Disclaimer: GMP is sourced from grey market dealers and is indicative only. Always conduct your own due diligence.
| Investor Category | Shares Offered |
|---|---|
| QIB Shares Offered | Not more than 50% of the Offer |
| Retail Shares Offered | Not less than 35% of the Offer |
| NII Shares Offered | Not less than 15.0% of the Offer |
SBI Funds Management Ltd was established in 1992 and is the largest asset management company (AMC) in India based on assets under management (AUM). The company manages the well-known SBI Mutual Fund. It is a joint venture between State Bank of India and Amundi. The company offers a wide range of investment products such as equity funds, debt funds, hybrid funds, ETFs, and portfolio management services (PMS). As of 2025, the company manages around โน16.32 lakh crore in assets, which represents about 15.5% of India’s total mutual fund AUM.
As of December 31, 2025, the company serves more than 16.05 million investors, including both individual and institutional clients.
It manages a diversified portfolio of 126 mutual fund schemes, covering different categories such as:
The company also has a global investment presence. Its international business includes:
India-focused investment mandates for institutional investors in Japan, Australia, and Korea, with AUM of โน232,090.37 million.
UCITS India-focused funds sponsored by Amundi, with AUM of โน86,816.48 million, distributed across Europe, the Middle East, South America, and Southeast Asia.
Advisory services for Amundi’s Global Emerging Markets funds, managing โน145,839.65 million in India-related assets.
Competitive Strengths
| Period Ended | 31 Dec 2025 | 31 Mar 2025 | 31 Mar 2024 | 31 Mar 2023 |
|---|---|---|---|---|
| Assets | 7,824.71 | 8,771.86 | 7,106.93 | 4,984.24 |
| Total Income | 3,883.24 | 4,236.15 | 3,426.08 | 2,412.58 |
| Profit After Tax | 2,432.91 | 2,540.15 | 2,072.79 | 1,339.71 |
| EBITDA | 3,186.56 | 3,412.94 | 2,718.82 | 1,810.41 |
| NET Worth | 8,297.53 | 6,747.75 | 4,751.38 | |
| Reserves and Surplus | 309.70 | 255.12 | 182.02 | 119.60 |
| Amount in ₹ Crore | ||||
| KPI | Dec 31, 2025 | Mar 31, 2025 |
|---|---|---|
| ROE | 31.25% | 33.77% |
| RoNW | 31.25% | 33.77% |
| EBITDA Margin | 98.03% | 94.86% |
| Metric | Pre IPO | Post IPO |
|---|---|---|
| EPS (โน) | 12.47 | |
| Promoter Holding | 98.02% |