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ICICI Prudential Asset Management Co. Limited

The ICICI Prudential Asset Management Company IPO was launched as a book-built public issue aggregating ₹10,602.65 crore, structured entirely as an Offer for Sale (OFS) of 4.90 crore equity shares, with no fresh issue component.

The IPO opened for subscription on December 12, 2025, and closed on December 16, 2025. The basis of allotment was finalized on December 17, 2025, and the company’s shares were listed on both the BSE and NSE on December 19, 2025.

The price band was fixed at ₹2,165 per share, with a lot size of 6 shares. Retail investors were required to invest a minimum of ₹12,990, calculated at the upper end of the price band. For non-institutional investors, the minimum application size for small NIIs (sNIIs) was 16 lots (96 shares) amounting to ₹2,07,840, while big NIIs (bNIIs) needed to apply for 77 lots (462 shares), requiring an investment of ₹10,00,230.

Citigroup Global Markets India Private Limited acted as the Book Running Lead Manager, and KFin Technologies Limited served as the Registrar to the Issue.

ICICI Prudential Asset Management Co. Limited IPO & Charts
₹2165

0%

Open

₹2165

HIgh - Low

₹2165

Previous Close

₹2165

Total Traded Value

0

52 Weeks High

₹2165

52 Weeks Low

₹2165

Updates On

Dec 5, 2025

IPO. Open

Dec 12, 2026

IPO. Close

Dec 16, 2026

IPO. Price

₹2165.00

IPO Market price

₹1,07,006.97 Cr

IPO Details

IPO Date 19 Dec
IPO Listing Date 19 Dec
IPO Face Value ₹1 per share
IPO Price Range ₹2165.00
IPO Issue Size 4,89,72,994 shares
IPO Sale Type Offer For Sale
Employee Discount -
IPO Issue Type Bookbuilding IPO
IPO Listing BSE, NSE Platform
Share Holding Pre Issue 49,42,58,520 shares

IPO Timeline

IPO Open Date 12 Dec
IPO Close Date 16 Dec
IPO Allotment (Tentative) 17 Dec
Refunds 18 Dec
Credit to Demat Account 18 Dec
IPO Listing Date 19 Dec

IPO Reservation

Category Offer
QIB Shares Offered 2,32,62,172 (47.50%) Shares
NII (HNI) Shares Offered 69,78,652 (14.25%) Shares
Retail Shares Offered 1,62,83,521 (33.25%) Shares

IPO Lot Size

Investors can bid for a minimum of 6 shares, and in multiples of 6 shares thereafter.

Application Lots Share Amount
Retail (Min) 1 6 ₹12,990
Retail (Max) 15 90 ₹1,94,850
S-HNI (Min) 16 96 ₹2,07,840
S-HNI (Max) 76 456 ₹9,87,240
B-HNI (Min) 77 462 ₹10,00,230
About Company

Established in 1993, ICICI Prudential Asset Management Company is one of India’s leading asset managers. The company follows a disciplined investment philosophy that prioritizes risk management while focusing on generating sustainable long-term returns for its investors.

As of September 30, 2025, ICICI Prudential AMC reported a quarterly average assets under management (QAAUM) of ₹10,147.6 billion, reflecting its strong position in the asset management industry. Along with its mutual fund business, the company also provides Portfolio Management Services (PMS), Alternative Investment Funds (AIFs), and advisory services, including offerings for offshore clients.

ICICI Prudential AMC manages the highest number of mutual fund schemes in India. As of the same date, it offered 143 schemes across equity, debt, passive funds, fund-of-funds, liquid, overnight, and arbitrage categories.

The company operates a robust pan-India distribution network with 272 offices spread across 23 states and 4 union territories. Supported by a workforce of 3,541 full-time employees, ICICI Prudential AMC benefits from a diversified product portfolio, strong investor base, experienced leadership, and a consistent record of profitable growth.

ICICI Prudential Asset Management Co. Ltd. reported a 32% increase in revenue and a 29% growth in profit after tax (PAT) for the financial year ended March 31, 2025, compared to the previous year ended March 31, 2024.

Company Financials (Consolidated)

Assets 4,827.34 4,383.68 4,096.74
Total Income 2,949.61 4,979.67 2,458.23
Profit After Tax 1,617.74 2,650.66 1,327.11
EBITDA 2,210.10 3,636.99 1,837.55
NET Worth 3,921.56 3,516.94 3,272.28
Reserves and Surplus 3,903.91 3,432.85 3,254.63
Total Borrowing - - -

Key Performance Indicator (KPI)

ROE 83%
ROCE -
Debt/Equity -
RoNW 83%
PAT Margin -
EBITDA Margin -
Price to Book Value 30.41
IPO Objective

IPO Objects of the Issue

S.No. Objects of the ipo Resources Detail IPO Amount
1 Funding capital expenditure requirements for the purchase of equipment/machineries -
2 To meet out the expenses of Working Capital Requirement -
3 To meet out the General Corporate Purposes; -
4 Offer for Sale (OFS) -

Contact Details

ICICI Prudential Asset Management Co.Ltd.
12 th Floor, Narain Manzil,
23, Barakhamba Road,
Delhi, New Delhi, 110001
Phone: +91 022 2651 500
Email: amcinvestors@icicipruamc.com
Website: http://www.icicipruamc.com/

Detail Registrar

IPO Registrar

Kfin Technologies Ltd.
Phone: 04067162222, 04079611000
Email: icicipruamc.ipo@kfintech.com
Website: https://ipostatus.kfintech.com/

FAQ

The IPO was priced at ₹2,165 per share, with a minimum lot size of 6 shares. Retail investors could invest as low as ₹12,990 at the upper price band.

The IPO opened on 12th December 2025 and closed on 16th December 2025. The allotment was finalized on 17th December 2025.

This IPO was an Offer For Sale (OFS) with no fresh issue, raising ₹10,602.65 crore through 4.90 crore equity shares sold by promoters.

The shares were listed on both BSE and NSE on 19th December 2025 after allotment and credit to investors’ Demat accounts.

ICICI Prudential AMC is one of India’s largest asset managers, offering mutual funds, PMS, AIFs, and advisory services with a strong pan-India presence and robust investor base.

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