Mankind Pharma IPO: Know Details Here

Mankind Pharma Ltd. raised Rs. 1297.90 crores by allotting 1,20,17,652 equity shares at a price of Rs. 1080 per share (upper end of price band) to 77 anchor investors (including 16 domestic mutual funds through a total of 41 schemes).

Anchor investors include Canada Pension Plan Investment Board, Government of Singapore, Monetary Authority of Singapore, Goldman Sachs, Fidelity, Blackrock, Abu Dhabi Investment, Nomura, Morgan Stanley, HDFC Trustee, SBI MF, ICICI Prudential, FIAM Group Trust, National Pension Service by Blackrock, Government Pension Fund, Ashoka India, MotilalOswal, Nippon Life India Trustee, Axis MF, Kotak MF, DSP Healthcare, Aditya Birla Sun Life, Wellington Trust, Franklin India, HDFC Life Insurance, SBI Life Insurance, Polar Capital Funds, Neuberger Berman, HSBC Global, The Prudential Assurance, TT Emerging Markets, LGT Select Funds, Grandeur Peak Emerging, IIF AMC, Tata India Pharma, Tata Large Cap, UTI Mid Cap, Canara Rebeco MF, Kotak Mahindra Life Insurance, Bajaj Allianz, Aditya Birla Life Insurance, Tata AIA Life Insurance, Optimix Wholesale, Amundi, HSBC Focused, Invesco India MidCap& Quant MF.

The anchor allocation is as follows:

 

Sr. No. Name of the Anchor Investor No. of Equity Shares allocated Bid price (Rs. per Equity Share) % of Anchor Investor Portion Amount Allocated
1. CANARA PENSION PLAN INVESTMENT BOARD 4,82,027 1,080 4.01 52,05,89,160
2. GOVERNMENT OF SINGAPORE 4,09,994 1,080 3.41 44,27,93,520
3. MONETARY AUTHORITY OF SINGAPORE 72,033 1,080 0.60 7,77,95,640
4. GOLDMAN SACHS FUNDS – GOLDMAN SACHS INDIA EQUITY PORTFOLIO 4,82,027 1,080 4.01 52,05,89,160
5. HDFC TRUSTEE COMPANY LTD – A/C HDFC MID –CAP OPPORTUNITIES FUND 2,41,007 1,080 2.01 26,02,87,560
6. HDFC TRUSTEE COMPANY LTD –A/C HDFC TOP 100 FUND 1,20,510 1,080 1.00 13,01,50,800
7. HDFC MUTUAL FUND – HDFC BUSINESS CYCLE FUND 1,20,510 1,080 1.00 13,01,50,800
8. SBI MULTICAP FUND 3,33,879 1,080 2.78 36,05,89,320
9. SBI HEATHCARE OPPORTUNITIES FUND 1,48,148 1,080 1.23 15,99,99,840
10. ICICI PRUDENTIAL PHARMA HEALTHCARE AND DIAGNOSTICS (P.H.D.)FUND 4,82,027 1,080 4.01 52,05,89,160
11. FIDELITY INVESTMENT TRUST FIDELITY SERIES EMERGING MARKETS OPPORTUNITIES FUNDS 2,48,235 1,080 2.07 26,80,93,800
12. FIDELITY INVESTMENT TRUST: FIDELITY EMERGING MARKETS FUND 77,402 1,080 0.64 8,35,94,160
13. FIAM GROUP TRUST FOR EMPLOYEE BEENFIT PLANS FIAM EMERGING MARKETS OPPORTUNITIES COMMINGLED POOL 63,804 1,080 0.53 6,89,08,320
14. BLACKROCK EMERGING FRONTIERS MASTER FUND LIMITED 2,25,232 1,080 1.87 24,32,50,560
15. BLACKROCK GLOBAL FUNDS – INDIA FUND 1,17,912 1,080 0.98 12,73,44,960
16. NATIONAL PENSION SERVICE BY BLACKROCK INSTITUTIONAL TRUST COMPANY, NA 46,297 1,080 0.39 5,00,00,760
17. GOVERNMENT PENSION FUND GLOBAL 3,89,441 1,080 3.24 42,05,96,280
18. ASHOKA INDIA OPPORTUNITIES FUND 3,89,441 1,080 3.24 42,05,96,280
19. ABU DHABI INVESTMENT AUTHORITY – MONSOON 3,89,441 1,080 3.24 42,05,96,280
20. NOMURA FUNDS IRELAND PUBLIC LIMITED COMPANY- NOMURA FUNDS IRELAND- INDIA EQUITY FUND 3,89,441 1,080 3.24 42,05,96,280
21. MORGAN STANLEY INDIA INVESTMENT FUND. INC. 2,97,271 1,080 2.47 32,10,52,680
22. MORGAN STANLEY INVESTMENT FUNDS INDIAN EQUITY FUND 92,170 1,080 0.77 9,95,43,600
23. MOTILAL OSWAL FLEXI CAP FUND 2,98,142 1,080 2.48 32,19,93,360
24. MOTILAL OSWAL LARGE AND MIDCAP FUND 91,299 1,080 0.76 9,86,02,920
25. NIPPON LIFE INDIA TRUSTEE LTD- A/C NIPPON INDIA PHARMA FUND RCT-RPF 1,94,727 1,080 1.62 21,03,05,160
26. NIPPON LIFE INDIA TRUSTEE LTD- A/C NIPPON INDIA FLEXI CAP FUND 1,94,714 1,080 1.62 21,02,91,120
27. AXIS MUTUAL FUND TRUSTEE LIMITED A/C AXIS MUTUAL FUND A/C AXIS GROWTH OPPORTUNITIES FUND 1,06,210 1,080 0.88 11,47,06,800
28. AXIS MUTUAL FUND TRUSTEE LIMITED A/C AXIS MUTUAL FUND A/C AXIS MIDCAP FUND 1,06,210 1,080 0.88 11,47,06,800
29. AXIS MUTUAL FUND TRUSTEE LIMITED A/C AXIS MUTUAL FUND A/C AXIS EQUITY HYBRID FUND 1,06,210 1,080 0.88 11,47,06,800
30. AXIS MUTUAL FUND TRUSTEE A/C AXIS MUTUAL FUND A/C AXIS EQUITY SAVER FUND 70,811 1,080 0.59 7,64,75,880
31. KOTAK EMERGING EQUITY SCHEME 2,78,174 1,080 2.31 30,04,27,920
32. KOTAK EQUITY OPPORTUNITIES FUND 1,11,267 1,080 0.93 12,01,68,360
33. DSP HEALTHCARE FUND 3,89,441 1,080 3.24 42,05,96,280
34. ADITYA BIRLA SUN LIFE TRUSTEE PRIVATE LIMITED A/C ADITYA BIRLA SUN LIFE PHARMA & HEALTHCARE FUND 64,909 1,080 0.54 7,01,01,720
35. ADITYA BIRLA SUN LIFE TRUSTEE PRIVATE LIMITED A/C ADITYA BIRLA SUN LIFE EQUITY HYBRID 95 FUND 62,582 1,080 0.52 6,75,88,560
36. ADITYA BIRLA SUN LIFE TRUSTEE PRIVATE LIMITED A/C ADITYA BIRLA SUN LIFE BAL BHAVISYA YOJNA 62,582 1,080 0.52 6,75,88,560
37. ADITYA BIRLA SUN LIFE TRUSTEE PRIVATE LIMITED A/C ADITYA BIRLA SUN LIFE BALANCED ADVANTAGE FUND 62,582 1,080 0.52 6,75,88,560
38. ADITYA BIRLA SUN LIFE TRUSTEE PRIVATE LIMITED A/C ADITYA BIRLA SUN LIFE MANUFACTURING EQUITY FUND 57,499 1,080 0.48 6,20,98,920
39. ADITYA BIRLA SUN LIFE TRUSTEE PRIVATE LIMITED A/C ADITYA BIRLA SUN LIFE RETIREMENT FUND THE 30S PLAN 45,578 1,080 0.38 4,92,24,240
40. ADITYA BIRLA SUN LIFE TRUSTEE PRIVATE LIMITED A/C ADITYA BIRLA SUN LIFE RETIREMENT FUND THE 40S PLAN 13,910 1,080 0.12 1,50,22,800
41. ADITYA BIRLA SUN LIFE TRUSTEE PRIVATE LIMITED A/C ADITYA BIRLA SUN LIFE EUQITY SAVINGS FUNDS 18,538 1,080 0.15 2,00,21,040
42. ADITYA BIRLA SUN LIFE TRUSTEE PRIVATE LIMITED A/C ADITYA BIRLA SUN LIFE RETIREMENT FUND THE 50S PLAN 1,261 1,080 0.01 13,61,880
43. THE WELLINGTON TRUST COMPANY NATIONAL ASSOCIATION MULTIPLE COMMON TRUST FUNDS TRUST EMERGING MARKETS LOCAL EQUITY PORTFOLIO 2,69,061 1,080 2.24 29,05,85,880
44. FRANKLIN INDIA EQUITY ADVANATGE FUND 1,52,880 1,080 1.27 16,51,10,400
45. FRANKLIN INDIA EQUITY HYBRID FUND 58,708 1,080 0.49 6,34,04,640
46. FRANKLIN INDIA BALANCED ADVANTAGE FUND 42,809 1,080 0.36 4,62,33,720
47. FRANKLIN INDIA PENSION PLAN 8,554 1,080 0.07 92,38,320
48. FRANKLIN INDIA EQUITY SAVINGS FUND 3,666 1,080 0.03 39,59,280
49. FRANKLIN INDIA DEBT HYBRID FUND 2,444 1,080 0.02 26,39,520
50. HDFC LIFE INSURANCE COMPANY LIMITED 2,69,061 1,080 2.24 29,05,85,880
51. ICICI PRUDENTIAL LIFE INSURANCE COMPANY LIMITED 2,69,061 1,080 2.24 29,05,85,880
52. SBI LIFE INSURANCE COMPANY LIMITED 2,69,061 1,080 2.24 29,05,85,880
53. POLAR CAPITAL FUNDS PLC-HEALTHCARE OPPORTUNITIES FUND 2,30,360 1,080 1.92 24,87,88,800
54. NEUBERGER BERMAN EMERGING MARKETS EQUITY FUND 2,28,553 1,080 1.90 24,68,37,240
55. HSBC GLOBAL INVESTMENT FUNDS –INDIAN EQUITY 2,24,549 1,080 1.87 24,25,12,920
56. THE PRUDENTIAL ASSURANCE COMPANY LIMITED 1,30,182 1,080 1.08 14,05,96,560
57. TT EMERGING MARKETS UNCONSTRAINED FUND 78,210 1,080 0.65 8,44,66,800
58. LGT SELECT FUNDS-LGT SELECT EQUITY EMERGING MARKETS 51,972 1,080 0.43 5,61,29,760
59. GRANDEUR PEAK EMERGING MARKETS OPPORTUNITIES 1,30,182 1,080 1.08 14,05,96,560
60. PUBLIC SECTOR PENSION INVESTMENT BOARD – IIFL ASSET MANAGEMENT LIMITED 1,30,182 1,080 1.08 14,05,96,560
61. TATA INDIA PHARMA AND HEALTHCARE FUND 69,446 1,080 0.58 7,50,01,680
62. TATA LARGE CAP FUND 60,736 1,080 0.51 6,55,94,880
63. UTI-MIDCAP FUND 82,849 1,080 0.69 8,94,76,920
64. UTI-HEALTHCARE FUND 47,333 1,080 0.39 5,11,19,640
65. CANARA ROBECO MUTUAL FUND A/C CANARA ROBECO FOCUSED EQUITY FUND 1,30,182 1,080 1.08 14,05,96,560
66. KOTAK MAHINDRA LIFE INSURANCE COMPANY LTD 1,30,182 1,080 1.08 14,05,96,560
67. BAJAJ ALLIANZ LIFE INSURANCE COMPANY LIMITED 1,30,182 1,080 1.08 14,05,96,560
68. ADITYA BIRLA SUN LIFE INSURANCE COMPANY LIMITED 1,30,182 1,080 1.08 14,05,96,560
69. MAX LIFE INSURANCE COMPANY LIMITED 1,30,182 1,080 1.08 14,05,96,560
70. TATA AIA LIFE INSURNACE COMPANY LTD A/C UNIT LINKED INDIA CONSUMPTION FUND 74,074 1,080 0.62 7,99,99,920
71. TATA AIA LIFE INSURANCE COMPANY LTD A/C EMERGING OPPORTUNITIES FUND (ULIF 064 12/09/22 EOF 110) 56,108 1,080 0.47 6,05,96,640
72. OPTIMIX WHOLSALE GLOBAL EMERGING MARKETS SHARE TRUST 94,367 1,080 0.79 10,19,16,360
73. AMUNDI FUNDS NEW SILK ROAD 94,367 1,080 0.79 10,19,16,360
74. HSBC FOCUS FUND 94,367 1,080 0.79 10,19,16,360
75. INVESCO INDIA MIDCAP FUND 49,608 1,080 0.41 5,35,76,640
76. INVESCO INDIA GROWTH OPPORTUNITIES FUND 44,759 1,080 0.37 4,83,39,720
77. QUANT MUTUAL FUND – QUANT LARGE CAP FUND 94,338 1,080 0.78 10,18,85,040
  TOTAL 1,20,17,652   100 12,97,90,64,610

 

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