IPO Listing Price Comparator

Compare historical IPO performances, analyze listing gains, and benchmark against sector averages for informed investment decisions.

Compare IPO Performance

Select IPOs to Compare

Comparison Metrics

Analysis Options

IPO Performance Database

Top Performers (2021-2024)

Nykaa IPO +79.2%
Zomato IPO +52.6%
MapMyIndia IPO +35.4%
Devyani Intl +28.7%

Sector Performance Averages

Technology +18.5%
E-commerce +15.2%
Healthcare +12.8%
Financial -5.4%

Poor Performers

Paytm IPO -27.4%
LIC IPO -8.1%
CarTrade IPO -12.6%
Fino Payments -15.8%

Comprehensive IPO Performance Analysis

IPO Name Issue Price Listing Price Listing Gain 1 Month Current Sector
Zomato IPO ₹76 ₹116 +52.6% +35.2% +18.5% Food Tech
Paytm IPO ₹2,150 ₹1,955 -9.1% -35.8% -68.2% Fintech
Nykaa IPO ₹1,125 ₹2,018 +79.4% +45.6% +22.8% E-commerce
LIC IPO ₹949 ₹872 -8.1% -12.5% -28.9% Insurance
PolicyBazaar ₹980 ₹1,150 +17.3% +8.5% -15.2% Fintech
Delhivery IPO ₹487 ₹444 -8.8% -18.5% -35.6% Logistics

Performance Analysis & Benchmarks

Market Performance Analysis

Bull Market Performance (2020-2021)

Average Listing Gain
+28.5%
Success Rate
78%

Strong retail participation and high liquidity drove exceptional IPO performance during this period.

Bear Market Performance (2022-2023)

Average Listing Gain
-12.8%
Success Rate
35%

Market correction and reduced risk appetite significantly impacted IPO performance.

Recovery Phase (2024)

Average Listing Gain
+15.2%
Success Rate
62%

Selective quality IPOs and improved market sentiment driving moderate recovery.

Sector Performance Benchmarks

Technology & Software +22.4%
Strong digital adoption driving premium valuations
E-commerce & Consumer +18.7%
Brand strength and market expansion potential
Healthcare & Pharma +14.2%
Consistent demand and defensive characteristics
Manufacturing +8.9%
Capital intensive with cyclical performance
Financial Services -3.8%
Regulatory concerns and valuation challenges

IPO Comparison Investment Guide

Smart Comparison Strategy

  • Compare similar-sized IPOs within same sector
  • Analyze performance across different market conditions
  • Consider business model similarities and differences
  • Factor in valuation metrics and growth prospects

Key Comparison Metrics

  • Listing day performance and first week returns
  • Volume analysis and institutional participation
  • Long-term performance vs sector benchmarks
  • Risk-adjusted returns and volatility measures

Comparison Red Flags

  • Comparing across completely different sectors
  • Ignoring market conditions during IPO launch
  • Focusing only on short-term performance
  • Not adjusting for risk and volatility differences

Comprehensive IPO Comparison Framework

Quantitative Analysis

Performance Metrics
  • • Listing Day Returns = (Listing Price - Issue Price) / Issue Price × 100
  • • Volatility = Standard Deviation of Daily Returns
  • • Sharpe Ratio = (Average Return - Risk-free Rate) / Volatility
  • • Maximum Drawdown = Largest Peak-to-Trough Decline
Valuation Comparison
  • • Price-to-Earnings Ratio at IPO vs Current
  • • Price-to-Book Value and Asset Quality
  • • Enterprise Value to Revenue Multiples
  • • PEG Ratio (P/E divided by Growth Rate)

Qualitative Assessment

Business Quality
  • • Market Leadership and Competitive Moats
  • • Management Track Record and Corporate Governance
  • • Revenue Quality and Growth Sustainability
  • • Technology Advantage and Innovation Capability
Market Context
  • • Market Conditions During IPO Launch
  • • Sector Sentiment and Regulatory Environment
  • • Institutional vs Retail Participation Levels
  • • Media Coverage and Analyst Recommendations

Investment Decision Matrix

Strong Buy Indicators
  • • Consistent outperformance vs peers
  • • Strong fundamental metrics
  • • Positive long-term trends
  • • Reasonable valuation
Hold/Watch Indicators
  • • Mixed performance signals
  • • Sector headwinds present
  • • Valuation at fair value
  • • Need more data points
Avoid Indicators
  • • Consistent underperformance
  • • Weak business fundamentals
  • • High volatility with poor returns
  • • Overvalued compared to peers

Frequently Asked Questions

How should I compare IPOs from different time periods?

What's the ideal time horizon for IPO performance comparison?

How do I account for sector differences in comparisons?

Should I consider only successful IPOs in my analysis?