July 2, 2025

AEGIS VOPAK TERMINALS LIMITED RAISES ₹ 1,259.99 CRORE FROM 32 ANCHOR INVESTORS AT THE UPPER PRICE BAND OF ₹ 235 PER EQUITY SHARE

Facebook
Twitter
LinkedIn
WhatsApp

Aegis Vopak Terminals Ltd., has allocated 5,36,17,021 Equity Shares to 32 anchor Investors and raised ₹  1,259.99 crore ahead of company’s proposed IPO at the upper price band of ₹ 235 per equity share (including premium of ₹ 225 per equity shares) with face value of ₹ 10 per share.

 

 

 

 

Sr.

No.

Name of Anchor Investor No.         of

Equity Shares Allocated

%        of

Anchor Investor Portion

Bid Price

(₹. per Equity Share)

Total amount Allocated at the Anchor Investor Allocation Price on  Application (Rs.)
1 SMALLCAP WORLD FUND, INC 48,35,628 9.02% 235.00 1,13,63,72,580.00
2 AMERICAN FUNDS INSURANCE SERIES GLOBAL SMALL CAPITALIZATION FUND 4,83,525 0.90% 235.00 11,36,28,375.00
3 ABERDEEN STANDARD SICAV I – INDIAN EQUITY FUND 41,27,697 7.70% 235.00 97,00,08,795.00
4 HDFC MUTUAL FUND – HDFC

TRANSPORTATION AND LOGISTICS FUND

4,30,227 0.80% 235.00 10,11,03,345.00
5 HDFC MUTUAL FUND – HDFC MANUFACTURING FUND 19,55,583 3.65% 235.00 45,95,62,005.00
6 HDFC TRUSTEE COMPANY LTD. A/C HDFC BALANCED ADVANTAGE FUND 29,33,343 5.47% 235.00 68,93,35,605.00
7 GOVERNMENT PENSION FUND GLOBAL 53,19,153 9.92% 235.00 1,25,00,00,955.00
8 THE NOMURA TRUST AND BANKING CO., LTD AS THE TRUSTEE OF NOMURA INDIA STOCK MOTHER FUND 53,19,153 9.92% 235.00 1,25,00,00,955.00
9 360 ONE SPECIAL OPPORTUNITIES

FUND – SERIES 13

8,51,067 1.59% 235.00 20,00,00,745.00
10 360 ONE FOCUSED EQUITY FUND 40,42,521 7.54% 235.00 94,99,92,435.00
11 HEREFORD FUNDS – 360 ONE FOCUSED INDIA FUND 4,25,565 0.79% 235.00 10,00,07,775.00
12 MOTILAL OSWAL LARGE CAP FUND 10,63,818 1.98% 235.00 24,99,97,230.00
13 MOTILAL OSWAL SMALL CAP FUND 10,63,818 1.98% 235.00 24,99,97,230.00
14 MOTILAL OSWAL MANUFACTURING FUND 3,19,158 0.60% 235.00 7,50,02,130.00
Sr.

No.

Name of Anchor Investor No.         of

Equity Shares Allocated

%        of

Anchor Investor Portion

Bid Price

(₹. per Equity Share)

Total amount Allocated at the Anchor Investor Allocation Price on  Application (Rs.)
15 MOTILAL OSWAL ACTIVE MOMENTUM FUND 1,70,226 0.32% 235.00 4,00,03,110.00
16 MOTILAL OSWAL INFRASTRUCTURE FUND 42,588 0.08% 235.00 1,00,08,180.00
17 MOTILAL OSWAL GROWTH ANCHORS FUND SERIES II 13,82,976 2.58% 235.00 32,49,99,360.00
18 MOTILAL OSWAL GROWTH ANCHORS FUND SERIES IV 12,76,569 2.38% 235.00 29,99,93,715.00
19 BORDER TO COAST EMERGING MARKETS EQUITY FUND, A SUB FUND OF BORDER TO COAST AUTHORISED CONTRACTUAL SCHEME 48,04,317 8.96% 235.00 1,12,90,14,495.00
20 THINK INDIA OPPORTUNITIES MASTER FUND LP 53,19,153 9.92% 235.00 1,25,00,00,955.00
21 SBI GENERAL INSURANCE COMPANY LIMITED 21,27,436 3.97% 235.00 49,99,47,460.00
22 BANDHAN INNOVATION FUND 3,40,452 0.63% 235.00 8,00,06,220.00
23 BANDHAN SMALL CAP FUND 5,10,615 0.95% 235.00 11,99,94,525.00
24 BANDHAN CORE EQUITY FUND 8,51,067 1.59% 235.00 20,00,00,745.00
25 BARODA BNP PARIBAS MANUFACTURING FUND 5,31,913 0.99% 235.00 12,49,99,555.00
26 BARODA BNP PARIBAS LARGE CAP FUND 5,31,913 0.99% 235.00 12,49,99,555.00
27 BARODA BNP PARIBAS ENERGY OPPORTUNITIES FUND 6,38,308 1.19% 235.00 15,00,02,380.00
28 LIONGLOBAL INVESTMENT FUNDS – LIONGLOBAL INDIA FUND 4,97,889 0.93% 235.00 11,70,03,915.00
29 TOCU EUROPE III S.A R.L. 4,97,889 0.93% 235.00 11,70,03,915.00
30 GOLDMAN SACHS (SINGAPORE) PTE. – ODI 4,97,889 0.93% 235.00 11,70,03,915.00
31 ITI MULTI CAP FUND 2,12,814 0.40% 235.00 5,00,11,290.00
32 ITI MID CAP FUND 2,12,751 0.40% 235.00 4,99,96,485.00
Total 5,36,17,021 100.00%   12,59,99,99,935

 

Out of the total allocation of 5,36,17,021 Equity Shares to the Anchor Investors, 1,58,51,115 Equity Shares (i.e. 29.56% of the total allocation to Anchor Investors) were allocated to 6 domestic Mutual Funds through a total of 17 schemes.

 

Sr.

No.

Name of the Mutual Fund Scheme No.          of

Equity Shares Allocated

%          of

Anchor Investor Portion

Bid Price
(₹ per Equity Share)
Total Amount Allocated at the Anchor Investor Allocation Price on  Application

(Rs.)

1 HDFC MUTUAL FUND – HDFC TRANSPORTATION AND

LOGISTICS FUND

4,30,227 0.80% 235.00 10,11,03,345.00
2 HDFC MUTUAL FUND – HDFC MANUFACTURING FUND 19,55,583 3.65% 235.00 45,95,62,005.00
3 HDFC TRUSTEE COMPANY LTD. A/C HDFC BALANCED ADVANTAGE FUND 29,33,343 5.47% 235.00 68,93,35,605.00
4 360 ONE FOCUSED EQUITY FUND 40,42,521 7.54% 235.00 94,99,92,435.00
5 MOTILAL OSWAL LARGE CAP FUND 10,63,818 1.98% 235.00 24,99,97,230.00
6 MOTILAL OSWAL SMALL CAP FUND 10,63,818 1.98% 235.00 24,99,97,230.00
7 MOTILAL OSWAL

MANUFACTURING FUND

3,19,158 0.60% 235.00 7,50,02,130.00
8 MOTILAL OSWAL ACTIVE MOMENTUM FUND 1,70,226 0.32% 235.00 4,00,03,110.00
9 MOTILAL OSWAL INFRASTRUCTURE FUND 42,588 0.08% 235.00 1,00,08,180.00
10 BANDHAN INNOVATION FUND 3,40,452 0.63% 235.00 8,00,06,220.00
11 BANDHAN SMALL CAP FUND 5,10,615 0.95% 235.00 11,99,94,525.00
12 BANDHAN CORE EQUITY FUND 8,51,067 1.59% 235.00 20,00,00,745.00
13 BARODA BNP PARIBAS MANUFACTURING FUND 5,31,913 0.99% 235.00 12,49,99,555.00
14 BARODA BNP PARIBAS LARGE CAP FUND 5,31,913 0.99% 235.00 12,49,99,555.00
15 BARODA BNP PARIBAS ENERGY OPPORTUNITIES FUND 6,38,308 1.19% 235.00 15,00,02,380.00
16 ITI MULTI CAP FUND 2,12,814 0.40% 235.00 5,00,11,290.00
17 ITI MID CAP FUND 2,12,751 0.40% 235.00 4,99,96,485.00
Total 1,58,51,115 29.56% 3,72,50,12,025.00

 

ICICI Securities Limited, BNP Paribas, IIFL Capital Services Limited (formerly known as IIFL Securities Limited), Jefferies India Private Limited and HDFC Bank Limited are The Book Running Lead Managers to the IPO Issue.