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VI FPO Anchor List

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16 April 2024

National Stock Exchange of India Limited BSE Limited


“Exchange Plaza”, Phiroze Jeejeebhoy Towers,
Bandra - Kurla Complex, Dalal Street,
Bandra (E), Mumbai – 400 001
Mumbai – 400 051

Dear Sirs,

Sub: Public Issue of equity shares of face value of Rs. 10/- each (“Equity Shares”) of
Vodafone Idea Limited ("Company" and "Offer", respectively)

The Capital Raising Committee of the Board of Directors of the Company at its meeting held on
April 16, 2024 in consultation with the Book Running Lead Managers to the Issue, has finalized
allocation of 4,90,90,90,908 Equity Shares, to Anchor Investors at Anchor Investor allocation price
of Rs. 11/- per Equity Share (including share premium of Rs.1/- per Equity Share) in the following
manner:

Sr. NAME OF THE ANCHOR No. of Equity % of Bid Total Amount


No. INVESTOR Shares Anchor Price Allocated (₹)
allocated Investor (Rs.)
Portion
1 GQG PARTNERS EMERGING 94,10,50,000 19.17 11 10,35,15,50,000/-
MARKETS EQUITY FUND
2 GQG PARTNERS EMERGING 14,15,01,470 2.88 11 1,55,65,16,170/-
MARKETS EQUITY FUND A
SERIES OF GQG PARTNERS
SERIES LLC
3 AUSTRALIANSUPER 11,86,64,458 2.42 11 1,30,53,09,038/-
4 BBH GQG PARTNERS EMERGING 6,04,77,714 1.23 11 66,52,54,854/-
MARKETS EQUITY MASTER FUND
LP
5 ACTIVE EMERGING MARKETS 5,92,70,574 1.21 11 65,19,76,314/-
EQUITY FUND
6 RELIANCE TRUST INSTITUTIONAL 4,46,53,796 0.91 11 49,11,91,756/-
RETIREMENT TRUST SERIES
TWELVE
7 JNL/GQG EMERGING MARKETS 4,33,57,094 0.88 11 47,69,28,034/-
EQUITY FUND
8 GQG PARTNERS EMERGING 3,88,30,968 0.79 11 42,71,40,648/-
MARKETS EQUITY FUND
9 GENERAL ORGANIZATION FOR 3,05,13,384 0.62 11 33,56,47,224/-
SOCIAL INSURANCE
10 CARE SUPER PTY LTD AS 1,42,67,616 0.29 11 15,69,43,776/-
TRUSTEE FOR CARE SUPER

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Sr. NAME OF THE ANCHOR No. of Equity % of Bid Total Amount
No. INVESTOR Shares Anchor Price Allocated (₹)
allocated Investor (Rs.)
Portion
11 UNITED SUPER PTY LTD AS 1,10,49,874 0.23 11 12,15,48,614/-
TRUSTEE FOR CONSTRUCTION
AND BUILDING UNIONS
SUPERANNUATION FUND
12 FIDELITY SECURITIES FUND: 44,66,13,244 9.10 11 4,91,27,45,684/-
FIDELITY BLUE CHIP GROWTH
FUND
13 FIDELITY SECURITIES FUND 10,52,21,072 2.14 11 1,15,74,31,792/-
FIDELITY BLUE CHIP GROWTH K6
FUND
14 FIDELITY SECURITIES FUND 7,71,67,398 1.57 11 84,88,41,378/-
FIDELITY SERIES BLUE CHIP
GROWTH FUND
15 FIDELITY GROUP TRUST FOR 7,47,82,972 1.52 11 82,26,12,692/-
EMPLOYEE BENEFIT PLANS
FIDELITY BLUE CHIP GROWTH
COMMINGLED POOL
16 FIAM GROUP TRUST FOR 5,25,79,384 1.07 11 57,83,73,224/-
EMPLOYEE BENEFIT PLANS FIAM
TARGET DATE BLUE CHIP
GROWTH COMMINGLED POOL
17 STICHTING DEPOSITARY APG 21,07,29,002 4.29 11 2,31,80,19,022/-
EMERGING MARKETS EQUITY
POOL
18 UBS FUND MANAGEMENT 3,54,43,188 0.72 11 38,98,75,068/-
(SWITZERLAND) AG ON BEHALF
OF UBS (CH) INSTITUTIONAL
FUND - EQUITIES EMERGING
MARKETS ASIA
19 THE MASTER TRUST BANK OF 92,83,296 0.19 11 10,21,16,256/-
JAPAN, LTD. AS TRUSTEE FOR
PENSION FUND ASSOCIATION
MTBJ400039080
20 UBS FUND MANAGEMENT 90,91,192 0.19 11 10,00,03,112/-
(SWITZERLAND) AG ON BEHALF
OF UBS (CH) EQUITY FUND -
EMERGING ASIA (USD)
21 REDWHEEL EMERGING MARKETS 17,13,26,914 3.49 11 1,88,45,96,054/-
EQUITY MASTER FUND LIMITED
22 REDWHEEL FUNDS - REDWHEEL 7,12,91,352 1.45 11 78,42,04,872/-
GLOBAL EMERGING MARKETS
FUND
23 REDWHEEL GLOBAL EMERGING 1,28,37,220 0.26 11 14,12,09,420/-
EQUITY FUND
24 TM RWC GLOBAL EMERGING 90,91,192 0.19 11 10,00,03,112/-
MARKETS FUND
25 HDFC LARGE AND MID CAP FUND 5,34,97,070 1.09 11 58,84,67,770/-

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Sr. NAME OF THE ANCHOR No. of Equity % of Bid Total Amount
No. INVESTOR Shares Anchor Price Allocated (₹)
allocated Investor (Rs.)
Portion
26 HDFC MUTUAL FUND - HDFC 3,92,30,752 0.80 11 43,15,38,272/-
MULTI CAP FUND
27 MOTILAL OSWAL MIDCAP FUND 45,45,46,620 9.26 11 5,00,00,12,820/-
28 QUANT MUTUAL FUND - QUANT 13,54,55,386 2.76 11 1,49,00,09,246/-
MID CAP FUND
29 360 ONE FOCUSED EQUITY FUND 6,97,27,262 1.42 11 76,69,99,882/-
30 ABU DHABI INVESTMENT 6,07,29,526 1.24 11 66,80,24,786/-
AUTHORITY - STABLE
31 360 ONE LARGE VALUE FUND- 90,91,192 0.19 11 10,00,03,112/-
SERIES 13
32 360 ONE FLEXICAP FUND 33,63,118 0.07 11 3,69,94,298/-
33 360 ONE BALANCED HYBRID 20,91,078 0.04 11 2,30,01,858/-
FUND
34 HEREFORD FUNDS - 360 ONE 52,72,476 0.11 11 5,79,97,236/-
FOCUSED INDIA FUND
35 THE REGENTS OF THE 5,14,54,018 1.05 11 56,59,94,198/-
UNIVERSITY OF CALIFORNIA -
IIFL ASSET MANAGEMENT
LIMITED
36 PUBLIC SECTOR PENSION 3,03,64,114 0.62 11 33,40,05,254/-
INVESTMENT BOARD - IIFL ASSET
MANAGEMENT LIMITED
37 TURNAROUND OPPORTUNITIES 2,70,90,558 0.55 11 29,79,96,138/-
FUND
38 360 ONE EQUITY OPPORTUNITY 53,62,038 0.11 11 5,89,82,418/-
FUND
39 360 ONE EQUITY OPPORTUNITY 45,45,596 0.09 11 5,00,01,556/-
FUND-SERIES 2
40 360 ONE PRIVATE EQUITY FUND - 90,91,192 0.19 11 10,00,03,112/-
SERIES 2
41 FLORIDA RETIREMENT SYSTEM - 2,79,95,264 0.57 11 30,79,47,904/-
ALLSPRING GLOBAL
INVESTMENTS, LLC (EMSC)
42 OPTIMIX WHOLESALE GLOBAL 92,78,104 0.19 11 10,20,59,144/-
EMERGING MARKETS SHARE
TRUST
43 BARODA BNP PARIBAS MULTI 1,81,83,682 0.37 11 20,00,20,502/-
CAP FUND
44 BARODA BNP PARIBAS BUSINESS 40,89,998 0.08 11 4,49,89,978/-
CYCLE FUND
45 BARODA BNP PARIBAS ELSS TAX 90,89,894 0.19 11 9,99,88,834/-
SAVER FUND
46 BARODA BNP PARIBAS FOCUSED 59,09,794 0.12 11 6,50,07,734/-
FUND
47 SBI GENERAL INSURANCE 3,72,73,368 0.76 11 41,00,07,048/-
COMPANY LIMITED

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Sr. NAME OF THE ANCHOR No. of Equity % of Bid Total Amount
No. INVESTOR Shares Anchor Price Allocated (₹)
allocated Investor (Rs.)
Portion
48 ICICI PRUDENTIAL LIFE 3,72,73,368 0.76 11 41,00,07,048/-
INSURANCE COMPANY LIMITED
49 TROO CAPITAL LTD 30,17,95,776 6.15 11 3,31,97,53,536/-
50 MORGAN STANLEY INVESTMENT 91,01,576 0.19 11 10,01,17,336/-
FUNDS INDIAN EQUITY FUND
51 MORGAN STANLEY INDIA 2,08,99,098 0.43 11 22,98,90,078/-
INVESTMENT FUND, INC.
52 ELLERSTON INDIA FUND 90,91,192 0.19 11 10,00,03,112/-
53 ELLERSTON CAPITAL LIMITED AS 2,86,36,476 0.58 11 31,50,01,236/-
RESPONSIBLE ENTITY OF
ELLERSTON GLOBAL EQUITY
MANAGERS FUND
54 QANTAS SUPERANNUATION 3,77,27,668 0.77 11 41,50,04,348/-
PLAN
55 GOVERNMENT PENSION FUND 3,72,73,368 0.76 11 41,00,07,048/-
GLOBAL
56 CARNELIAN CAPITAL 45,46,894 0.09 11 5,00,15,834/-
COMPOUNDER FUND-1 .
57 JUPITER INDIA FUND 4,18,07,141 0.85 11 45,98,78,551/-
58 THE JUPITER GLOBAL FUND- 1,36,48,611 0.28 11 15,01,34,721/-
JUPITER INDIA SELECT
59 BELGRAVE INVESTMENT FUND 2,27,27,980 0.46 11 25,00,07,780/-
60 DISCOVERY GLOBAL 81,82,592 0.17 11 9,00,08,512/-
OPPORTUNITY (MAURITIUS) LTD
61 COPTHALL MAURITIUS 3,95,47,464 0.81 11 43,50,22,104/-
INVESTMENT LIMITED - ODI
ACCOUNT
62 NECTA BLOOM VCC - NECTA 45,45,596 0.09 11 5,00,01,556/-
BLOOM ONE
63 AUTHUM INVESTMENT AND 6,59,07,248 1.34 11 72,49,79,728/-
INFRASTRUCTURE LIMITED
64 RELIANCE COMMERCIAL 6,59,07,248 1.34 11 72,49,79,728/-
FINANCE LIMITED
65 DOVETAIL INDIA FUND CLASS 6 5,90,91,450 1.20 11 65,00,05,950/-
SHARES
66 SHAMYAK INVESTMENT PRIVATE 10,45,46,112 2.13 11 1,15,00,07,232/-
LIMITED
67 QUANTUM-STATE INVESTMENT 90,91,192 0.19 11 10,00,03,112/-
FUND
68 GAGANDEEP CREDIT CAPITAL 1,81,82,384 0.37 11 20,00,06,224/-
PVT LTD
69 CHARTERED FINANCE & LEASING 1,81,82,384 0.37 11 20,00,06,224/-
LIMITED
70 SOCIETE GENERALE - ODI 3,63,66,066 0.74 11 40,00,26,726/-

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Sr. NAME OF THE ANCHOR No. of Equity % of Bid Total Amount
No. INVESTOR Shares Anchor Price Allocated (₹)
allocated Investor (Rs.)
Portion
71 CITIGROUP GLOBAL MARKETS 1,95,46,582 0.40 11 21,50,12,402/-
MAURITIUS PRIVATE LIMITED -
ODI
72 GOLDMAN SACHS (SINGAPORE) 81,82,592 0.17 11 9,00,08,512/-
PTE. - ODI
73 MORGAN STANLEY ASIA 1,63,65,184 0.33 11 18,00,17,024/-
(SINGAPORE) PTE. - ODI
74 MERU INVESTMENT FUND PCC- 90,91,192 0.19 11 10,00,03,112/-
CELL 1

TOTAL 4,90,90,90,908 100.00 53,99,99,99,988/-

Out of the total allocation of 4,90,90,90,908 Equity Shares to Anchor Investors 79,51,84,654 Equity
Shares (i.e. 16.20 % of the total allocation to Anchor Investors) were allocated to 5 domestic mutual
fund through a total of 11 schemes. Set forth below is a scheme-wise detail of mutual funds

No. of % of
Bid
Sr. Equity Anchor Total Amount
NAME OF THE ANCHOR INVESTOR Price
No. Shares Investor Allocated (₹)
(Rs.)
allocated Portion
1 HDFC LARGE & MID CAP FUND 5,34,97,070 1.09 11
58,84,67,770/-
2 HDFC MUTUAL FUND - HDFC MULTI CAP FUND 3,92,30,752 0.80 11
43,15,38,272/-
3 MOTILAL OSWAL MIDCAP FUND 45,45,46,620 9.26 11 5,00,00,12,820/-
4 QUANT MUTUAL FUND - QUANT MID CAP FUND 13,54,55,386 2.76 11
1,49,00,09,246/-
5 BARODA BNP PARIBAS MULTI CAP FUND 1,81,83,682 0.37 11 20,00,20,502/-
6 BARODA BNP PARIBAS BUSINESS CYCLE FUND 40,89,998 0.08 11
4,49,89,978/-
7 BARODA BNP PARIBAS ELSS TAX SAVER FUND 90,89,894 0.19 11
9,99,88,834/-
8 BARODA BNP PARIBAS FOCUSED FUND 59,09,794 0.12 11
6,50,07,734/-
9 360 ONE FOCUSED EQUITY FUND 6,97,27,262 1.42 11
76,69,99,882/-
10 360 ONE FLEXICAP FUND 33,63,118 0.07 11
76,69,99,882/-
11 360 ONE BALANCED HYBRID FUND 20,91,078 0.04 11 2,30,01,858/-

TOTAL 79,51,84,654 16.20 8,74,70,31,194/-

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As per the Securities and Exchange Board of India (Issue of Capital and Disclosure Requirement)
Regulations, 2018, as amended, in case the Offer Price discovered through book building process
is higher than the Anchor Investor allocation price, Anchor investors will be required to pay the
difference by the pay-in as specified in the revised CAN

The meeting of the Capital Raising Committee commenced at 10:30 p.m. and concluded at 11:45
p.m.

Please note that capitalized terms used and not defined herein shall have the respective meaning
ascribed to them in the Red Herring Prospectus.

We request you to make the above information public by disclosing the same on your website.

A copy of the release is also attached herewith.

Thanking you,

Yours truly,
For Vodafone Idea Limited

Pankaj Kapdeo
Company Secretary

Encl: As above

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Media Release – April 16, 2024

Vodafone Idea announced closure of the anchor book


allocation of Rs. 5,400 crore

Vodafone Idea Limited (the “Company”), the third largest telecommunications service
provider in India based on subscriber base (Source: TRAI Subscription Report),
today announced closure of the anchor book and allocation ahead of the further public offer
of its equity shares (“FPO”) opening to the public investors. The Capital Raising Committee
of the Company approved the allocation of 490,90,90,908 equity shares of the Company to
the anchor investors in its meeting held today.

The anchor book received interest from a large number of leading global as well as domestic
investors, all at the top end of the price band, i.e. Rs. 11 per equity share.

The book running lead managers to the FPO are Axis Capital Limited, Jefferies India Private
Limited and SBI Capital Markets Limited.

Disclaimer
Vodafone Idea Limited is proposing, subject to receipt of requisite approvals, market conditions and other
considerations, to make a further public offer of its equity shares and has filed the red herring prospectus
(“RHP”) with the Registrar of Companies, Gujarat, at Ahmedabad. The RHP is available on the website of the
SEBI at www.sebi.gov.in, the website of the Company at www.myvi.in as well as on the websites of the book
running lead managers Axis Capital Limited, Jefferies India Private Limited and SBI Capital Markets Limited
at www.axiscapital.co.in, www.jefferies.com and www.sbicaps.com, respectively, the website of the BSE
Limited (“BSE”) at www.bseindia.com and the website of the National Stock Exchange of India Limited (“NSE”)
at www.nseindia.com. Investors should note that investment in equity shares involves a high degree of risk.
For details, potential investors should refer to the RHP, including the section titled “Risk Factors” beginning
on page 23 of the RHP.
The Equity Shares have not been and will not be registered under the U.S. Securities Act or any state
securities laws in the United States, and unless so registered, and may not be offered or sold within the United
States, except pursuant to an exemption from, or in a transaction not subject to, the registration requirements
of the U.S. Securities Act and applicable U.S. state securities laws. Accordingly, such Equity Shares are being
offered and sold (i) outside the United States in offshore transactions in reliance on Regulation S under the
U.S. Securities Act and the applicable laws of the jurisdiction where those offers and sales occur; and (ii) to
persons reasonably believed to be "qualified institutional buyers" (as defined in Rule 144A under the U.S.
Securities Act) pursuant to Section 4(a) of the U.S. Securities Act. There will be no public offering of the Equity
Shares in the United States.

About Vodafone Idea Ltd.


Vodafone Idea Limited is an Aditya Birla Group and Vodafone Group partnership. It is amongst one of India’s leading telecom service providers. The
Company provides pan India voice and data services across 2G, 3G and 4G platforms. Company holds a large spectrum portfolio including mid band
5G spectrum in 17 priority service areas and mmWave 5G spectrum in 16 service areas. To support the growing demand for data connectivity, the
Company is committed to enhance the network infrastructure. The Company’s equity shares are listed on the NSE and the BSE in India.

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