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Mainboard | Book Build
Listed

Raajmarg Infra Investment Trust (InvIT) IPO Live Subscription Status

₹99 - ₹100Price Band
₹6,000 Cr.Issue Size
150 sharesLot Size
Infrastructure Investment TrustSector
Issue Open
March 11, 2026
Book Build
Issue Close
March 13, 2026
1 Lot
Allotment Date
March 18, 2026
Lot size: 150 shares
Listing Date
March 24, 2026
NSE BSE
QIB
2.32x
Qualified Institutional
NII
6.96x
Non-Institutional
Retail (RII)
0.00x
Individual Investors
Overall
3.48x
Final Subscription

Subscription Progress (Day 5)

QIB Subscription2.32x
NII Subscription6.96x
Retail Subscription0.00x
Overall Subscription3.48x

Day-wise Subscription Details

DayQIBNIISmall NIIBig NIIRetailTotal
Day 10.20x0.11x0.16x
Day 20.20x0.55x0.36x
Day 32.32x6.96x0.00x0.00x0.00x3.48x
Day 42.32x6.96x0.00x0.00x0.00x3.48x
Day 52.32x6.96x0.00x0.00x0.00x3.48x

IPO Shares Offered & Bidding Summary

CategoryShares OfferedShares BidBid Amount (₹ Cr)
QIB28,80,00,00066,86,27,1006686.27
NII (Total)9,60,00,00066,86,27,1006686.27
Small NII (≤₹10L)0
Big NII (>₹10L) 0
Retail (RII)0
Shareholder0
Employee0
Total384,000,0001,337,254,20013,372.54

 How to Apply for this IPO? Read here.

Raajmarg Infra Investment Trust subscribed 13.74 times overall on March 13, 2026 (05:25 PM). The demand was strong on the final day.

Raajmarg Infra Investment Trust provides road infrastructure assets to various clients across India. The company started its operations in 2025 and is based in New Delhi. This IPO helps the company acquire new assets. The company will use the proceeds from the fresh issue to pay for highway rights. It also wants to fund general corporate growth. Investors can now track the demand for these shares through the subscription status and the interest of different buyer categories.

Anchor Investor Allocation

Anchor investors are big institutions that buy shares before the public. The Book Running Lead Manager finalized the allocation of 17,28,00,000 units to Anchor Investors at a price of ₹100 per unit..

Anchor Investor Details
Bid DateMarch 10, 2026
Shares Offered17,28,00,000
Anchor Portion (₹ Cr.)1,728
Anchor lock-in period end date for 50% shares (30 Days)April 17, 2026
Anchor lock-in period end date for remaining shares (90 Days)
#AnchorShares AllottedAmt (₹ cr.)% Allocated% Allotment of Issue
1SBI NPS TRUST-SBI PENSION FUND SCHEME-C TIER I75,00,00075.004.341.25
2UTI NPS TRUST-UTI PENSION FUND SCHEME-C TIER I40,00,00040.002.310.67
3UTI NPS TRUST-UTI PENSION FUND SCHEME-STATE GOVT.25,00,00025.001.450.42
4UTI NPS TRUST-UTI PENSION FUND SCHEME-CENTRAL GOVT.10,00,00010.000.580.17
5LIFE INSURANCE CORP.OF INDIA50,00,00050.002.890.83
6ICICI PRUDENTIAL LIFE INSURANCE CO.LTD.75,00,00075.004.341.25
7KOTAK MAHINDRA LIFE INSURANCE CO.LTD.75,00,00075.004.341.25
8BAJAJ LIFE INSURANCE CO.LTD.75,00,00075.004.341.25
9MAGNUM HYBRID LONG SHORT FUND37,50,00037.502.170.63
10SBI CREDIT RISK FUND37,50,00037.502.170.63
11ICICI PRUDENTIAL MEDIUM TERM BOND FUND50,00,00050.002.890.83
12ICICI PRUDENTIAL CREDIT RISK FUND25,00,00025.001.450.42
13HDFC INFRASTRUCTURE FUND8,00,0008.000.460.13
14HDFC DYNAMIC DEBT FUND3,00,0003.000.170.05
15HDFC MEDIUM TERM DEBT FUND14,00,00014.000.810.23
16HDFC CREDIT RISK DEBT FUND25,00,00025.001.450.42
17NIPPON INDIA BALANCED ADVANTAGE FUND30,00,00030.001.740.50
18NIPPON INDIA AGGRESSIVE HYBRID FUND15,00,00015.000.870.25
19NIPPON INDIA CONSERVATIVE HYBRID FUND5,00,0005.000.290.08
20LARSEN & TOUBRO OFFICERS & SUPERVISORY STAFF PROVIDENT FUND,THE60,00,00060.003.471.00
21ICICI NPS TRUST-ICICI PRUDENTIAL PENSION FUND SCHEME C-TIER I50,00,00050.002.890.83
22AXIS MAX LIFE INSURANCE LTD.-PARTICIPATING FUND60,00,00060.003.471.00
23ADITYA BIRLA SUN LIFE INSURANCE CO.LTD.40,00,00040.002.310.67
24TATA AIG GENERAL INSURANCE CO.LTD.40,00,00040.002.310.67
25KOTAK BALANCED ADVANTAGE FUND13,33,33313.330.770.22
26KOTAK EQUITY SAVINGS FUND13,33,33313.330.770.22
27KOTAK BOND FUND6,66,6676.670.390.11
28KOTAK DEBT HYBRID FUND6,66,6676.670.390.11
29ADITYA BIRLA SUN LIFE MULTI ASSET ALLOCATION FUND14,00,00014.000.810.23
30ADITYA BIRLA SUN LIFE BALANCED ADVANTAGE FUND10,00,00010.000.580.17
31ADITYA BIRLA SUN LIFE CREDIT RISK FUND4,50,0004.500.260.08
32ADITYA BIRLA SUN LIFE MEDIUM TERM PLAN6,00,0006.000.350.10
33ADITYA BIRLA SUN LIFE REGULAR SAVINGS FUND4,00,0004.000.230.07
34ADITYA BIRLA SUN LIFE EQUITY SAVINGS FUND1,50,0001.500.090.03
35AXIS DYNAMIC BOND FUND12,00,00012.000.690.20
36AXIS STRATEGIC BOND FUND17,00,00017.000.980.28
37AXIS CREDIT RISK FUND6,00,0006.000.350.10
38AXIS MULTI ASSET ALLOCATION FUND5,00,0005.000.290.08
39DSP MULTI ASSET ALLOCATION FUND25,00,00025.001.450.42
40INVESCO INDIA MULTI ASSET ALLOCATION FUND25,00,00025.001.450.42
41QUANT AGGRESSIVE HYBRID FUND18,00,00018.001.040.30
42QSIF HYBRID LONG-SHORT FUND7,00,0007.000.410.12
43BARODA BNP PARIBAS BALANCED ADVANTAGE FUND15,00,00015.000.870.25
44WHITEOAK CAPITAL EQUITY SAVINGS FUND2,00,0002.000.120.03
45WHITEOAK CAPITAL LARGE CAP FUND13,00,00013.000.750.22
46EDELWEISS EQUITY SAVINGS FUND10,00,00010.000.580.17
47MAHINDRA MANULIFE EQUITY SAVINGS FUND2,92,2772.920.170.05
48MAHINDRA MANULIFE MULTI ASSET ALLOCATION FUND5,70,0755.700.330.10
49MAHINDRA MANULIFE DYNAMIC BOND FUND1,37,6481.380.080.02
50PRAZIM TRADING & INVESTMENT CO.PVT.LTD.75,00,00075.004.341.25
51INFRASTRUCTURE & REAL ASSETS FUND40,00,00040.002.310.67
52360 ONE REAL ASSETS DEVELOPMENT FUND35,00,00035.002.030.58
53NEO ALTERNATIVES INVESTMENT TRUST-NEO TREASURY PLUS FUND11,75,00011.750.680.20
54NEO REAL ASSET YIELD FUND11,75,00011.750.680.20
55ARVESTA FINANCIAL SERVICES PVT.LTD.11,50,00011.500.670.19
56NUVAMA MULTI ASSET STRATEGY RETURN FUND20,00,00020.001.160.33
57STAR HEALTH & ALLIED INSURANCE CO.LTD.26,00,00026.001.500.43
58INDIAFIRST LIFE INSURANCE CO.LTD.26,00,00026.001.500.43
59RELIANCE NIPPON LIFE INSURANCE CO.LTD.26,00,00026.001.500.43
60GO DIGIT GENERAL INSURANCE LTD.25,00,00025.001.450.42
61CARE HEALTH INSURANCE LTD.20,00,00020.001.160.33
62PNB METLIFE INDIA INSURANCE CO.LTD.20,00,00020.001.160.33
63EDELWEISS LIFE INSURANCE CO.LTD.25,00,00025.001.450.42
64BHARTI AXA LIFE INSURANCE CO.LTD.20,00,00020.001.160.33
65RELIANCE GENERAL INSURANCE CO.LTD.20,00,00020.001.160.33
66GO DIGIT LIFE INSURANCE LTD.10,00,00010.000.580.17
67KOTAK MAHINDRA BANK LTD.40,00,00040.002.310.67
68INDIAN OIL CORP.LTD. (REFINERIES DIVISION) EMPLOYEES PROVIDENT FUND39,00,00039.002.260.65
69PROVIDENT FUND TRUST FOR THE EMPLOYEES OF INDIAN OIL CORP.LTD.(MD)21,00,00021.001.220.35
70KOTAK NPS TRUST-KOTAK PENSION FUND SCHEME C-TIER I9,50,0009.500.550.16
71KOTAK NPS TRUST-KOTAK PENSION FUND SCHEME C-TIER II50,0000.500.030.01
72MAHARASHTRA STATE ELECTRICITY BOARDS CONTRIBUTORY PROVIDENT FUND15,00,00015.000.870.25
73SECURITIES & EXCHANGE BOARD OF INDIA EMPLOYEES PROVIDENT FUND10,00,00010.000.580.17
Total17,28,00,0001,728.0010028.80

Disclaimer: This information is for educational purposes only. Always seek advice from a qualified financial professional before making investment choices.

Sanjay Bambhaniya
Sanjay Bambhaniya
Sanjay has 8+ years of experience in data-driven IPO insights. His expertise in digital marketing and web development complements his financial knowledge and helps him to develop effective fintech solutions. He is an entrepreneur and director who helps investors understand complex primary market trends in easy-to-understand IPO reports, news, and updates.
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