- Price Band fixed at ₹ 102 to ₹ 108 per Equity Share of face value of ₹ 1 each (“Equity Share”);
- Bid/ Offer will open on Tuesday, August 06th, 2024 and close on Thursday, August 08th, 2024.
- Bids can be made for a minimum of 138 Equity Shares and in multiples of 138 Equity Shares thereafter.
- Link: https://www.bseindia.com/markets/MarketInfo/DispNewNoticesCirculars.aspx?page=20240805-44
Bengaluru – August 6, 2024: Unicommerce eSolutions Ltd, has allocated 11,523,831 Equity Shares to 14 anchor Investors and raised ₹ 124.46 crore ahead of company’s proposed IPO at the upper price band of ₹ 108 per equity share (including premium of ₹ 107 per equity shares) with face value of ₹ 1 per share.
Sr. No. |
Name of Anchor Investor |
No of Equity Shares Allocated |
% of Anchor Investor Portion |
Bid Price (₹ per Equity Shares) |
Total Amount Allocated (₹) |
1 |
SBI TECHNOLOGY OPPORTUNITIES FUND |
1,296,372 |
11.25% |
108 |
140,008,176 |
2 |
HDFC MUTUAL FUND – HDFC NON CYCLICAL CONSUMER FUND |
583,326 |
5.06% |
108 |
62,999,208 |
3 |
HDFC MUTUAL FUND – HDFC TECHNOLOGY FUND |
713,046 |
6.19% |
108 |
77,008,968 |
4
|
ICICI PRUDENTIAL TECHNOLOGY FUND |
1,296,372 |
11.25% |
108 |
140,008,176 |
5 |
MORGAN STANLEY INVESTMENTS FUNDS INDIAN EQUITY FUND |
462,963 |
4.02% |
108 |
50,000,004 |
6 |
MORGAN STANLEY INDIA INVESTMENT FUNDS INC.
|
833,409 |
7.23% |
108 |
90,008,172 |
7 |
KOTAK MAHINDRA TRUSTEE CO LTD A/C KOTAK CONSUMPTION FUND |
648,186 |
5.62% |
108 |
70,004,088 |
8 |
KOTAK MAHINDRA TRUSTEE CO LTD A/C KOTAK TECHNOLOGY FUND |
648,186 |
5.62% |
108 |
70,004,088 |
9 |
NIPPON INDIA MUTUAL FUND A/C NIPPON EQUITY HYBRID FUND |
1,296,372 |
I1.25% |
108 |
140,008,176 |
10 |
ADITYA BIRLA SUN LIFE TRUSTEE PRIVATE LIMITED A/C ADITYA BIRLA SUN LIFE SMALL CAP FUND |
749,202 |
6.50% |
108 |
80,913,816 |
11 |
THE PRUDENTIAL ASSURANCE COMPANY LIMITED |
749,064 |
6.50% |
108 |
80,898,912 |
12 |
FRANKLIN INDIA TECHNOLOGY FUND |
749,202 |
6.50% |
108 |
80,913,816 |
Sr. No. |
Name of Anchor Investor |
No of Equity Shares Allocated |
% of Anchor Investor Portion |
Bid Price (₹ per Equity Shares) |
Total Amount Allocated (₹) |
13 |
DSP MULTICAP FUND |
749,064 |
6.50% |
108 |
80,898,912 |
14 |
HIGH CONVICTION FUND – SERIES 1 |
749,067 |
6.50% |
108 |
80,899,236 |
|
TOTAL |
11,523,831 |
100.00% |
|
1,244,573,748 |
Out of the total allocation of 11,523,831 Equity Shares to the Anchor Investors, 8,729,328 Equity Shares (i.e. 75.75% of the total allocation to Anchor Investors) to 8 domestic Mutual Funds through a total of 10 schemes.
Sr. No. |
Name of Anchor Investor |
No of Equity Shares Allocated |
% of Anchor Investor Portion |
Bid Price (₹ per Equity Shares) |
Total Amount Allocated (₹) |
1 |
SBI TECHNOLOGY OPPORTUNITIES FUND |
1,296,372 |
11.25% |
108 |
140,008,176 |
2 |
HDFC MUTUAL FUND – HDFC NON CYCLICAL CONSUMER FUND |
583,326 |
5.06% |
108 |
62,999,208 |
3 |
HDFC MUTUAL FUND – HDFC TECHNOLOGY FUND |
713,046 |
6.19% |
108 |
77,008,968 |
4 |
ICICI PRUDENTIAL TECHNOLOGY FUND |
1,296,372 |
11.25% |
108 |
140,008,176 |
5 |
KOTAK MAHINDRA TRUSTEE CO LTD A/C KOTAK CONSUMPTION FUND |
648,186 |
5.62% |
108 |
70,004,088 |
6
|
KOTAK MAHINDRA TRUSTEE CO LTD A/C KOTAK TECHNOLOGY FUND |
648,186 |
5.62% |
108 |
70,004,088 |
7 |
NIPPON INDIA MUTUAL FUND A/C NIPPON EQUITY HYBRID FUND |
1,296,372 |
11.25% |
108 |
140,008,176 |
8 |
ADITYA BIRLA SUN LIFE TRUSTEE PRIVATE LIMITED A/C ADITYA BIRLA SUN LIFE SMALL CAP FUND |
749,202 |
6.50% |
108 |
80,913,816 |
9 |
FRANKLIN INDIA TECHNOLOGY FUND |
749,202 |
6.50% |
108 |
80,913,816 |
10 |
DSP MULTICAP FUND |
749,064 |
6.50% |
108 |
80,898,912 |
|
TOTAL |
8,729,328 |
75.75% |
|
942,767,424 |
IIFL Securities Limited and CLSA India Private Limited are the Book Running Lead Managers to the Issue.