Canara HSBC Life IPO Subscription Details

Bookbuilding IPO | ₹2,518 Cr | Listed at BSE, NSE | Fri, Oct 10, 2025 - Tue, Oct 14, 2025

Basis of Allotment - Canara HSBC Life IPO

Category QIB NII Retail Employees Total
Ex. Anchor Anchor Investor Total QIB Below ₹10L Above ₹10L Total NII
Allocation (No. of shares)4,71,90,0007,07,85,00011,79,75,0001,17,97,5002,35,95,0003,53,92,5008,25,82,50015,50,00023,75,00,000
Allotment price (Rs.)10610610610610610610696106
No.of applications3633692,0644862,5501,56,0946,1881,64,901
No.of shares applied33,28,53,0807,26,71,90040,55,24,98050,10,18063,28,4201,13,38,6003,27,39,28022,37,62045,18,40,480
Amount collected (Rs.cr.)3,528.24 770.32 4,298.56 53.11 67.08 120.19 347.04 21.48 4,786.56
No.of times subscribed7.051.033.440.420.270.320.401.441.90
No.of shares allotted12,10,87,1207,07,85,00019,18,72,12050,10,18063,28,4201,13,38,6003,27,39,28015,50,00023,75,00,000
Amount (Rs.cr.)1,283.52 750.32 2,033.84 53.11 67.08 120.19 347.04 14.88 2,515.95
No.of allottees3633692,0644862,5501,56,0945,0581,63,771

IPO Shares Offered

Canara HSBC Life IPO is a public issue of 23.75 Cr equity shares. The issue offers 8.26 Cr shares to retail investors, 11.80 Cr shares to qualified institutional buyers, and 3.54 Cr shares to non-institutional investors.

CategoryShares OfferedAmt (₹ Cr.)Size (%)
QIB 11,79,75,0001,250.54 49.67%
    Anchor 7,07,85,000 750.32 29.80%
    QIB (Ex Anchor) 4,71,90,000 500.21 19.87%
NII 3,53,92,500375.16 14.90%
    bNII (> ₹10L)2,35,95,000250.11 9.93%
    sNII (< ₹10L)1,17,97,500125.05 4.97%
Retail8,25,82,500875.37 34.77%
Employee15,50,00016.43 0.65%
Total23,75,00,0002,517.50 100%

Canara HSBC Life IPO Anchor Investor Allocation

A total of 7,07,85,000 shares at a price of Rs 106 per share will be allotted to the anchor investors.

Anchor investors bid opening dateOct 09, 2025
Anchor investor price₹106.00
Anchor investors as % of QIBs60.00%
No. of shares locked-in for 30 days3,53,92,500
No. of shares locked-in for 90 days3,53,92,500
S.No.Anchor InvestorGroup EntityNo. of Shares AllottedAmount (Rs.cr.)% Allotment within Anchor Investor Portion% Allotment of Issue
1 ICICI PRUDENTIAL QUALITY FUND ICICI PRUDENTIAL MUTUAL FUND 11,96,720 12.69 1.69 0.50
2 ICICI PRUDENTIAL ELSS TAX SAVER FUND ICICI PRUDENTIAL MUTUAL FUND 27,61,780 29.27 3.90 1.16
3 ICICI PRUDENTIAL EXPORTS & SERVICES FUND ICICI PRUDENTIAL MUTUAL FUND 11,50,940 12.20 1.63 0.48
4 ICICI PRUDENTIAL BANKING & FINANCIAL SERVICES FUND ICICI PRUDENTIAL MUTUAL FUND 46,02,920 48.79 6.50 1.94
5 ICICI PRUDENTIAL INNOVATION FUND ICICI PRUDENTIAL MUTUAL FUND 46,02,920 48.79 6.50 1.94
6 HDFC BALANCED ADVANTAGE FUND HDFC MUTUAL FUND 52,85,980 56.03 7.47 2.23
7 HDFC VALUE FUND HDFC MUTUAL FUND 35,24,080 37.36 4.98 1.48
8 HDFC MULTI CAP FUND HDFC MUTUAL FUND 35,24,080 37.36 4.98 1.48
9 ASHOKA WHITEOAK ICAV-ASHOKA WHITEOAK INDIA OPPORTUNITIES FUND ASHOKA WHITEOAK 33,05,260 35.04 4.67 1.39
10 ASHOKA WHITEOAK ICAV-ASHOKA WHITEOAK EMERGING MARKETS EQUITY FUND ASHOKA WHITEOAK 11,81,040 12.52 1.67 0.50
11 MIRAE ASSET ELSS TAX SAVER FUND MIRAE ASSET MUTUAL FUND 42,03,220 44.55 5.94 1.77
12 DSP SMALL CAP FUND DSP MUTUAL FUND 21,01,680 22.28 2.97 0.88
13 DSP BANKING & FINANCIAL SERVICES FUND DSP MUTUAL FUND 21,01,540 22.28 2.97 0.88
14 ALLIANZ GLOBAL INVESTORS FUND-ALLIANZ INDIA EQUITY ALLIANZ 35,11,480 37.22 4.96 1.48
15 PICTET-INDIAN EQUITIES PICTET 35,11,480 37.22 4.96 1.48
16 AMUNDI FUNDS NEW SILK ROAD AMUNDI 29,96,420 31.76 4.23 1.26
17 MARSHALL WACE INVESTMENT STRATEGIES-EUREKA FUND MARSHALL WACE 18,02,080 19.10 2.55 0.76
18 PUBLIC SECTOR PENSION INVESTMENT BOARD-IIFL ASSET MANAGEMENT LTD. PUBLIC SECTOR PENSION INVESTMENT BOARD 32,79,360 34.76 4.63 1.38
19 MATTHEWS INDIA FUND MATTHEWS 18,85,380 19.99 2.66 0.79
20 TATA BANKING & FINANCIAL SERVICES FUND TATA MUTUAL FUND 18,85,380 19.99 2.66 0.79
21 WHITEOAK CAPITAL FLEXI CAP FUND WHITEOAK CAPITAL MUTUAL FUND 11,16,920 11.84 1.58 0.47
22 WHITEOAK CAPITAL ELSS TAX SAVER FUND WHITEOAK CAPITAL MUTUAL FUND 76,720 0.81 0.11 0.03
23 WHITEOAK CAPITAL SPECIAL OPPORTUNITIES FUND WHITEOAK CAPITAL MUTUAL FUND 2,20,080 2.33 0.31 0.09
24 WHITEOAK CAPITAL BANKING & FINANCIAL SERVICES FUND WHITEOAK CAPITAL MUTUAL FUND 4,71,660 5.00 0.67 0.20
25 QUANT BFSI FUND QUANT MUTUAL FUND 18,85,380 19.99 2.66 0.79
26 ICICI PRUDENTIAL LIFE INSURANCE CO.LTD. ICICI PRUDENTIAL LIFE INSURANCE 14,14,280 14.99 2.00 0.60
27 MOTILAL OSWAL LARGE CAP FUND MOTILAL OSWAL MUTUAL FUND 19,81,840 21.01 2.80 0.83
28 KOTAK MAHINDRA LIFE INSURANCE CO.LTD. KOTAK LIFE INSURANCE 11,58,360 12.28 1.64 0.49
29 OXBOW INDIA FUND OXBOW 4,71,745 5.00 0.67 0.20
30 SOCIETE GENERALE-ODI SOCIETE GENERAL 21,59,050 22.89 3.05 0.91
31 INTEGRATED CORE STRATEGIES (ASIA) PTE.LTD. INTEGRATED CORE 4,71,740 5.00 0.67 0.20
32 COPTHALL MAURITIUS INVESTMENT LTD.-ODI ACCOUNT COPTHALL 4,71,740 5.00 0.67 0.20
33 SUSQUEHANNA PACIFIC PTY.LTD. SUSQUEHANN 4,71,745 5.00 0.67 0.20
7,07,85,000750.3210029.80

IPO Subscription FAQs

The Canara HSBC Life IPO is subscribed 2.3 times by Oct 14, 2025 17:04.

Canara HSBC Life IPO Subscription

Investor Category Subscription (times)
Qualified Institutional7.05
Non Institutional0.33
Retail Individual0.42
Employee Reservations2.06
Total Subscription2.3

Retail category of Canara HSBC Life IPO subscribed 0.42 times as of date Oct 14, 2025 17:04. The public issue closes on Tue, Oct 14, 2025 for bidding.

An investor can apply in Canara HSBC Life IPO online via bank (using ASBA) or the broker (using UPI). The Canara HSBC Life IPO shares are offered online only.

The Canara HSBC Life IPO is subscribed 2.3 times by Oct 14, 2025 17:04.

The Canara HSBC Life IPO allotment status is expected on or around Wednesday, October 15, 2025. Visit Canara HSBC Life IPO allotment status to check.

The Canara HSBC Life IPO listing date is October 17, 2025. The equity share of Canara HSBC Life IPO will list on BSE, NSE.

Visit Canara HSBC Life IPO subscription status page for real-time bidding information about Canara HSBC Life IPO.

Canara HSBC Life IPO Timetable

IPO opens OnFriday, October 10, 2025
IPO Closes OnTuesday, October 14, 2025
Finalisation of Basis of AllotmentWednesday, October 15, 2025
Initiation of RefundsThursday, October 16, 2025
Credit of Shares to Demat AccountThursday, October 16, 2025
IPO Listing DateFriday, October 17, 2025
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