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TREDA
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ONCE IREDAALWAYS IREDA Gr{a r{-6ksq
Sub: Public Offer of equitv shares of face vatue of Rs. l0 each of Indian Renewable Enerev
Development Agencv Limited ("companv" and "offer". resDectively)
The Board of Directors of the Company in its meeting held on November 20,2023 and promoter Selling
Shareholder in consultation with the Book Running Lead Managers to the Offer, has finalized allocation
of 20,10.19,726 Equity Shares to Anchor Investors at Anchor Investor allocation price of Rs. 32 per
Equity Share (including share premium of Rs. 22 per Equity Share) in the following manner:
oh of Bid price
No. of Equity
Sr no Name of the Anchor Investor Anchor (Rs. per
Shares
Investor Equity
allocated
Portion Share)
Page I ot'6 q)
c
q)
I 1,72,080 0.58 )z
LTD-
N PPON LI F E INDI A TR U S TEE
FUN D
8 A/C N PPON POW ER & IN F RA 0.25 )L
4,94,960
9 KOTA K INDIA CONTRA FUND )./.
8,22,020 0.41
l0 KOT AK T A X SA VER S CH EM E
1.23 )L
KOTAK EQU ITY OPPORTUN ITIES 24,66.980
ll FUND
24,66,980 1.23 )L
t2 KOT A K F L EXI CA P FUN D 0.29 32
5,75,460
l3 K OT AK P ON EER FUN D
0.82 JL
16,44,500
E CO
KOT AK M A FI N DRA TRUSTE
D
14 LT D AIC K OT AK M U L TI CA P FUN
CO
KOTAK MAHINDRA TRUSTEE 5,75,460 0.29 32
lfp alc KorAK BUSINESS cYCLE
l5 FUND
KOTAK MAHINDRA TRUSTEE
CO 0.16 )z
3.28,900
LTD A/C KOTAK BANKING &
l6 FINANC IAL SERVIC ES FUND
STEE )Z
A D TY A B RL A S U N L FE TR U 93,74,800 4.66
D A/C A DITY A
PRI A TE L M TE
BIRLA S UN LIF E PSU ITY FUN D
t7
GOLDMAN SACHS FUNDS - 93,75,260 4.66 32
Page2 of
INTEGRATED CORE STRATEGIES 62,50,020 3.rI 32
28 IA PTE. LTD.
SBI GENERAL INSURANCE 62,50,020 3.rI )L
)l BUSINESSES FUND
BANDHAN FINANCIAL SERVICES 23,44,160 t.l7 32
38 FUND
42,19,120 2.10
39 SOCIETE GENERALE - ODI 32
31,25,240 1.55
40 GAM STAR EMERGING UITY
WHITEOAK CAPITAL MID CAP 16,38,060 0.81
4l FUND
WHITEOAK CAPTTAL MULTI CAP 9,20,000 0.46
42 FUND
JZ
WHITEOAK CAPITAL ELSS TAX 1,72,960 0.09
43 SA VER FUND
32
WHITEOAK CAPITAL LARGE CAP 3,94,220 0.20
44 FUND
32
SUNDARAM MUTUAL FUND A/C 14,06,220 0.70
45 SUNDARAM M ULTI CAP FUND
32
SUNDARAM MUTUAL FUND A/C 14.06,220 0.70
46 SUNDARAM MID CAP FUND
Page 3 nerg/
;
c
o
c:
SUNDARAM MUTUAL FUND A/C
3, r2,800 0. r6 )/.
SUNDARAM INFRASTRUCTU RE
41 ADVANTAGE FUND
BARODA BNP PARIBAS BANKING 5,62,120 0.28 32
48 & FINANCIAL SERVICES FUND
BARODA BNP PARIBAS LARGE & 25,63,120 1.28 )/.
49 MID CAP FUND
KOTAK MAHINDRA LIFE 31,25,240 1.55 32
50 INSURANCE COMPANY LTD.
5l LIC MF LARCE & MID CAP FUND 31,25,240 1.55 32
Out of the above mentioned application, l3 Mutual funds have applied through a total of 32 schemes,
scheme-wise details provided in table below:
4 32
ICICI PRUDENTIAL PSU ITY FUND 46.87,400 z.) )
)L
5
ICICI PRUDENTIAL MIDCAP FUND 46,87,860 z))
NIPPON LIFE INDIA TRUSTEE LTD-A/C 32
6 70,31,100 3.50
NIPPON INDIA SMALL CAP FUND
NIPPON LIFE INDIA TRUSTEE LTD- A/C
7 NIPPON INDIA BANKING & FINANCIAL 32
I 1,72,080 0.58
SERVICES FUND
NIPPON LIFE INDIA TRUSTEE LTD-A/C )z
8 0.58
NIPPON POWER & INFRA FUND r 1,72,080
9 )z
KOTAK INDIA EQ CONTRA FUND .-- 4,94,960 0.25
v
q
0)
\.,
q9-
l0
KOTAK TAX SAVER SCHEME 8,22,020 0.4 r
lt )/.
KOTAK EQUITY OPPORTUNITE! JUNq 24.66.980 1.23
l2 32
KOTAK FLEXICAP FUND 24,66,980 1.23
t3 32
KOTAK PIONEER FUND 5,75,460 0.29
KOTAK MAHINDRA TRUSTEE CO LTD A/C )L
t4
KOTAK MULTICAP FUND 16,44,500 0.82
KOTAK MAHINDRA TRUSTEE CO LTD A/C 32
r5
KOTAK BUSINESS CYCLE FUND 5,75,460 0.29
KOTAK MAHINDRA TRUSTEE CO LTD A/C
l6 KOTAK BANKINC & FINANCIAL SERVICES t6
J./-
3,28,900 0.
FUND
ADITYA BIRLA SUN LIFE TRUSTEE PRIVATE
l1 LIMITED A/C ADITYA BIRLA SUN LIFE PSU 93,74,800 4.66
)Z
EQUITY FUND
r8 32
DSP EQUITY OPPORTUNITIES FUND 27,07,100 1.35
l9 t.16
DSP TAX SAVER FUND 35,42,920
UTI- BANKING AND FINANCIAL SERVICES 32
20 z.) )
FUND 46,87,860
2l )z
BANDHAN EMERCING BUSINESSES FUND 23,43,',700 t.l7
22
BANDHAN FINANCIAL SERVICES FUND 23,44,160 t.t7
./. ) 32
WHITEOAK CAPITAL MID CAP FUND 16,38,060 0.8 r
24 32
WHITEOAK CAPITAL MULTI CAP FUND 9,20,000 0.46
WHITEOAK CAPITAL ELSS TAX SAVER 32
25
FUND 1,72,960 0.09
26 32
WHITEOAK CAPITAL LARGE CAP FUND 3,94,220 0.20
SUNDARAM MUTUAL FUND A/C
27 0.70
SUNDARAM MULTI CAP FUND 14,06,220
SUNDARAM MUTUAL FUND A/C 1)
28 0.70
SUNDARAM MID CAP FUND 14,06,220
SUNDARAM MUTUAL FUND A/C
29 SUNDARAM INFRASTRUCTURE )z
3, I 2,800 0.r6
ADVANTACE FUND
BARODA BNP PARIBAS BANKING &
30 5.62,120 0.28
FINANCIAL SERVICES FUND
BARODA BNP PARIBAS LARGE & MID CAP )z
3r 25,63,120 t.28
FUND
32 32
LIC MF LARGE & MID CAP FUND 31,25,240 1.55
TOTAL 42.36
8,51,58,420
(t1y t
i
J;
dugc 5 ol'6
As per the Securities and Exchange Board of India (lssue of Capital and Disclosure Requirement)
Regulations,20l8, 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.
Please note that capitalized terms used and not defined herein shall have the respective meaning ascribed
to them in the Red Herring Prospectus dated November 11,2023 filed with the Registrar of Companies,
Delhiand Haryana.
We request you to make the above inforrnation public by disclosing the same on your website,
Thanking You,
For I n Renewable Energy Development Agency Limited
i/lv rl\
I
Ekta
Company Compliance Officer
iaht;.;,
.)
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