Thanks Appreciate your inputs here!
For Pre IPO, is there any metric like 1 month before IPO is considered for lockin or even if some of these investors invested 10 years before IPO is also locked in as PreIPO?
Is this rule for all companies IPO or is linked to some kind of shareholding pattern priori to/post IPO like say Promoter/PE percentages etc.?
Thats huge no doubt but same should be case for every IPO like even for TCS or Dmart when they happened?
So, huge MTM gains must be present for huge magnitude of investors compared to mcap even for these firms but only the recent IPOs are falling…so gain is not reason for selling, its something else…maybe future potential of these companies compared to irrational IPO?
Is there no regulation to monitor this as this means the IPO done for retail public was at a price set for them to loose?
Disc: View only for academic purposes. I can be completely wrong in all my assessments.
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