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SBI Funds Management Limited IPO

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SBI Funds Management Limited's is preparing to launch its Initial Public Offering (IPO) with a substantial issue size of 20,37,09,239 Shares. The offering comprises a fresh issue component of TBD.

The price band for the IPO has been set at TBD, providing investors with a range to place their bids. The minimum investment lot consists of TBD, making it accessible to both retail and institutional investors.

The subscription window for this public offering opens on TBD and will conclude on TBD. Following the subscription period, the share allotment is scheduled for TBD, with the official listing expected to commence on TBD on the NSE, BSE exchange.

SBI Funds IPO Details
SBI Funds IPO Key Performance Indicator
Company Financials ( In Crores )

SBI Funds IPO About Company

SBI Funds Management Ltd, established in 1992, is India’s largest asset management company based on assets under management and manages the well-known SBI Mutual Fund as a joint venture between State Bank of India and Amundi. The company offers a wide range of investment products including equity, debt, hybrid funds, ETFs, and portfolio management services, catering to both individual and institutional investors. As of 2025, it manages around ₹16.32 lakh crore in assets, accounting for about 15.5% of the total mutual fund AUM in India, and serves over 16.05 million investors. It operates a diversified portfolio of 126 schemes across categories such as equity, debt, arbitrage, ETFs, index funds, overseas fund-of-funds, and liquid and overnight funds. The company also has a strong global presence, managing India-focused mandates for institutional investors in countries like Japan, Australia, and Korea, along with UCITS funds distributed across Europe, the Middle East, South America, and Southeast Asia, and providing advisory services for Amundi’s global emerging market funds with significant India-related assets.


Note : "Calculations for ‘Shares Offered’ and ‘Total Amount’ are based on the highest price in the issue price band."


The expected premium is based on market buzz and online information. It should not be considered as the actual listing price or valuation. Always refer to the RHP and seek advice from a financial expert before making any investment decisions.

SBI Funds IPO Strength Factors

  1. Strong Brand Backing: Supported by State Bank of India and Amundi, which provides strong credibility, trust, and brand recognition.
  2. Large Assets Under Management: One of the leading asset management companies in India with a strong AUM base, ensuring stable and recurring income.
  3. Wide Distribution Network: Strong reach through bank branches, distributors, and digital platforms helps in attracting investors across regions.

SBI Funds IPO Risk Factors

  1. Dependence on Market Conditions: Revenue and AUM growth are closely linked to capital market performance.
  2. Highly Competitive Industry: Faces strong competition from other established asset management companies.
  3. Reliance on Distribution Channels: Depends on banking channels and intermediaries for investor inflows.

SBI Funds IPO Lead Manager(s)

  • Kotak Mahindra Capital Company
  • Axis Capital Limited
  • Bofa Securities India Limited
  • Hsbc Securities & Capital Markets Private Limited
  • ICICI Securities Limited
  • Jefferies India Private Limited
  • Jm Financial Limited
  • Motilal Oswal Investment Advisors Limited
  • SBI Capital Markets Limited

SBI Funds IPO Promoter(s)

  1. State Bank of India
  2. Amundi India Holding
  3. Amundi Asset Management

SBI Funds IPO Company Details

SBI Funds Management Limited
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SBI Funds IPO Registrar

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SBI Funds IPO FAQs