Date: March 05, 2024
To,
 The Senior General Manager                       The Associate Vice President
 Dept. of Listing Operations                      MSD - Non-Continuous Markets Group
 BSE Limited,                                     National Stock Exchange of India Limited
 P J Towers, Dalal Street,                        Exchange Plaza, Bandra Kurla Complex
 Mumbai -400001                                   Bandra (E), Mumbai-400051
Dear Sir / Madam,
Sub:    Proposed initial public offering of equity shares of face value of ₹1 each (the “Equity
        Shares”) of Gopal Snacks Limited (the “Company”) through offer for sale of up to [●] Equity
        Shares aggregating up to ₹6,500 million (“Offer for Sale” or “Offer”)
The IPO Committee of the Company at its meeting held on March 05, 2024, in consultation with the
Book Running Lead Managers to the Offer, has finalized allocation of 48,36,657 Equity Shares, to
Anchor Investors at Anchor Investor allocation price of Rs.401/- per Equity Share (including share
premium of Rs. 400/- per Equity Share) in the following manner:
                                                 No. of      % of      Bid price
 Sr.                                            Equity      Anchor      (₹) per     Total Amount
             Name of the Anchor Investor
 No.                                            Shares     Investor     Equity      Allocated (₹)
                                               allocated    Portion     Share)
        ASHOKA WHITEOAK ICAV - ASHOKA
1       WHITEOAK EMERGING MARKETS               1,99,504    4.12%        401        8,00,01,104.00
        EQUITY FUND
2       WHITEOAK CAPITAL MID CAP FUND           1,69,164    3.50%        401        6,78,34,764.00
        WHITEOAK CAPITAL MULTI CAP
3                                               1,06,930    2.21%        401        4,28,78,930.00
        FUND
        WHITEOAK CAPITAL ELSS TAX SAVER
4                                                 23,162    0.48%        401          92,87,962.00
        FUND
5       DSP MULTICAP FUND                       4,98,760   10.31%        401       20,00,02,760.00
        QUANT MUTUAL FUND - QUANT
6                                               2,49,380    5.16%        401       10,00,01,380.00
        ESG EQUITY FUND
        QUANT MUTUAL FUND - QUANT
7                                               2,49,380    5.16%        401       10,00,01,380.00
        CONSUMPTION FUND
        360 ONE SPECIAL OPPORTUNITIES
8                                               4,98,760   10.31%        401       20,00,02,760.00
        FUND - SERIES 9
        NATIXIS INTERNATIONAL FUNDS
9       (LUX) I - LOOMIS SAYLES GLOBAL          4,98,760   10.31%        401       20,00,02,760.00
        EMERGING MARKETS EQUITY FUND
        OPTIMIX WHOLESALE GLOBAL
10                                                4,98,760    10.31%        401        20,00,02,760.00
        EMERGING MARKETS SHARE TRUST
11      BNP PARIBAS FUNDS INDIA EQUITY            3,74,070    7.73%         401        15,00,02,070.00
        EDELWEISS TRUSTEESHIP CO LTD
12      AC- EDELWEISS MF AC- EDELWEISS              74,814    1.55%         401         3,00,00,414.00
        EDELWEISS EQUITY SAVINGS FUND
        EDELWEISS TRUSTEESHIP CO LTD AC
13      - EDELWEISS MF AC- EDELWEISS              1,74,566    3.61%         401         7,00,00,966.00
        RECENTLY LISTED IPO FUND
        HDFC LIFE INSURANCE COMPANY
14                                                2,49,380    5.16%         401        10,00,01,380.00
        LIMITED
15      ITI FLEXI CAP FUND                        1,49,299    3.09%         401         5,98,68,899.00
        LEADING LIGHT FUND VCC - THE
16                                                1,49,299    3.09%         401         5,98,68,899.00
        TRIUMPH FUND
17      BAY CAPITAL INDIA FUND LTD                1,49,299    3.09%         401         5,98,68,899.00
18      BOFA SECURITIES EUROPE SA - ODI           3,74,070    7.73%         401        15,00,02,070.00
        COPTHALL MAURITIUS INVESTMENT
19                                                1,49,300    3.09%         401         5,98,69,300.00
        LIMITED - ODI ACCOUNT
        Total                                   48,36,657 100.00%           401       193,94,99,457.00
Out of the total allocation of 48,36,657 Equity Shares to the Anchor Investors, 16,95,455 Equity Shares
(i.e. 35.05 % of the total allocation to Anchor Investors) were allocated to 5 domestic mutual funds
through a total of 9 schemes. Set forth below is a scheme-wise detail of mutual funds:
                                                   No. of       % of      Bid price
Sr.                                               Equity       Anchor      (₹) per      Total Amount
         Name of the Mutual Fund Scheme
No.                                               Shares      Investor     Equity       Allocated (₹)
                                                 allocated     Portion     Share)
1     WHITEOAK CAPITAL MID CAP FUND               1,69,164     3.50%         401        6,78,34,764.00
2     WHITEOAK CAPITAL MULTI CAP FUND             1,06,930     2.21%        401         4,28,78,930.00
      WHITEOAK CAPITAL ELSS TAX SAVER
3                                                   23,162     0.48%        401           92,87,962.00
      FUND
4     DSP MULTICAP FUND                           4,98,760    10.31%        401        20,00,02,760.00
      QUANT MUTUAL FUND - QUANT ESG
5                                                 2,49,380     5.16%        401        10,00,01,380.00
      EQUITY FUND
      QUANT MUTUAL FUND - QUANT
6                                                 2,49,380     5.16%        401        10,00,01,380.00
      CONSUMPTION FUND
      EDELWEISS TRUSTEESHIP CO LTD AC-
7     EDELWEISS MF AC- EDELWEISS                    74,814     1.55%        401         3,00,00,414.00
      EDELWEISS EQUITY SAVINGS FUND
      EDELWEISS TRUSTEESHIP CO LTD AC -
8     EDELWEISS MF AC- EDELWEISS                               1,74,566   3.61%    401    7,00,00,966.00
      RECENTLY LISTED IPO FUND
9     ITI FLEXI CAP FUND                                       1,49,299   3.09%    401    5,98,68,899.00
      Total                                                   16,95,455   35.05%   401   67,98,77,455.00
As per the Securities and Exchange Board of India (Issue of Capital and Disclosure Requirement)
Regulations, 2018, as amended, in case the Offer Price discovered through book building process is
higher than the Anchor Investor Allocation Price, Anchor Investors will be required to pay the
difference by the Pay-in Date as specified in the revised CAN.
Please note that capitalized terms used and not defined herein shall have the respective meaning
ascribed to them in the Red Herring Prospectus.
We request you to make the above information public by disclosing the same on your website.
Thanking You,
For Gopal Snacks Limited
Gangani
                Digitally signed by Gangani Mayur Popatbhai
                DN: c=IN, o=Personal,
                pseudonym=cdf6c34b95354812869d129be4bf69
                f5,
Mayur
                2.5.4.20=1494863c574fcb45993f117fe2ade307d1
                cfa9d1b04e2d7887e00d6c3330e0df,
                postalCode=360005, st=Gujarat,
                serialNumber=b002dbfd035650f72537d39f23900
Popatbhai       15f29da8687ec9a17dea5afb17f74248e28,
                cn=Gangani Mayur Popatbhai
                Date: 2024.03.05 20:18:26 +05'30'
Name: Mayur Popatbhai Gangani
Designation: Company Secretary and Compliance Officer
cc:   Securities and Exchange Board of India
      Corporation Finance Department,
      Division of Issues and Listing,
      Plot No. C4 A, G Block
      Bandra Kurla Complex, Bandra (East)
      Mumbai 400 051, India