LIVE24 Aug 2026, 08:01 PM IST
Home / IPO / SAMHI Hotels
LISTEDSME

SAMHI Hotels IPO

Open 14th Sep 2023 · Close 18th Sep 2023 · Listing 22nd Sep 2023

Verified 2026-08-2983% data coverage
Issue Price₹126.00
Listing Price₹134.50
Current Price
Listing Gain6.75%
Current Return

At a glance

Updated 2026-08-29

The shares listed at ₹134.50, a 6.75% move from the issue price. SAMHI Hotels is a Mainboard IPO with an issue size of ₹1,370.10 crore, proposed for listing on BSE, NSE. The offer opens on 14th Sep 2023 and closes on 18th Sep 2023. The issue structure includes a fresh issue of ₹1,200.00 crore and an offer-for-sale component of ₹170.10 crore. The current listing schedule points to 22nd Sep 2023.

Issue details

Listing atBSE, NSE
Issue typeBook Build Issue
Issue size₹1,370.10 Cr
Fresh issue₹1,200.00 Cr
Offer for sale₹170.10 Cr
Face value₹1
Price band₹119.00–₹126.00
Allotment22nd Sep 2023
Listing22nd Sep 2023

Listing performance

Full performance ↗
Issue price₹126.00
Listing price₹134.50
Current price
Listing gain6.75%
Current return
Price progressionIssue → Listing → Current

Grey market

GMP page ↗
Latest GMP₹8.00
GMP / upper price6.35%
Est. listing₹134.00
GMP is unofficial sentiment data, not an exchange price.

Timeline

Opens14th Sep 2023
Closes18th Sep 2023
Allotment22nd Sep 2023
Refund25th Sep 2023
Demat26th Sep 2023
Listing22nd Sep 2023

Subscription demand

Full bidding ↗
Total5.57×

Lot size

InvestorLotsSharesAmount
Minimum Bid1119₹14,994

Company

Incorporated2010

Use of proceeds

ObjectAmount
Repayment/ prepayment/ redemption, in full or in part, of certain borrowings availed of by the Company and Subsidiaries including payment of the interest accrued thereon₹900.00 Cr
General Corporate Purposes₹241.41 Cr
Issue Expenses₹67.12 Cr
Total₹1,208.53 Cr

31 Mar 2021

Assets2,488.00
Total Income179.25
Profit After Tax-477.73
NET Worth-259.28
Reserves and Surplus-203.12
Total Borrowing2,424.40

31 Mar 2022

Assets2,386.58
Total Income333.10
Profit After Tax-443.25
NET Worth-702.63
Reserves and Surplus-646.47
Total Borrowing2,597.69

31 Mar 2023

Assets2,263.00
Total Income761.42
Profit After Tax-338.59
NET Worth-871.43
Reserves and Surplus-816.18
Total Borrowing2,787.54
Trend chart₹ crore

KPIs

KPIIssue ExpensesEst Amt (₹ Cr.)
1Fees payable to the BRLMs including underwriting commission, brokerage and selling commission, as applicable34.41
211.49
3Fees payable to the Registrar to the Offer0.02
4Other expenses: (i) Listing fees, SEBI filing fees, book building software fees and other regulatory expenses3.73
5Other expenses: (ii) Printing and stationery expenses1.49
6Other expenses: (iii) Advertising and marketing expenses2.38
7Other expenses: (iv) Fees payable to the legal counsels to the Offer7.65
8Other expenses: (v) Fees payable to the statutory auditors, independent chartered accountants, other consultant and industry expert#11.43
9Other expenses: (vi) Miscellaneous4.53
Total67.12

Issue expenses

ExpenseAmount
Repayment/ prepayment/ redemption, in full or in part, of certain borrowings availed of by the Company and Subsidiaries including payment of the interest accrued thereon₹900.00 Cr
General Corporate Purposes₹241.41 Cr
Issue Expenses₹67.12 Cr
Total₹1,208.53 Cr

Registrar & lead managers

Registrar

Kfin Technologies Ltd.

Lead managers

  • Kotak Mahindra Capital Co.Ltd.

Offer documents

Data is reconciled from multiple public IPO sources. Official exchange filings and offer documents remain the source of truth. Last verified 2026-08-29.