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SBI Funds Management Ltd Logo

SBI Funds Management Ltd IPO

Closed Mainboard NSE & BSE OFS only
← Back to GMP
Issue Price ₹574
GMP +₹90
Est. Listing ₹664 (+16%)
Lot Size 26
Face Value ₹1
Issue Size 203,709,239 shares (agg. up to ₹11,693 Cr)
Subscription 2.56x

IPO Timeline

Open Date14-Jul-26
Close Date16-Jul-26
Allotment17-Jul-26
Refund Initiation20-Jul-26
Demat Credit20-Jul-26
UPI Mandate Deadline-
Listing Date21-Jul-26
Lock-in (30%)16-Aug-26
Lock-in (50%)15-Oct-26

Category-wise Subscription

Shares offered, bid & amount
CategorySub (x)OfferedBid ForAmt (Cr)*
QIB 56.63x 77,321,826 4,378,681,424 ₹4,438 Cr
NII (HNI) 22.30x 23,196,549 517,328,786 ₹1,331 Cr
Retail 3.43x 54,125,280 185,918,044 ₹3,107 Cr
Employee 3,257,347 ₹187 Cr
Σ  Total2.56x3,257,3478,328,086₹187 Cr

Only available investor categories are shown. Amount is auto-calculated when shares offered and issue price are available.

Issue Details

Issue Price / Price Band₹574
Face Value₹1
Lot Size26 shares
Issue Size203,709,239 shares (agg. up to ₹11,693 Cr)
Issue TypeMainboard
Listing ExchangeNSE & BSE
Sale TypeOFS only
Script Code
Offer for Sale203,709,239 shares of ₹1 (agg. up to ₹11,693 Cr)
Net Offer to Public
Amount In₹ Crore
Stock Price History · BSE
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Minimum Investment (Lot-wise)

CategoryLotsSharesAmount (₹)
Retail (Min)126₹14,924
Retail (Max)13338₹194,012
S-HNI (Min)14364₹208,936
B-HNI (Min)671,742₹999,908
Retail1 lot(s)26 shares₹14,924
S-HNI68 lot(s)1,768 shares₹1,014,832

Shareholding Pattern

Pre-Issue Shareholding2,036,827,612 shares%
Post-Issue Shareholding2,036,827,612 shares%
Reserved for Market Maker

Financial Statements Amount in ₹ Crore

Metric 31 Mar 2026 31 Mar 2025 31 Mar 2024
Revenue 4,976 4,236 3,426
EBITDA 4,058 3,413 2,719
Profit After Tax 3,067 2,540 2,073
Net Worth 5,963 8,298 6,748
Total Assets 6,420 8,772 7,107
Reserves & Surplus 327 255 182

Valuation & Key Ratios

ROE43%
ROCE
RONW43%
PAT Margin
EBITDA Margin92%
Debt/Equity
P/BV20
Pre EPS₹15
Post EPS₹15
Pre P/E38
Post P/E38

Grey Market Premium (GMP)

+₹90 Current GMP
₹664 Est. Listing Price
+16% Expected Gain

GMP is an unofficial grey market indicator and does not guarantee actual listing price. Invest at your own risk.

Objects of the Issue

Company Overview

SBI Funds Management Ltd was established in 1992 and is the largest asset management company (AMC) in India based on assets under management (AUM). The company manages the well-known SBI Mutual Fund. It is a joint venture between State Bank of India and Amundi. The company offers a wide range of investment products such as equity funds, debt funds, hybrid funds, ETFs, and portfolio management services (PMS). As of 2025, the company manages around ₹16.32 lakh crore in assets, which represents about 15.5% of India’s total mutual fund AUM.

As of December 31, 2025, the company serves more than 16.05 million investors, including both individual and institutional clients.

It manages a diversified portfolio of 126 mutual fund schemes, covering different categories such as:

  • Equity and equity-oriented funds
  • Debt funds
  • Arbitrage funds
  • Exchange Traded Funds (ETFs)
  • Index funds
  • Overseas fund-of-funds
  • Liquid and overnight funds

The company also has a global investment presence. Its international business includes:

India-focused investment mandates for institutional investors in Japan, Australia, and Korea, with AUM of ₹232,090.37 million.

UCITS India-focused funds sponsored by Amundi, with AUM of ₹86,816.48 million, distributed across Europe, the Middle East, South America, and Southeast Asia.

Advisory services for Amundi’s Global Emerging Markets funds, managing ₹145,839.65 million in India-related assets.

Competitive Strengths

  1. Market Leader in India
    The company is the largest asset management company in India by mutual fund AUM, benefiting from strong growth and operating scale.
  2. Leader in Portfolio Management Services (PMS)
    It is the largest PMS provider in India, with 39% market share in PMS and advisory assets. It also runs the largest Specialized Investment Fund (SIF) platform with 61% market share.
  3. Strong SIP Franchise
    The company has a 16.09% market share in live SIP accounts, showing strong investor trust and long-term investment participation.
  4. Structured Investment Process
    A process-driven investment framework helps maintain consistent performance and supports continuous product innovation.
  5. Strong Distribution Network
    A well-diversified, pan-India distribution network helps the company reach a wide range of investors.
  6. Advanced Technology and Data Use
    The company uses modern technology and data analytics to improve investor engagement and provide better services.

Company Information

Address9 th Floor, Crescenzo C – 38 & 39, G Block Bandra Kurla Complex, Bandra (East) Mumbai, Maharashtra, 400051