SMC Global Securities Limited is a prominent diversified financial services company in India offering broking, wealth management, clearing, and financial advisory services.
Price Band
₹1,000 - ₹1,000
Lot Size
TBD
Issue Size
TBD
Fresh Issue
TBD
OFS
N/A
Registrar
TBD
AI Sentiment Score
Current GMP
₹0
Est. Listing: ₹1,000 (0%)
📅 IPO Timeline
1
Open
Oct 5, 2026
2
Close
Oct 16, 2026
3
Allotment
Oct 19, 2026
4
Refund
Oct 20, 2026
5
Demat
Oct 20, 2026
6
Listing
TBD
✨ AI Analysis & Prediction
-0.5%
predicted listing gain
SMC Global Securities Limited shows a neutral baseline profile based on the provided zero-subscription and zero-float data points, indicating lack of active primary market price discovery for a new issue structure.
💪 Strengths
Established brand presence in financial services
⚠️ Weaknesses
Lack of active primary market demand data in current dossier
🚀 Opportunities
Growth in retail participation in Indian capital markets
🛡️ Threats
High market volatility and regulatory changes
🏢 About SMC Global Securities
Company Overview & Business Profile
The company operates within the competitive Indian financial services and brokerage sector, with performance closely tied to capital market volumes and advisory mandates.
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📈 About SMC Global Securities IPO
Issue Structure, View & Risks
The provided IPO dossier indicates nominal or baseline metrics with zero subscription numbers and no active grey market premium, resulting in a neutral risk-adjusted predicted listing gain.
Disclaimer: The information provided on this page is for educational and informational purposes only and does not constitute financial advice. IPO investments are subject to market risks. AI-generated analysis is based on publicly available data and may not be accurate. Grey Market Premium (GMP) is unofficial and highly speculative. Always consult a qualified financial advisor and read the DRHP/RHP carefully before making investment decisions.
The company operates within the competitive Indian financial services and brokerage sector, with performance closely tied to capital market volumes and advisory mandates.
The provided IPO dossier indicates nominal or baseline metrics with zero subscription numbers and no active grey market premium, resulting in a neutral risk-adjusted predicted listing gain.