Icici prudential asset management co.ltd IPO is ₹12990, based on the minimum lot size applicable for retail investors.

The lot size of Icici prudential asset management co.ltd IPO is 6 shares per lot, and applications must be made in multiples of this lot size.

Icici prudential asset management co.ltd IPO opens on 12 Dec 2025 and closes on 16 Dec 2025, as per the announced IPO schedule.

The Icici prudential asset management co.ltd IPO subscription status shows how many times the issue has been subscribed across retail, HNI, and institutional categories during the IPO period.

The Icici prudential asset management co.ltd IPO GMP (Grey Market Premium) today is around ₹undefined, reflecting current grey market activity before listing.

Icici prudential asset management co.ltd IPO GMP is currently negative, indicating prevailing sentiment in the grey market. GMP may change daily based on demand.

A positive Icici prudential asset management co.ltd IPO GMP may suggest potential listing interest, while actual listing performance depends on subscription levels and overall market conditions.

From a retail investor perspective, Icici prudential asset management co.ltd IPO is evaluated based on pricing, lot size, subscription trends, and market sentiment. Investors should assess these factors before applying.

The Icici prudential asset management co.ltd IPO listing date is expected to be 19 Dec 2025, subject to completion of allotment and exchange procedures.

The expected listing price of Icici prudential asset management co.ltd shares depends on demand, subscription response, GMP trends, and overall market sentiment at the time of listing.

Icici prudential asset management co.ltd IPO allotment status can be checked online once the allotment process is completed using PAN, application number, or DP ID details.

Icici prudential asset management co.ltd IPO is categorized as a Mainboard IPO based on the exchange and issue structure.

Yes, Icici prudential asset management co.ltd IPO subscription figures and GMP may change during the issue period and before listing due to market activity and investor demand.