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Manipal Health Enterprises IPO Subscription Status

The Manipal Health Enterprises IPO has been subscribed 4.92x times overall. Retail investors have shown interest with bids for 0.93x the shares available. The Non-Institutional Investor (NII) category has been subscribed 1.02x. Within NII, Big HNI (B-HNI) subscribed 1.08x and Small HNI (S-HNI) subscribed 0.9x. Qualified Institutional Buyers (QIBs) have subscribed 8.25x. Data last updated on 08 Aug, 04:05 PM.

The IPO subscription period has ended. The issue opened on 29 Jul, 2026 and closes on 31 Jul, 2026. The shares are expected to list on stock exchanges on 05 Aug, 2026.

Total Subscription
4.92 x

3,38,348 applications

QIB 8.25x
BHNI 1.08x
SHNI 0.9x
Retail 0.93x
Employee 2.19x

Live Bidding

Category Bid Details TIMES
QIB
40,21,59,425
of 4,87,39,889
151 applications
23,727.41 Cr
8.25x
NII
2,50,39,675
of 2,46,30,467
22,556 applications
1,477.34 Cr
1.02x
Retail
1,52,23,450
of 1,64,20,311
3,12,792 applications
898.18 Cr
0.93x
Employee
6,50,450
of 2,97,619
2,849 applications
38.38 Cr
2.19x
TOTAL
44,30,73,000
3,38,348 applications
26,141.31 Cr
4.92x

Last Updated: 08 Aug 2026, 04:05 PM

Manipal Health Enterprises IPO Basis of Allotment

Final figures published by the registrar, after technical rejections. Allotment price ₹590, employees ₹534.

FINAL
Applications
3,38,481
Allottees
3,38,329
Overall Odds
All allotted
Amount Collected
₹30,325 Cr
Category Apps Got Odds
QIB
4.03x subscribed
284 284 All
Ex. Anchor
151 151 All
Anchor
133 133 All
NII (HNI)
1.05x subscribed
22,556 22,556 All
bNII >₹10L
5,239 5,239 All
sNII <₹10L
17,317 17,317 All
Retail
0.93x subscribed
3,12,792 3,12,792 All
Employees
1.17x subscribed
2,849 2,697 1 in 1.1
TOTAL
3.27x subscribed
3,38,481 3,38,329 All
Subscription Insights

Retail Allotment

Currently undersubscribed. Retail investors applying now have a high mathematical probability of receiving full allotment.

Institutional Backing

Massive institutional interest with QIBs subscribing 8.25x. This often signals long-term confidence from professional funds.

Day-wise Subscription History

Subscription trends over the last 3 days

Date Total
31 Jul 2026 DAY 3
4.92x
QIB 8.25x
BHNI 1.08x
SHNI 0.9x
Retail 0.93x
Employee 2.19x
30 Jul 2026 DAY 2
0.45x
QIB 0.6x
BHNI 0.14x
SHNI 0.15x
Retail 0.45x
Employee 1.45x
29 Jul 2026 DAY 1
0.15x
QIB 0.14x
BHNI 0.07x
SHNI 0.08x
Retail 0.25x
Employee 0.89x
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Anchor Investor Allocation

Breakdown of shares allotted to anchor investors before the IPO opening

Anchor Investor Amt (₹ cr.) % Allocated
PRUDENTIAL ASSURANCE CO.LTD.,THE ₹25.00 Cr 9.44%
SUSQUEHANNA PACIFIC PTY.LTD. ₹25.00 Cr 9.44%
VALUE PARTNERS HIGH-DIVIDEND STOCKS FUND ₹24.85 Cr 9.38%
SUNDARAM SERVICES FUND ₹20.00 Cr 7.55%
ORBIMED GENESIS MASTER FUND,LP ₹15.00 Cr 5.66%
ABAKKUS GROWTH FUND-OPEN ENDED ₹10.00 Cr 3.78%
BAJAJ LIFE INSURANCE LTD. ₹10.00 Cr 3.78%
ADITYA BIRLA SUN LIFE INSURANCE CO.LTD. ₹10.00 Cr 3.78%
SOCIETE GENERALE-ODI ₹10.00 Cr 3.78%
WINRO COMMERCIAL (INDIA) LTD. ₹10.00 Cr 3.78%
GOLDMAN SACHS BANK EUROPE SE-ODI ₹10.00 Cr 3.78%
HCL CAPITAL PVT.LTD. ₹10.00 Cr 3.78%
KOTAK MAHINDRA LIFE INSURANCE CO.LTD. ₹10.00 Cr 3.78%
GREAT EASTERN LIFE-SINGAPORE LIFE INSURANCE FUND-PAR-LION GLOBAL EQUITY ₹10.00 Cr 3.78%
PRIVATE CLIENT EMERGING MARKETS PORTFOLIO ₹10.00 Cr 3.78%
PGIM INDIA LARGE & MIDCAP FUND ₹5.79 Cr 2.19%
BHARTI AXA LIFE INSURANCE CO.LTD. ₹5.02 Cr 1.89%
EDELWEISS LIFE INSURANCE CO.LTD. ₹5.00 Cr 1.89%
SUNDARAM CONSUMPTION FUND ₹5.00 Cr 1.89%
BARODA BNP PARIBAS HEALTH & WELLNESS FUND ₹5.00 Cr 1.89%
CREAEGIS TRANSFORMATIONS FUND VCC-CTF 1 ₹5.00 Cr 1.89%
EDELWEISS RECENTLY LISTED IPO FUND ₹5.00 Cr 1.89%
JM MULTI ASSET ALLOCATION FUND ₹5.00 Cr 1.89%
MAHINDRA MANULIFE FLEXI CAP FUND ₹5.00 Cr 1.89%
UNION MIDCAP FUND ₹5.00 Cr 1.89%
PGIM INDIA MULTI CAP FUND ₹3.13 Cr 1.18%
PGIM INDIA HEALTHCARE FUND ₹1.08 Cr 0.41%
NOMURA INDIA INVESTMENT FUND MOTHER FUND ₹159.71 Cr 0.00%
KOTAK MIDCAP FUND ₹109.88 Cr 0.00%
KOTAK FLEXICAP FUND ₹109.88 Cr 0.00%
ABU DHABI INVESTMENT AUTHORITY-MONSOON ₹109.71 Cr 0.00%
DSP HEALTHCARE FUND ₹109.71 Cr 0.00%
POLAR CAPITAL FUNDS PLC-HEALTHCARE OPPORTUNITIES FUND ₹109.71 Cr 0.00%
PRAZIM TRADING & INVESTMENT CO.PVT.LTD. ₹109.71 Cr 0.00%
PUBLIC SECTOR PENSION INVESTMENT BOARD-PSP INVESTMENTS ₹109.71 Cr 0.00%
SBI LIFE INSURANCE CO.LTD. ₹109.71 Cr 0.00%
ADITYA BIRLA SUN LIFE MIDCAP FUND ₹99.81 Cr 0.00%
ABU DHABI INVESTMENT AUTHORITY-STABLE ₹89.71 Cr 0.00%
CARMIGNAC PORTFOLIO ₹89.71 Cr 0.00%
HDFC LIFE INSURANCE CO.LTD. ₹89.71 Cr 0.00%
ICICI PRUDENTIAL LIFE INSURANCE CO.LTD. ₹89.71 Cr 0.00%
GOVERNMENT PENSION FUND GLOBAL ₹89.71 Cr 0.00%
MIRAE ASSET LARGE & MIDCAP FUND ₹83.05 Cr 0.00%
LSOI SPV 1 LTD. ₹79.85 Cr 0.00%
LSOII SPV 3 LTD. ₹79.85 Cr 0.00%
FIDELITY SECURITIES FUND: FIDELITY BLUE CHIP GROWTH FUND ₹76.76 Cr 0.00%
MIRAE ASSET FOCUSED FUND ₹76.66 Cr 0.00%
INVESCO INDIA MIDCAP FUND ₹74.75 Cr 0.00%
MOTILAL OSWAL MULTI CAP FUND ₹66.39 Cr 0.00%
SBI NPS TRUST-SBI PENSION FUND SCHEME-ATAL PENSION YOJANA ₹56.81 Cr 0.00%
KOTAK LARGE CAP FUND ₹54.94 Cr 0.00%
FRANKLIN INDIA OPPORTUNITIES FUND ₹51.26 Cr 0.00%
ADITYA BIRLA SUN LIFE LARGE CAP FUND ₹50.31 Cr 0.00%
UTI MIDCAP FUND ₹50.15 Cr 0.00%
EASTSPRING INVESTMENTS-INDIA CONSUMER EQUITY OPEN LTD. ₹50.00 Cr 0.00%
EASTSPRING INVESTMENTS-INDIA EQUITY OPEN LTD. ₹50.00 Cr 0.00%
ALLIANZ GLOBAL INVESTORS FUND-ALLIANZ INDIA EQUITY ₹50.00 Cr 0.00%
AXIS LARGE & MID CAP FUND ₹50.00 Cr 0.00%
KOTAK FUNDS-INDIA MIDCAP FUND ₹50.00 Cr 0.00%
PICTET-INDIAN EQUITIES ₹50.00 Cr 0.00%
MORGAN STANLEY ASIA (SINGAPORE) PTE.-ODI ₹50.00 Cr 0.00%
ICICI PRUDENTIAL PHARMA HEALTHCARE & DIAGNOSTICS (P.H.D) FUND ₹49.95 Cr 0.00%
ICICI PRUDENTIAL INNOVATION FUND ₹49.95 Cr 0.00%
ICICI PRUDENTIAL MULTI-ASSET FUND ₹44.95 Cr 0.00%
ICICI PRUDENTIAL BHARAT CONSUMPTION FUND ₹44.95 Cr 0.00%
ICICI PRUDENTIAL EQUITY & DEBT FUND ₹42.95 Cr 0.00%
FRANKLIN INDIA LARGE & MID CAP FUND ₹38.45 Cr 0.00%
ASHOKA WHITEOAK ICAV-ASHOKA WHITEOAK EMERGING MARKETS EQUITY FUND ₹35.46 Cr 0.00%
MOTILAL OSWAL ACTIVE MOMENTUM FUND ₹33.06 Cr 0.00%
BNP PARIBAS TRUST SERVICES SINGAPORE LTD.AS TRUSTEE OF FULLERTON ALPHA-ASIA FOCUS EQUITIES FUND ₹31.63 Cr 0.00%
HSBC GLOBAL INVESTMENT FUNDS-INDIAN EQUITY ₹30.08 Cr 0.00%
INCOME INS LP ASIA EQ ACTIVE FN ₹29.75 Cr 0.00%
TEMPLETON EMERGING MARKETS INVESTMENT TRUST PLC ₹29.54 Cr 0.00%
WHITEOAK CAPITAL FLEXI CAP FUND ₹26.50 Cr 0.00%
UTI NPS TRUST-UTI PENSION FUND SCHEME-E TIER I ₹26.49 Cr 0.00%
FIDELITY INVESTMENT TRUST: FIDELITY SERIES EMERGING MARKETS OPPORTUNITIES FUND ₹25.12 Cr 0.00%
UTI DIVIDEND YIELD FUND ₹25.08 Cr 0.00%
MAX LIFE INSURANCE CO.LTD.-ULIF 01311/02/08 LIFE HIGHER 104-HIGH GROWTH FUND ₹25.00 Cr 0.00%
NATIXIS INTERNATIONAL FUNDS (LUX) I-LOOMIS SAYLES GLOBAL EMERGING MARKETS EQUITY FUND ₹25.00 Cr 0.00%
ICICI PRUDENTIAL ACTIVE MOMENTUM FUND ₹24.97 Cr 0.00%
ASHOKA WHITEOAK ICAV-ASHOKA WHITEOAK INDIA OPPORTUNITIES FUND ₹24.10 Cr 0.00%
TATA FLEXI CAP FUND ₹22.21 Cr 0.00%
HSBC FOCUSED FUND ₹20.41 Cr 0.00%
WHITEOAK CAPITAL INDIA OPPORTUNITIES FUND ₹20.00 Cr 0.00%
SBI NPS TRUST-SBI PENSION FUND-UPS-CG SCHEME ₹19.93 Cr 0.00%
HSBC INDIAN EQUITY MOTHER FUND ₹19.92 Cr 0.00%
TEMPLETON DEVELOPING MARKETS TRUST ₹18.17 Cr 0.00%
FRANKLIN TEMPLETON INVESTMENT FUNDS-TEMPLETON EMERGING MARKETS FUND ₹17.18 Cr 0.00%
FIDELITY SECURITIES FUND: FIDELITY BLUE CHIP GROWTH K6 FUND ₹16.08 Cr 0.00%
UTI BALANCED ADVANTAGE FUND ₹15.67 Cr 0.00%
TATA INDIA PHARMA & HEALTHCARE FUND ₹14.96 Cr 0.00%
INVESCO INDIA MULTICAP FUND ₹14.95 Cr 0.00%
TEMPLETON EMERGING MARKETS FUND ₹13.72 Cr 0.00%
FULLERTON LUX FUNDS-ASIA FOCUS EQUITIES ₹13.24 Cr 0.00%
FIDELITY GROUP TRUST FOR EMPLOYEE BENEFIT PLANS: FIDELITY BLUE CHIP GROWTH COMMINGLED POOL ₹13.14 Cr 0.00%
TATA INDIA INNOVATION FUND ₹12.83 Cr 0.00%
FIDELITY SECURITIES FUND: FIDELITY SERIES BLUE CHIP GROWTH FUND ₹12.77 Cr 0.00%
UTI HEALTHCARE FUND ₹12.54 Cr 0.00%
BANDHAN MIDCAP FUND ₹12.50 Cr 0.00%
BANDHAN INNOVATION FUND ₹12.50 Cr 0.00%
HSBC FLEXI CAP FUND ₹12.25 Cr 0.00%
HSBC ELSS TAX SAVER FUND ₹12.25 Cr 0.00%
WHITEOAK CAPITAL MULTI ASSET ALLOCATION FUND ₹10.50 Cr 0.00%
MOTILAL OSWAL BALANCED ADVANTAGE FUND ₹10.26 Cr 0.00%
360 ONE PRIVATE EQUITY FUND-SERIES II ₹10.00 Cr 0.00%
360 ONE PRIME LTD. ₹10.00 Cr 0.00%
FULLERTON LUX FUNDS-ASIA ABSOLUTE ALPHA ₹9.70 Cr 0.00%
ADITYA BIRLA SUN LIFE PHARMA & HEALTHCARE FUND ₹9.58 Cr 0.00%
FIAM GROUP TRUST FOR EMPLOYEE BENEFIT PLANS: FIAM TARGET DATE BLUE CHIP GROWTH COMMINGLED POOL ₹8.24 Cr 0.00%
WHITEOAK CAPITAL PHARMA & HEALTHCARE FUND ₹8.00 Cr 0.00%
FIAM GROUP TRUST FOR EMPLOYEE BENEFIT PLANS: FIAM EMERGING MARKETS OPPORTUNITIES COMMINGLED POOL ₹7.59 Cr 0.00%
SBI NPS TRUST-SBI PENSION FUND SCHEME-E TIER II ₹7.48 Cr 0.00%
ICICI PRUDENTIAL EXPORTS & SERVICES FUND ₹6.99 Cr 0.00%
UTI MNC FUND ₹6.27 Cr 0.00%
FRANKLIN TEMPLETON INVESTMENT FUNDS-TEMPLETON BIC FUND ₹6.09 Cr 0.00%
WHITEOAK CAPITAL LARGE CAP FUND ₹5.50 Cr 0.00%
TA ASIA ABSOLUTE ALPHA FUND ₹5.39 Cr 0.00%
HSBC BALANCED ADVANTAGE FUND ₹5.10 Cr 0.00%
IPROFILE EMERGING MARKETS PRIVATE POOL MANAGED BY FRANKLIN TEMPLETON INVESTMENTS ₹5.00 Cr 0.00%
FRANKLIN TEMPLETON INVESTMENT FUNDS-TEMPLETON EMERGING MARKETS DYNAMIC INCOME FUND ₹5.00 Cr 0.00%
FRANKLIN TEMPLETON FUNDS-FTF TEMPLETON GLOBAL EMERGING MARKETS FUND ₹5.00 Cr 0.00%
TEMPLETON INTERNATIONAL EMERGING MARKETS FUND ₹5.00 Cr 0.00%
FRANKLIN TEMPLETON VARIABLE INSURANCE PRODUCTS TRUST-TEMPLETON DEVELOPING MARKETS VIP FUND ₹5.00 Cr 0.00%
ISIF ACTIVE ASSET ALLOCATOR LONG-SHORT FUND ₹4.99 Cr 0.00%
ISIF EQUITY LONG-SHORT FUND ₹4.99 Cr 0.00%
WHITEOAK CAPITAL BALANCED ADVANTAGE FUND ₹4.50 Cr 0.00%
SBI NPS TRUST-SBI PENSION FUND-NPS LITE SCHEME-GOVT.PATTERN ₹2.99 Cr 0.00%
UTI NPS TRUST-UTI PENSION FUND-NPS LITE SCHEME-GOVT.PATTERN ₹2.95 Cr 0.00%
SBI NPS TRUST-SBI PENSION FUND SCHEME-ATAL PENSION YOJANA ₹2.49 Cr 0.00%
UTI NPS TRUST-UTI PENSION FUND-WEALTH BUILDER NPS EQUITY SCHEME TIER I ₹0.44 Cr 0.00%
UTI NPS TRUST-UTI PENSION FUND-NPS VATSALYA SCHEMЕ ₹0.12 Cr 0.00%
Total ₹4,167.10 Cr 100.06%

Manipal Health Enterprises IPO Allotment Probability

Retail (up to ₹2 L)
Full allotment
0.93x — undersubscribed. Every valid retail application should be allotted in full.
Small HNI (₹2–10 L)
Full allotment
0.9x — undersubscribed. Valid S-HNI bids should be allotted in full.
Big HNI (above ₹10 L)
1 in 2
~92.6% chance — based on 1.08x subscription. Lottery allots the minimum B-HNI application of 68 lots (₹10 L) per winner; the rest is proportionate.
QIB (institutions)
8.25x
Proportionate allotment — at 8.25x, institutions receive ~12.1% of their bid. No lottery; not open to individual investors. Moderate institutional demand.

Odds marked with applicant counts are computed from the exchange's actual application data (applicants ÷ allotment slots); others assume minimum-size bids at the current subscription multiple. Retail and HNI allotment is by SEBI-mandated lottery of the minimum application when oversubscribed; QIB allotment is proportionate. Numbers move until subscription closes. This is not investment advice.

What Does This Subscription Data Mean?

IPO subscription data tells you how much demand exists for the shares being offered, broken down by investor category. Understanding each category helps you gauge the real sentiment behind the numbers:

  • QIB (Qualified Institutional Buyers) — includes mutual funds, FIIs, insurance companies, and banks. QIBs do deep due diligence before bidding. A QIB subscription above 10x is a strong institutional endorsement. Watch QIB numbers closely on the final day — they often hold back and flood in after 3 PM.
  • NII / HNI (Non-Institutional Investors) — high-net-worth individuals bidding above ₹2 lakh. NII allotment is proportionate (not lottery), so higher NII subscription means smaller per-lot allotment. Big HNI (B-HNI) bids above ₹10 lakh; Small HNI (S-HNI) bids ₹2–10 lakh.
  • Retail — individual investors bidding up to ₹2 lakh. When retail is below 1x, everyone who applied gets full allotment. When oversubscribed, SEBI mandates a computerised lottery — only 1 lot per successful applicant regardless of how many lots you apply for.
  • Overall Subscription — a blended multiple across all categories. A total subscription above 10x is considered strong; above 50x is exceptional and usually predicts strong listing gains.

Data sourced from BSE/NSE. Subscription numbers are updated during market hours (10 AM – 5 PM IST) on active subscription days.

Frequently Asked Questions

What is the current subscription status of Manipal Health Enterprises IPO?

As of IPO close date (31 Jul, 2026), the Manipal Health Enterprises IPO is subscribed 4.92x times. Retail category is 0.93x, and NII is 1.02x subscribed.

When is the allotment date for Manipal Health Enterprises IPO?

The allotment for Manipal Health Enterprises IPO is expected to be finalized on 03 August, 2026.

What is the GMP of Manipal Health Enterprises?

The Grey Market Premium (GMP) for Manipal Health Enterprises is currently ₹3, indicating a potential listing gain of 0.51%.

When will Manipal Health Enterprises IPO list on the stock market?

Manipal Health Enterprises is scheduled to list on BSE and NSE on 05 August, 2026.

What are the chances of getting allotment in Manipal Health Enterprises IPO?

The retail category is currently undersubscribed at 0.93x, which means most applicants are likely to receive full allotment. This is a good window to apply if you haven't already.

What does QIB subscription of 8.25x mean for Manipal Health Enterprises IPO?

Moderate — QIBs have subscribed 8.25x. Institutional demand is present but not overwhelming. Watch for any last-minute QIB surge on the final day.

How to check Manipal Health Enterprises IPO allotment status?

After the allotment date (03 Aug, 2026), you can check your Manipal Health Enterprises IPO allotment status on IPO Guru's allotment checker, on the BSE/NSE website using your PAN or application number, or through your broker's app.

Explore Manipal Health Enterprises IPO Further

Track every stage of this IPO from subscription to listing:

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