NSDL IPO Subscription Details

Bookbuilding IPO | ₹4,011 Cr | Listed at BSE | Wed, Jul 30, 2025 - Fri, Aug 1, 2025

Basis of Allotment - NSDL IPO

Category QIB NII Retail Employees Total
Ex. Anchor Anchor Investor Total QIB Below ₹10L Above ₹10L Total NII
Allocation (No. of shares)1,00,12,0001,50,17,9992,50,29,99925,03,00050,06,00175,09,0011,75,21,00185,0005,01,45,001
Allotment price (Rs.)800800800800800800800724800
No.of applications221612822,57,8441,34,9053,92,74945,72,76448249,66,277
No.of shares applied1,03,87,24,2181,62,33,8581,05,49,58,0767,26,61,24818,82,66,96826,09,28,21613,02,56,6761,20,7981,44,62,63,766
Amount collected (Rs.cr.)83,097.94 1,298.71 84,396.65 5,812.90 15,061.36 20,874.26 10,420.53 8.75 1,15,682.47
No.of times subscribed103.751.0842.1529.0337.6134.757.431.4228.84
No.of shares allotted1,00,12,0001,50,17,9992,50,29,99925,03,00050,06,00175,09,0011,75,21,00185,0005,01,45,001
Amount (Rs.cr.)800.96 1,201.44 2,002.40 200.24 400.48 600.72 1,401.68 6.15 4,010.95
No.of allottees219612809,93219,86529,7979,73,38848210,03,947

IPO Shares Offered

NSDL IPO is a public issue of 5.01 Cr equity shares. The issue offers 1.75 Cr shares to retail investors, 2.50 Cr shares to qualified institutional buyers, and 0.75 Cr shares to non-institutional investors.

CategoryShares OfferedAmt (₹ Cr.)Size (%)
QIB 2,50,29,9992,002.40 49.92%
    Anchor 1,50,17,999 1,201.44 29.95%
    QIB (Ex Anchor) 1,00,12,000 800.96 19.97%
NII 75,09,001600.72 14.97%
    bNII (> ₹10L)50,06,001400.48 9.98%
    sNII (< ₹10L)25,03,000200.24 4.99%
Retail1,75,21,0011,401.68 34.94%
Employee85,0006.80 0.17%
Total5,01,45,0014,011.60 100%

NSDL IPO Anchor Investor Allocation

A total of 1,50,17,999 shares at a price of Rs 800 per share will be allotted to the anchor investors.

Anchor investors bid opening dateJul 29, 2025
Anchor investor price₹800.00
Anchor investors as % of QIBs60.00%
No. of shares locked-in for 30 days75,09,000
No. of shares locked-in for 90 days75,09,000
S.No.Anchor InvestorGroup EntityNo. of Shares AllottedAmount (Rs.cr.)% Allotment within Anchor Investor Portion% Allotment of Issue
1 LIFE INSURANCE CORP.OF INDIA LIFE INSURANCE CORP.OF INDIA 17,99,982 144.00 11.99 3.59
2 SMALLCAP WORLD FUND,INC. SMALLCAP WORLD FUND 12,51,234 100.10 8.33 2.50
3 SBI BANKING & FINANCIAL SERVICES FUND SBI MUTUAL FUND 6,07,482 48.60 4.05 1.21
4 SBI RESURGENT INDIA OPPORTUNITIES SCHEME SBI MUTUAL FUND 1,62,504 13.00 1.08 0.32
5 ICICI PRUDENTIAL ELSS TAX SAVER FUND ICICI PRUDENTIAL MUTUAL FUND 3,85,002 30.80 2.56 0.77
6 ICICI PRUDENTIAL EXPORTS & SERVICES FUND ICICI PRUDENTIAL MUTUAL FUND 1,92,492 15.40 1.28 0.38
7 ICICI PRUDENTIAL QUALITY FUND ICICI PRUDENTIAL MUTUAL FUND 1,92,492 15.40 1.28 0.38
8 HDFC VALUE FUND HDFC MUTUAL FUND 3,29,994 26.40 2.20 0.66
9 HDFC BANKING & FINANCIAL SERVICES FUND HDFC MUTUAL FUND 2,58,498 20.68 1.72 0.52
10 HDFC CHILDREN'S FUND HDFC MUTUAL FUND 1,81,494 14.52 1.21 0.36
11 FIDELITY FUNDS-INDIA FOCUS FUND FIDELITY 8,12,484 65.00 5.41 1.62
12 FIDELITY INVESTMENT TRUST: FIDELITY SERIES EMERGING MARKETS OPPORTUNITIES FUND FIDELITY 5,76,810 46.14 3.84 1.15
13 FIAM GROUP TRUST FOR EMPLOYEE BENEFIT PLANS: FIAM EMERGING MARKETS OPPORTUNITIES COMMINGLED POOL FIDELITY 1,70,676 13.65 1.14 0.34
14 FIDELITY CENTRAL INVESTMENTS PORTFOLIO LLC: FIDELITY EMERGING MARKETS EQUITY CENTRAL FUND FIDELITY 64,998 5.20 0.43 0.13
15 ASHOKA WHITEOAK ICAV-ASHOKA WHITEOAK INDIA OPPORTUNITIES FUND ASHOKA WHITEOAK 6,76,404 54.11 4.50 1.35
16 ASHOKA INDIA EQUITY INVESTMENT TRUST PLC ASHOKA 2,07,378 16.59 1.38 0.41
17 ASHOKA WHITEOAK ICAV-ASHOKA WHITEOAK EMERGING MARKETS EQUITY FUND ASHOKA WHITEOAK 1,78,704 14.30 1.19 0.36
18 GOVERNMENT PENSION FUND GLOBAL GOVERNMENT PENSION FUND GLOBAL 4,37,490 35.00 2.91 0.87
19 NIPPON INDIA SMALL CAP FUND NIPPON INDIA MUTUAL FUND 5,49,954 44.00 3.66 1.10
20 ADITYA BIRLA SUN LIFE BANKING & FINANCIAL SERVICES FUND ADITYA BIRLA SUN LIFE MUTUAL FUND 4,37,490 35.00 2.91 0.87
21 AXIS MULTICAP FUND AXIS MUTUAL FUND 3,18,186 25.45 2.12 0.63
22 AXIS BUSINESS CYCLES FUND AXIS MUTUAL FUND 1,19,304 9.54 0.79 0.24
23 UTI MIDCAP FUND UTI MUTUAL FUND 2,73,438 21.88 1.82 0.55
24 UTI BANKING & FINANCIAL SERVICES FUND UTI MUTUAL FUND 82,026 6.56 0.55 0.16
25 UTI MULTI CAP FUND UTI MUTUAL FUND 82,026 6.56 0.55 0.16
26 SBI LIFE INSURANCE CO.LTD. SBI LIFE INSURANCE 4,62,492 37.00 3.08 0.92
27 HDFC LIFE INSURANCE CO.LTD. HDFC LIFE INSURANCE 4,62,492 37.00 3.08 0.92
28 MIRAE ASSET LARGE CAP FUND MIRAE ASSET MUTUAL FUND 4,37,490 35.00 2.91 0.87
29 ABU DHABI INVESTMENT AUTHORITY-MONSOON ABU DHABI INVESTMENT 1,74,996 14.00 1.17 0.35
30 AMUNDI FUNDS NEW SILK ROAD AMUNDI 1,74,996 14.00 1.17 0.35
31 WHITEOAK CAPITAL BANKING & FINANCIAL SERVICES FUND WHITEOAK CAPITAL MUTUAL FUND 1,43,748 11.50 0.96 0.29
32 WHITEOAK CAPITAL MID CAP FUND WHITEOAK CAPITAL MUTUAL FUND 1,04,436 8.35 0.70 0.21
33 WHITEOAK CAPITAL MULTI CAP FUND WHITEOAK CAPITAL MUTUAL FUND 64,332 5.15 0.43 0.13
34 MIRAE ASSET INDIA SMALL-MID CAP FOCUS EQUITY MASTER INVESTMENT TRUST MIRAE 1,74,996 14.00 1.17 0.35
35 360 ONE EQUITY OPPORTUNITY FUND 360 ONE 1,74,996 14.00 1.17 0.35
36 FLORIDA RETIREMENT SYSTEM-ALLSPRING GLOBAL INVESTMENTS,LLC (EMSC) FLORIDA RETIREMENT SYSTEM 1,74,996 14.00 1.17 0.35
37 ALLIANZ GLOBAL INVESTORS FUND-ALLIANZ ASIA EX-CHINA EQUITY ALLIANZ 87,498 7.00 0.58 0.17
38 ALLIANZ GLOBAL INVESTORS FUND-ALLIANZ ASIAN SMALL CAP EQUITY ALLIANZ 87,498 7.00 0.58 0.17
39 MANULIFE GLOBAL FUND-INDIA EQUITY FUND MANULIFE 1,74,996 14.00 1.17 0.35
40 TOCU EUROPE III S.A.R.L. TOCU EUROPE 1,74,996 14.00 1.17 0.35
41 EASTSPRING INVESTMENTS-INDIA INFRASTRUCTURE EQUITY OPEN LTD. EASTSPRING 1,24,954 10.00 0.83 0.25
42 MOTILAL OSWAL LARGE CAP FUND MOTILAL OSWAL MUTUAL FUND 1,25,010 10.00 0.83 0.25
43 JM MIDCAP FUND JM FINANCIAL MUTUAL FUND 1,25,010 10.00 0.83 0.25
44 LIC MF LARGE & MID CAP FUND LIC MUTUAL FUND 1,25,010 10.00 0.83 0.25
45 KOTAK MAHINDRA LIFE INSURANCE CO.LTD. KOTAK LIFE INSURANCE 62,563 5.01 0.42 0.12
46 CANARA HSBC LIFE INSURANCE CO.LTD. CANARA HSBC 62,563 5.01 0.42 0.12
47 EDELWEISS LIFE INSURANCE CO.LTD. EDELWEISS LIFE INSURANCE 62,563 5.01 0.42 0.12
48 RELIANCE GENERAL INSURANCE CO.LTD. RELIANCE GENERAL INSURANCE 62,563 5.01 0.42 0.12
49 GENERAL INSURANCE CORP.OF INDIA GENERAL INSURANCE CORP.OF INDIA 62,563 5.01 0.42 0.12
50 UNITED INDIA INSURANCE CO.LTD. UNITED INDIA INSURANCE 62,564 5.01 0.42 0.12
51 TATA INVESTMENT CORP.LTD. TATA 62,514 5.00 0.42 0.12
52 ARMY GROUP INSURANCE FUND,THE ARMY GROUP INSURANCE FUND,THE 93,750 7.50 0.62 0.19
53 FOUNDERS COLLECTIVE FUND FOUNDERS COLLECTIVE FUND 62,563 5.01 0.42 0.12
54 ORIENTAL INSURANCE CO.LTD.,THE ORIENTAL INSURANCE 62,563 5.01 0.42 0.12
55 W-ASIA OPPORTUNITY SPV LP W-ASIA 62,514 5.00 0.42 0.12
56 ASTORNE CAPITAL VCC-ARVEN ASTORNE CAPITAL 62,514 5.00 0.42 0.12
57 ALTUS ABSOLUTE RETURN MASTER FUND (OEIC) LTD. ALTUS 62,514 5.00 0.42 0.12
58 STRATEGIC SIXTH SENSE CAPITAL FUND STRATEGIC SIXTH SENSE 62,564 5.01 0.42 0.12
59 GLOBE FINCAP LTD. GLOBE FINCAP 62,514 5.00 0.42 0.12
60 MONEYWISE FINANCIAL SERVICES PVT.LTD. MONEYWISE FINANCIAL SERVICES 62,563 5.01 0.42 0.12
61 VINEY GROWTH FUND VINEY 62,563 5.01 0.42 0.12
1,50,17,9991,201.4410029.95

IPO Subscription FAQs

The NSDL IPO is subscribed 41.02 times by Aug 01, 2025 17:04.

NSDL IPO Subscription

Investor Category Subscription (times)
Qualified Institutional103.97
Non Institutional34.98
Retail Individual7.76
Employee Reservations15.39
Total Subscription41.02

Retail category of NSDL IPO subscribed 7.76 times as of date Aug 01, 2025 17:04. The public issue closes on Fri, Aug 1, 2025 for bidding.

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

The NSDL IPO is subscribed 41.02 times by Aug 01, 2025 17:04.

The NSDL IPO allotment status is expected on or around Monday, August 4, 2025. Visit NSDL IPO allotment status to check.

The NSDL IPO listing date is August 6, 2025. The equity share of NSDL IPO will list on BSE.

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

NSDL IPO Timetable

IPO opens OnWednesday, July 30, 2025
IPO Closes OnFriday, August 1, 2025
Finalisation of Basis of AllotmentMonday, August 4, 2025
Initiation of RefundsTuesday, August 5, 2025
Credit of Shares to Demat AccountTuesday, August 5, 2025
IPO Listing DateWednesday, August 6, 2025
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