Index
Checking point of information
at the time of initial public offering.
AI Analysis
■AI Analysis
AI statistically analyzes IPO information to identify trends.
The closer the number is to 5, the higher the rate of increase in the initial price relative to the offering price.
popularity | scale-criteria | offering-criteria | exchange-criteria | market-condition | Business-criteria |
3 | 3 | 3 | 5 | 1 | 2 |
*This is an analysis of trends and does not guarantee any results.
This is not a solicitation to buy or sell stocks, nor is it investment advice.
*Please check the disclaimer for details.
■AI Analysis Chart
A group of stocks listed in the past
with similar IPO condition trends
Name | Rate of change (Inicial Price) |
| +29.4% |
| +11.2% |
| +51.5% |
| +135.2% |
| +126.3% |
| -15.8% |
CompanyOverview
- Company Name:TOKYO BASE Co Ltd
- The industry sector is RetailTrade.
- Scheduled to be listed on MOTHERS.
- The company size is that assumed market capitalization is
approx. 59 Million JPY (excluded public offering), approx. 62 Million JPY (included public offering).
- The lead manager is SMBC日興.
Initial Public Offering Memo
■ Market Cap | Offering rate | Dilution rate | lock-up information
- The company size is assumed market capitalization is
approx. 59 Million JPY (excluded new issues), approx. 62 Million JPY (included new issues).
- The total amount of new issues is 3.4 Million JPY.
- The total amount of public offering is 7.6 Million JPY.
- The dilution ratio from the new issues is 6%.
- Rate of offering is aprrox. 13%.
- The number of outstanding shares is 2,050,000 shares (excluded new issues),
2,169,000 shares (included new issues).
- The number of diluted shares for stock acquisition rights is 0 shares.
■ Book building schedule | Payment schedule
- Condition date :August 17, 2015(Mon.)
- Book building Period *1:August 18, 2015(Tue.) - August 24, 2015(Mon.)
- Priced date *2 :August 25, 2015(Tue.)
- Payment Period *3 :August 26, 2015(wed.) - August 31, 2015(Mon.)
- Listing Date :September 2, 2015(wed.)
*1:(Period for applying lottery to obtain the right to purchase)
*2:(The date when the purchase price is determined)
*3:(Period for expressing your intent to purchase and payment,if you are selected in the lottery)
■ Detail of new issue or public offering
- Unit of application:100 shares (Minimum deposit amount is 287,000 JPY.)
- Assumed issue price:2770 JPY
- Tentatively price range:2770 JPY - 2870 JPY
- Public offering price:2870 JPY
- The initial price on listed:3440 JPY(+19.9%)
- Newly Issued Shares:119,000 shares (Domestic:119,000 shares + Overseas:0 shares)
- Public offering shares:265,100 shares (Domestic:265,100 shares + Overseas:0 shares)
- Number of domestic unit:3,841 Unit
- The lead manager is SMBC日興証券.
- The another securities companies are マネックス証券/SBI証券/みずほ証券.
SMBC日興 |
マネックス |
SBI |
みずほ |
Lead |
Sub |
Sub |
Sub |
■ New issue or public offering - condition history
|
Update date |
Assumed issue price (JPY) |
Tentatively price range (JPY) |
Public offering price (JPY) |
Priced | 2015-08-25 | 2770 JPY | 2770 - 2870 JPY | 2870 JPY |
|
Update date |
New issues total shares |
New issues (Overseas) |
PO&OA total shares |
PO (Domestic) |
PO (Overseas) |
OA (Domestic) |
OA (Overseas) |
Priced | 2015-08-25 | 119,000 | 0 | 265,100 | 215,000 | 0 | 50,100 | 0 |
※:( ) indicates the breakdown.
e.g. In the case of a PO(overseas), there are domestic and overseas allotments of the public offering, of which the overseas allotment is indicated.
PO : Public offering OA : Over allotment