Go Digit General Insurance IPO Subscription Details

Bookbuilding IPO | ₹2,615 Cr | Listed at BSE, NSE | Wed, May 15, 2024 - Fri, May 17, 2024

Basis of Allotment - Go Digit General Insurance IPO

Category QIB NII Retail Total
Ex. Anchor Anchor Investor Total QIB Below ₹10L Above ₹10L Total NII
Allocation (No. of shares)2,88,38,0074,32,57,0097,20,95,01648,06,33496,12,6681,44,19,00296,12,6689,61,26,686
Allotment price (Rs.)272272272272272272272272
No.of applications815613730,38420,37350,7575,02,5175,53,411
No.of shares applied36,12,08,2654,32,57,00940,44,65,2742,47,24,0957,95,66,74010,42,90,8353,92,36,83554,79,92,944
Amount collected (Rs.cr.)9,824.86 1,176.59 11,001.46 672.50 2,164.22 2,836.71 1,067.24 14,905.41
No.of times subscribed12.531.005.615.148.287.234.085.70
No.of shares allotted2,88,38,0074,32,57,0097,20,95,01648,06,33496,12,6681,44,19,00296,12,6689,61,26,686
Amount (Rs.cr.)784.39 1,176.59 1,960.98 130.73 261.46 392.20 261.46 2,614.65
No.of allottees81561376,24112,48318,7241,74,7751,93,636

IPO Shares Offered

Go Digit General Insurance IPO is a public issue of 9.61 Cr equity shares. The issue offers 0.96 Cr shares to retail investors, 7.21 Cr shares to qualified institutional buyers, and 1.44 Cr shares to non-institutional investors.

CategoryShares OfferedAmt (₹ Cr.)Size (%)
QIB 7,20,95,0161,960.98 75.00%
    Anchor 4,32,57,009 1,176.59 45.00%
    QIB (Ex Anchor) 2,88,38,007 784.39 30.00%
NII 1,44,19,002392.20 15.00%
    bNII (> ₹10L)96,12,668261.46 10.00%
    sNII (< ₹10L)48,06,334130.73 5.00%
Retail96,12,668261.46 10.00%
Total9,61,26,6862,614.65 100%

Go Digit General Insurance IPO Anchor Investor Allocation

A total of 4,32,57,009 shares at a price of Rs 272 per share will be allotted to the anchor investors.

Anchor investors bid opening dateMay 14, 2024
Anchor investor price₹272.00
Anchor investors as % of QIBs60.00%
No. of shares locked-in for 30 days2,16,28,505
No. of shares locked-in for 90 days2,16,28,505
S.No.Anchor InvestorGroup EntityNo. of Shares AllottedAmount (Rs.cr.)% Allotment within Anchor Investor Portion% Allotment of Issue
1 FIDELITY FUNDS-INDIA FOCUS FUND FIDELITY 34,37,665 93.50 7.95 3.58
2 FIDELITY INVESTMENT TRUST: FIDELITY EMERGING ASIA FUND FIDELITY 7,03,560 19.14 1.63 0.73
3 FIDELITY ADVISOR SERIES VIII: FIDELITY ADVISOR EMERGING ASIA FUND FIDELITY 2,95,130 8.03 0.68 0.31
4 FIDELITY INDIA FUND FIDELITY 2,38,810 6.50 0.55 0.25
5 FIDELITY FAR EAST FUND FIDELITY 1,85,130 5.04 0.43 0.19
6 BAY POND PARTNERS,LP BAY POND 17,78,810 48.38 4.11 1.85
7 BAY POND INVESTORS (BERMUDA) LP BAY POND 5,18,980 14.12 1.20 0.54
8 GOLDMAN SACHS FUNDS-GOLDMAN SACHS INDIA EQUITY PORTFOLIO GOLDMAN SACHS 22,97,790 62.50 5.31 2.39
9 ABU DHABI INVESTMENT AUTHORITY-MONSOON ABU DHABI INVESTMENT 22,97,790 62.50 5.31 2.39
10 SCHRODER INTERNATIONAL SELECTION FUND-SUSTAINABLE ASIAN EQUITY SCHRODER 9,19,105 25.00 2.12 0.96
11 EASTSPRING INVESTMENTS-INDIA CONSUMER EQUITY OPEN LTD. EASTSPRING 4,61,615 12.56 1.07 0.48
12 CUSTODY BANK OF JAPAN,LTD.RE: RB AMUNDI INDIA SMALL CAP EQUITY MOTHER FUND AMUNDI 18,38,210 50.00 4.25 1.91
13 SBI MNC FUND SBI MUTUAL FUND 17,99,380 48.94 4.16 1.87
14 SBI OPTIMAL EQUITY FUND-LONG TERM SBI 3,67,675 10.00 0.85 0.38
15 SBI LONG TERM ADVANTAGE FUND-SERIES VI SBI MUTUAL FUND 2,02,180 5.50 0.47 0.21
16 SBI MAGNUM CHILDREN'S BENEFIT FUND-INVESTMENT PLAN SBI MUTUAL FUND 55,165 1.50 0.13 0.06
17 ICICI PRUDENTIAL BANKING & FINANCIAL SERVICES FUND ICICI PRUDENTIAL MUTUAL FUND 15,72,285 42.77 3.63 1.64
18 ICICI PRUDENTIAL FLEXICAP FUND ICICI PRUDENTIAL MUTUAL FUND 11,00,605 29.94 2.54 1.14
19 ICICI PRUDENTIAL MULTICAP FUND ICICI PRUDENTIAL MUTUAL FUND 9,43,360 25.66 2.18 0.98
20 ICICI PRUDENTIAL GROWTH LEADERS FUND ICICI PRUDENTIAL 1,84,745 5.03 0.43 0.19
21 AXIS MIDCAP FUND AXIS MUTUAL FUND 7,41,345 20.16 1.71 0.77
22 AXIS INNOVATION FUND AXIS MUTUAL FUND 92,620 2.52 0.21 0.10
23 AXIS MULTICAP FUND AXIS MUTUAL FUND 4,26,195 11.59 0.99 0.44
24 AXIS SMALL CAP FUND AXIS MUTUAL FUND 7,41,180 20.16 1.71 0.77
25 AXIS BALANCED ADVANTAGE FUND AXIS MUTUAL FUND 2,96,450 8.06 0.69 0.31
26 MIRAE ASSET ELSS TAX SAVER FUND MIRAE ASSET MUTUAL FUND 18,38,265 50.00 4.25 1.91
27 MIRAE ASSET BANKING & FINANCIAL SERVICES FUND MIRAE ASSET MUTUAL FUND 4,59,525 12.50 1.06 0.48
28 ASHOKA WHITEOAK ICAV-ASHOKA WHITEOAK INDIA OPPORTUNITIES FUND ASHOKA WHITEOAK 18,38,155 50.00 4.25 1.91
29 ASHOKA WHITEOAK ICAV-ASHOKA WHITEOAK EMERGING MARKETS EQUITY FUND ASHOKA WHITEOAK 2,75,770 7.50 0.64 0.29
30 ASHOKA WHITEOAK EMERGING MARKETS TRUST PLC ASHOKA WHITEOAK 1,83,865 5.00 0.43 0.19
31 MALABAR INDIA FUND LTD. MALABAR 13,78,685 37.50 3.19 1.43
32 MALABAR SELECT FUND MALABAR 5,51,430 15.00 1.27 0.57
33 MALABAR MIDCAP FUND MALABAR 3,67,675 10.00 0.85 0.38
34 STEADVIEW CAPITAL MAURITIUS LTD. STEADVIEW CAPITAL 13,78,689 37.50 3.19 1.43
35 OPTIMIX WHOLESALE GLOBAL EMERGING MARKETS SHARE TRUST OPTIMIX 13,78,630 37.50 3.19 1.43
36 ACM GLOBAL FUND VCC ACM 9,19,105 25.00 2.12 0.96
37 HDFC LIFE INSURANCE CO.LTD. HDFC LIFE INSURANCE 9,19,105 25.00 2.12 0.96
38 INVESCO INDIA MIDCAP FUND INVESCO MUTUAL FUND 9,19,105 25.00 2.12 0.96
39 TATA FLEXI CAP FUND TATA MUTUAL FUND 9,19,105 25.00 2.12 0.96
40 HSBC FLEXI CAP FUND HSBC MUTUAL FUND 9,19,105 25.00 2.12 0.96
41 VOLRADO VENTURE PARTNERS FUND III-BETA VOLRADO 9,19,105 25.00 2.12 0.96
42 NHIT: GLOBAL EMERGING MARKETS EQUITY TRUST NHIT: GLOBAL 9,19,105 25.00 2.12 0.96
43 FLORIDA RETIREMENT SYSTEM-ALLSPRING GLOBAL INVESTMENTS,LLC (EMSC) FLORIDA RETIREMENT SYSTEM 3,67,675 10.00 0.85 0.38
44 SINGULARITY EQUITY FUND I SINGULARITY 3,67,675 10.00 0.85 0.38
45 MOTILAL OSWAL LARGE CAP FUND MOTILAL OSWAL MUTUAL FUND 3,67,675 10.00 0.85 0.38
46 EDELWEISS RECENTLY LISTED IPO FUND EDELWEISS MUTUAL FUND 3,67,675 10.00 0.85 0.38
47 MAX LIFE INSURANCE CO.LTD. MAX LIFE INSURANCE 3,67,675 10.00 0.85 0.38
48 TATA AIA LIFE INSURANCE CO.LTD.-UNIT LINKED MULTICAP FUND TATA AIA LIFE INSURANCE 3,67,675 10.00 0.85 0.38
49 BAJAJ ALLIANZ LIFE INSURANCE CO.LTD. BAJAJ ALLIANZ LIFE INSURANCE 3,67,675 10.00 0.85 0.38
50 BANDHAN LARGE CAP FUND BANDHAN MUTUAL FUND 1,83,865 5.00 0.43 0.19
51 BANDHAN FINANCIAL SERVICES FUND BANDHAN MUTUAL FUND 1,83,810 5.00 0.42 0.19
52 PGIM INDIA ELSS TAX SAVER FUND PGIM INDIA MUTUAL FUND 91,905 2.50 0.21 0.10
53 PGIM INDIA LARGE & MIDCAP FUND PGIM INDIA MUTUAL FUND 91,905 2.50 0.21 0.10
54 PGIM INDIA MIDCAP FUND PGIM INDIA MUTUAL FUND 1,83,865 5.00 0.43 0.19
55 MORGAN STANLEY ASIA (SINGAPORE) PTE.-ODI MORGAN STANLEY 1,83,865 5.00 0.43 0.19
56 GHISALLO MASTER FUND LP GHISALLO 1,83,865 5.00 0.43 0.19
4,32,57,0091,176.5910045.00

IPO Subscription FAQs

The Go Digit General Insurance IPO is subscribed 9.6 times by May 17, 2024 18:19.

Go Digit General Insurance IPO Subscription

Investor Category Subscription (times)
Qualified Institutional12.56
Non Institutional7.24
Retail Individual4.27
Total Subscription9.6

Retail category of Go Digit General Insurance IPO subscribed 4.27 times as of date May 17, 2024 18:19. The public issue closes on Fri, May 17, 2024 for bidding.

An investor can apply in Go Digit General Insurance IPO online via bank (using ASBA) or the broker (using UPI). The Go Digit General Insurance IPO shares are offered online only.

The Go Digit General Insurance IPO is subscribed 9.6 times by May 17, 2024 18:19.

The Go Digit General Insurance IPO allotment status is expected on or around Tuesday, May 21, 2024. Visit Go Digit General Insurance IPO allotment status to check.

The Go Digit General Insurance IPO listing date is May 23, 2024. The equity share of Go Digit General Insurance IPO will list on BSE, NSE.

Visit Go Digit General Insurance IPO subscription status page for real-time bidding information about Go Digit General Insurance IPO.

Go Digit General Insurance IPO Timetable

IPO opens OnWednesday, May 15, 2024
IPO Closes OnFriday, May 17, 2024
Finalisation of Basis of AllotmentTuesday, May 21, 2024
Initiation of RefundsWednesday, May 22, 2024
Credit of Shares to Demat AccountWednesday, May 22, 2024
IPO Listing DateThursday, May 23, 2024
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