Honasa Consumer IPO Subscription Details

Bookbuilding IPO | ₹1,701 Cr | Listed at BSE, NSE | Tue, Oct 31, 2023 - Thu, Nov 2, 2023

Basis of Allotment - Honasa Consumer IPO

Category QIB NII Retail Employees Total
Ex. Anchor Anchor Investor Total QIB Below ₹10L Above ₹10L Total NII
Allocation (No. of shares)1,57,44,8202,36,17,2283,93,62,04826,24,13752,48,27278,72,40952,48,27234,0135,25,16,742
Allotment price (Rs.)324324324324324324324294324
No.of applications54491039,0074,41313,42096,509651,10,097
No.of shares applied18,09,70,3022,45,15,47020,54,85,77262,09,0342,54,60,4483,16,69,48268,59,10622,67824,40,37,038
Amount collected (Rs.cr.)5,863.44 794.30 6,657.74 201.17 824.92 1,026.09 222.24 0.67 7,906.48
No.of times subscribed11.491.045.222.374.854.021.310.674.65
No.of shares allotted1,57,52,5352,36,17,2283,93,69,76326,24,65152,49,30078,73,95152,49,30022,6785,25,15,692
Amount (Rs.cr.)510.38 765.20 1,275.58 85.04 170.08 255.12 170.08 0.67 1,701.44
No.of allottees54491034,0754,4138,48896,509651,05,165

IPO Shares Offered

Honasa Consumer IPO is a public issue of 5.25 Cr equity shares. The issue offers 0.52 Cr shares to retail investors, 3.94 Cr shares to qualified institutional buyers, and 0.79 Cr shares to non-institutional investors.

CategoryShares OfferedAmt (₹ Cr.)Size (%)
QIB 3,93,62,0481,275.33 74.95%
    Anchor 2,36,17,228 765.20 44.97%
    QIB (Ex Anchor) 1,57,44,820 510.13 29.98%
NII 78,72,409255.07 14.99%
    bNII (> ₹10L)52,48,272170.04 9.99%
    sNII (< ₹10L)26,24,13785.02 5.00%
Retail52,48,272170.04 9.99%
Employee34,0131.10 0.06%
Total5,25,16,7421,701.54 100%

Honasa Consumer IPO Anchor Investor Allocation

A total of 2,36,17,228 shares at a price of Rs 324 per share will be allotted to the anchor investors.

Anchor investors bid opening dateOct 30, 2023
Anchor investor price₹324.00
Anchor investors as % of QIBs60.00%
No. of shares locked-in for 30 days1,18,08,614
No. of shares locked-in for 90 days1,18,08,614
S.No.Anchor InvestorGroup EntityNo. of Shares AllottedAmount (Rs.cr.)% Allotment within Anchor Investor Portion% Allotment of Issue
1 SMALLCAP WORLD FUND,INC. SMALLCAP WORLD FUND 20,70,046 67.07 8.77 3.94
2 FIDELITY FUNDS-INDIA FOCUS FUND FIDELITY 8,14,706 26.40 3.45 1.55
3 FIDELITY FUNDS-SUSTAINABLE CONSUMER BRANDS POOL FIDELITY 4,19,888 13.60 1.78 0.80
4 GOVERNMENT PENSION FUND GLOBAL GOVERNMENT PENSION FUND GLOBAL 12,34,594 40.00 5.23 2.35
5 ABU DHABI INVESTMENT AUTHORITY-MONSOON ABU DHABI INVESTMENT 12,34,594 40.00 5.23 2.35
6 ASHOKA INDIA EQUITY INVESTMENT TRUST PLC ASHOKA 1,55,388 5.03 0.66 0.30
7 ASHOKA INDIA OPPORTUNITIES FUND ASHOKA 4,62,990 15.00 1.96 0.88
8 CAISSE DE DEPOT ET PLACEMENT DU QUEBEC-FIRST SENTIER INVESTORS INTERNATIONAL IM LTD. CAISSE DE DEPOT ET PLACEMENT DU QUEBEC 4,44,130 14.39 1.88 0.85
9 SCOTTISH ORIENTAL SMALLER COMPANIES TRUST PLC,THE SCOTTISH 4,41,186 14.29 1.87 0.84
10 FSSA INDIAN SUBCONTINENT FUND AS SUB FUND OF FIRST SENTIER INVESTORS GLOBAL UMBRELLA FUND PLC FSSA INDIAN SUBCONTINENT FUND 3,49,278 11.32 1.48 0.67
11 ICICI PRUDENTIAL BHARAT CONSUMPTION FUND ICICI PRUDENTIAL MUTUAL FUND 7,25,420 23.50 3.07 1.38
12 ICICI PRUDENTIAL FMCG FUND ICICI PRUDENTIAL MUTUAL FUND 5,56,600 18.03 2.36 1.06
13 ADITYA BIRLA SUN LIFE LARGE & MID CAP FUND ADITYA BIRLA SUN LIFE MUTUAL FUND 4,16,668 13.50 1.76 0.79
14 ADITYA BIRLA SUN LIFE INDIA GENNEXT FUND ADITYA BIRLA SUN LIFE MUTUAL FUND 4,47,534 14.50 1.89 0.85
15 ADITYA BIRLA SUN LIFE SMALL CAP FUND ADITYA BIRLA SUN LIFE MUTUAL FUND 4,16,668 13.50 1.76 0.79
16 NIPPON INDIA SMALL CAP FUND NIPPON INDIA MUTUAL FUND 12,80,870 41.50 5.42 2.44
17 AXIS EQUITY SAVINGS FUND AXIS MUTUAL FUND 1,23,418 4.00 0.52 0.24
18 AXIS RETIREMENT FUND-AGGRESSIVE PLAN AXIS MUTUAL FUND 2,46,882 8.00 1.05 0.47
19 AXIS SMALL CAP FUND AXIS MUTUAL FUND 3,70,530 12.01 1.57 0.71
20 AXIS INNOVATION FUND AXIS MUTUAL FUND 2,46,882 8.00 1.05 0.47
21 AXIS BALANCED ADVANTAGE FUND AXIS MUTUAL FUND 2,46,882 8.00 1.05 0.47
22 WHITEOAK CAPITAL FLEXI CAP FUND WHITEOAK CAPITAL MUTUAL FUND 3,65,562 11.84 1.55 0.70
23 WHITEOAK CAPITAL LARGE CAP FUND WHITEOAK CAPITAL MUTUAL FUND 26,312 0.85 0.11 0.05
24 WHITEOAK CAPITAL MID CAP FUND WHITEOAK CAPITAL MUTUAL FUND 1,89,704 6.15 0.80 0.36
25 WHITEOAK CAPITAL MULTI CAP FUND WHITEOAK CAPITAL MUTUAL FUND 96,692 3.13 0.41 0.18
26 WHITEOAK CAPITAL ELSS TAX SAVER FUND WHITEOAK CAPITAL MUTUAL FUND 18,446 0.60 0.08 0.04
27 INVESCO INDIA SMALLCAP FUND INVESCO MUTUAL FUND 6,40,412 20.75 2.71 1.22
28 INVESCO INDIA MULTICAP FUND INVESCO MUTUAL FUND 6,40,458 20.75 2.71 1.22
29 CANARA ROBECO MULTI CAP FUND CANARA ROBECO MUTUAL FUND 7,71,604 25.00 3.27 1.47
30 KOTAK FUNDS-INDIA MIDCAP FUND KOTAK 9,25,934 30.00 3.92 1.76
31 DSP INDIA FUND DSP 8,48,792 27.50 3.59 1.62
32 CARMIGNAC PORTFOLIO CARMIGNAC 6,17,320 20.00 2.61 1.18
33 MATTHEWS INDIA FUND MATTHEWS 6,17,320 20.00 2.61 1.18
34 FRANKLIN TEMPLETON INVESTMENT FUNDS-TEMPLETON EMERGING MARKETS SMALLER COMPANIES FUND FRANKLIN TEMPLETON 3,21,908 10.43 1.36 0.61
35 TEMPLETON GLOBAL INVESTMENT TRUST-TEMPLETON EMERGING MARKETS SMALL CAP FUND TEMPLETON 2,95,412 9.57 1.25 0.56
36 GOLDMAN SACHS (SINGAPORE) PTE.-ODI GOLDMAN SACHS 6,17,320 20.00 2.61 1.18
37 DESTINATIONS INTERNATIONAL EQUITY FUND,A SERIES OF BRINKER CAPITAL DESTINATIONS TRUST DESTINATIONS 6,17,320 20.00 2.61 1.18
38 SBI LIFE INSURANCE CO.LTD. SBI LIFE INSURANCE 6,18,378 20.04 2.62 1.18
39 ICICI PRUDENTIAL LIFE INSURANCE CO.LTD. ICICI PRUDENTIAL LIFE INSURANCE 6,17,320 20.00 2.61 1.18
40 ADITYA BIRLA SUN LIFE INSURANCE CO.LTD. ADITYA BIRLA SUN LIFE INSURANCE 6,17,320 20.00 2.61 1.18
41 MAX LIFE INSURANCE CO.LTD.-ULIF 00325/06/04 LIFECONSER104-CONSERVATIVE FUND MAX LIFE INSURANCE 46,276 1.50 0.20 0.09
42 AXIS MAX LIFE INSURANCE LTD.-ULIF 01311/02/08 LIFE HIGHER 104-HIGH GROWTH FUND AXIS MAX LIFE INSURANCE 3,08,660 10.00 1.31 0.59
43 AXIS MAX LIFE INSURANCE LTD.-ULIF 01425/03/08 LIFEDYNOPP 104-DYNAMIC OPPORTUNITIES FUND AXIS MAX LIFE INSURANCE 92,644 3.00 0.39 0.18
44 MAX LIFE INSURANCE CO.LTD.-ULIF 00525/11/05 PENSGROWTH 104-PENSION GROWTH FUND MAX LIFE INSURANCE 46,276 1.50 0.20 0.09
45 BAJAJ ALLIANZ LIFE INSURANCE CO.LTD. BAJAJ ALLIANZ LIFE INSURANCE 1,85,196 6.00 0.78 0.35
46 BHARTI AXA LIFE INSURANCE CO.LTD. BHARTI AXA LIFE INSURANCE 1,85,196 6.00 0.78 0.35
47 FUNDPARTNER SOLUTIONS (SUISSE) SA-MIGROS-PENSIONSKASSE FONDS-AKTIEN WELT FUNDPARTNER SOLUTIONS (SUISSE) SA 2,44,766 7.93 1.04 0.47
48 HORNBILL ORCHID INDIA FUND HORNBILL ORCHID 1,85,196 6.00 0.78 0.35
49 KOTAK OPTIMUS AGGRESSIVE SCHEME KOTAK 1,54,330 5.00 0.65 0.29
2,36,17,228765.2010044.97

IPO Subscription FAQs

The Honasa Consumer IPO is subscribed 7.61 times by Nov 02, 2023 19:02.

Honasa Consumer IPO Subscription

Investor Category Subscription (times)
Qualified Institutional11.5
Non Institutional4.02
Retail Individual1.35
Employee Reservations4.88
Total Subscription7.61

Retail category of Honasa Consumer IPO subscribed 1.35 times as of date Nov 02, 2023 19:02. The public issue closes on Thu, Nov 2, 2023 for bidding.

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

The Honasa Consumer IPO is subscribed 7.61 times by Nov 02, 2023 19:02.

The Honasa Consumer IPO allotment status is expected on or around Monday, November 6, 2023. Visit Honasa Consumer IPO allotment status to check.

The Honasa Consumer IPO listing date is November 7, 2023. The equity share of Honasa Consumer IPO will list on BSE, NSE.

Visit Honasa Consumer IPO subscription status page for real-time bidding information about Honasa Consumer IPO.

Honasa Consumer IPO Timetable

IPO opens OnTuesday, October 31, 2023
IPO Closes OnThursday, November 2, 2023
Finalisation of Basis of AllotmentMonday, November 6, 2023
Initiation of RefundsMonday, November 6, 2023
Credit of Shares to Demat AccountMonday, November 6, 2023
IPO Listing DateTuesday, November 7, 2023
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