Everything you need to know about ICICI Prudential Asset Management Company IPO

About

ICICI Prudential Asset Management Company, incorporated in 1993, is a leading Indian asset manager offering mutual funds and portfolio services across equity, debt, and hybrid segments. It is a joint venture between ICICI Bank and Prudential Corporation Holdings. As of March 2025, it managed assets worth over ₹4.5 lakh crore and has a wide distribution network.

IPO schedule

Issue open date 2025-12-12
Issue close date 2025-12-16
UPI mandate deadline 2025-12-16 (5 PM)
Allotment finalization 2025-12-17
Refund initiation 2025-12-18
Share credit 2025-12-18
Listing date 2025-12-19
Mandate end date 2025-12-31
Lock-in end date for anchor investors (50%) 2026-01-16
Lock-in end date for anchor investors (remaining) 2026-03-17

Financials

Financial Year Ended September 2024 March 2025 September 2025
Total Assets 3554.0 4383.6 4827.34
Revenue 3758.2 4977.3 2949.61
Profit After Tax 2049.7 2650.6 1617.74

Issue size

Funds Raised in the IPO Amount
Total issue size 10602.65
Offer for sale - Proceeds go to the existing investors 10602.65

Strengths

  • Strong brand backed by ICICI Bank and Prudential Group.
  • Diversified product portfolio across equity, debt, hybrid funds.
  • Large and growing assets under management with strong inflows.
  • Extensive distribution network across India, including digital platforms.
  • Experienced management team with deep industry expertise.

Risks

  • Market volatility is impacting fund performance and investor sentiment.
  • Regulatory changes affecting mutual fund industry operations.
  • Dependence on third-party distributors for customer acquisitions.
  • Intense competition from other asset management companies.
  • Cybersecurity risks due to increasing digital platform reliance.

Allotment Status for ICICI Prudential Asset Management Company

To check your IPO allotment status:

  1. Visit the Kfin Technologies IPO Application Status page.
  2. Select the company name from the dropdown menu.
  3. Select and enter one of the following: PAN, Application Number, DP/Client ID, or Account Number/IFSC.
  4. Click Submit to view your allotment status.