Fin Cascade

Prices as of 9 Oct 2026 close · Not investment advice

IL&FS Investment Managers Limited

NSE: IVCAsset Management CompanyASM stage 1

Share price

₹7.86

-0.13% close of 9 Oct 2026

Market cap ₹247 CrP/E 60.6

Price-based ratios (P/B, dividend yield, EV/EBITDA) are as of 8 Oct 2026, the close above is 9 Oct 2026.

Business score

How strong the business is, in one number. The parts behind it are in Pro.

46

out of 100 · worked out 9 Oct 2026

How the business score works

Your ratios

The numbers you want to see first. Tap Edit to change them.

Market cap

₹247 Cr

P/E ratio

60.6

P/B ratio

1.3

ROCE

4.1%

ROE

2.0%

Dividend yield

15.1%

Price & valuation chart

How the share price and its valuation have moved. Hover over the chart to see any day. Prices as of the last close.

Prices as of 9 Oct 2026 close52-week high ₹10.2852-week low ₹6.24

Answers

Simple answers to the questions investors ask most, from the company's own numbers.

How fast it has been growing

Our sales figures for this company step up at Mar 2026 and we hold nothing that says why, so we cannot honestly quote a growth rate across it.

Whether it grew faster than its sector

Our sales figures for this company step up at Mar 2026 and we hold nothing that says why, so there is no honest growth rate of its own to set against its sector.

Room to re-rate, or risk of de-rating

At 60.6× earnings it costs 2.5× the market, which pays 24.1× across 2199 companies we can price. Its own industry sits at 24.1×, across 5 companies. It is against its own five-year median of 27.8×, the 81st percentile of its own range.

Whether growth justifies the valuation

Its earnings are falling, so growth cannot justify the price.

Profit growthPrice per ₹1 profitPer 1% growth
IL&FS Investment Managers Limited — this one-31%/yr60.6×—
UTI Asset Management Company Limited2%/yr21.2×₹10.6
Canara Robeco Asset Management Company Limited37%/yr20.0×₹0.54
Gaja Alternative Asset Management Limited24%/yr24.1×₹1.0
ICICI Prudential Asset Management Company Limited30%/yr42.6×₹1.4
SBI Funds Management Limited32%/yr33.3×₹1.0

Compared with companies filed under the same label. That grouping comes from the exchange's filing category, so some of them may not be real rivals.

How it compares with its peers

Against companies the exchange files under the same label (Asset Management Company), it ranks 9 of 9 on returns, 9 of 9 on growth, 9 of 9 on margin. That grouping comes from the exchange's filing category, so some of them may not be real rivals.

What makes it hard to beat — and is that still true?

No durable advantage shows in the numbers: it earns 4.1% on capital, ahead of 0% of companies filed under the same label. That grouping comes from the exchange's filing category, so some of them may not be real rivals.

Whether its growth pays for itself

Yes — Over the last five years it made ₹12 crore of cash from the business, spent ₹1 crore on plant and equipment, and returned ₹101 crore to lenders and shareholders. And the profit is real: of every 100 rupees it reported over 12 years, about 152 arrived as cash — well above the profit; depreciation and interest are the reason, not a windfall. Its cash comes back more slowly than it used to: it went from being waiting 91.3 days for its cash to waiting 256.9 days for its cash.

Profit reality check

Is the profit real cash? Simple checks on the accounts. Facts only, not advice.

Not enough filed accounts to run these checks yet.

How the profit check works

Latest result · Q1 FY27

What the last results showed. Whether management kept its word is in Pro.

Announced 13 Aug 2026 · Consolidated · Unaudited

Revenue

₹8 Cr

Revenue vs last year

+40.9%

Revenue vs last quarter

-76.8%

Net profit

₹1 Cr

Profit vs last year

+427.1%

Profit vs last quarter

-69.4%

Net margin

14.8%

EPS

₹0.06

Checklist before you investPRO

Points for and against, in one list.

Key numbers & peers

The main numbers grouped by topic, and how the company compares with similar ones.

Price

Market cap
₹247 Cr
Prev close
₹7.86
52w High
₹11.0
52w Low
₹6.0
Enterprise value
₹162 Cr
Beta
0.9
Price CAGR 1y
-1.0%
Price CAGR 3y
0.0%
Price CAGR 5y
7.0%
Price CAGR 10y
-7.0%

Ratios

Return on assets
2.0%
PEG ratio
-2.0
P/E ratio
60.6
P/B ratio
1.3
EV / EBITDA
—
Industry P/E
32.9
ROCE
4.1%
ROCE 5y average
6.7%
ROE
2.0%
Debt / Equity
0.0
Interest coverage
—
Dividend yield
15.1%
ROE 3y average
4.0%
ROE last year
2.0%

Annual P&L

Annual revenue
₹64 Cr
Annual profit
₹5 Cr
Operating margin
12.5%
Net profit margin
7.4%
EBITDA margin
12.5%
Sales growth 3y
-5.0%
Sales growth 5y
2.5%
Profit growth 3y
-31.0%
Profit growth 5y
-13.0%
EPS
₹0.1
Sales growth TTM
111.0%
Profit growth TTM
-77.0%
Dividend payout
569.5%

Quarter P&L

Sales latest quarter
₹8 Cr
Profit latest quarter
₹1 Cr
YoY quarterly sales growth
40.9%
YoY quarterly profit growth
426.1%
OPM latest quarter
-18.6%

Balance Sheet

Book Value
₹6.1
Face Value
₹2.0
Total debt
₹0 Cr
Total cash
₹85 Cr
Borrowings
₹0 Cr
Reserves / Equity
2.0

Cash Flow

Operating cash flow
₹21 Cr
Free cash flow
₹21 Cr
FCF yield
8.6%
Net cash flow
-₹3 Cr

Shareholding

Promoter holding
50.4%
FII holding
0.0%
DII holding
—
Public holding
49.6%

Peer comparison

CompanyPrice ₹P/EMkt cap ₹ CrDiv yield %Profit qtr ₹ CrProfit var %Sales qtr ₹ CrSales var %ROCE %
ICICI AMC3,058.5043.41,51,1690.89964.623.11,564.217.6115.1
SBI Funds Mgt.501.2032.91,02,0860.00880.33.71,152.715.256.5
HDFC AMC2,314.8033.799,3222.33838.412.11,098.513.542.9
Nippon Life Ind.1,047.2040.967,0252.05503.727.2766.926.443.8
Aditya AMC1,015.5029.129,3862.51309.511.7463.03.532.2
UTI AMC892.3021.511,4704.48293.924.1583.56.715.6
Canara Robeco229.5221.04,5771.7475.624.0145.420.140.1
IL&FS Inv.Manag.7.9561.325015.091.223.98.240.94.1
Median696.7532.920,4281.90301.723.5523.214.336.2

Competes with: Aditya Birla Sun Life AMC Limited, Canara Robeco Asset Management Company Limited, HDFC Asset Management Company Limited, ICICI Prudential Asset Management Company Limited, Nippon Life India Asset Management Limited, SBI Funds Management Limited, UTI Asset Management Company Limited

Quarterly results

Sales and profit for each of the last 13 quarters. Newest on the right. ₹ crore.

Consolidated · to 30 Jun 2026
Line itemJun 2023Sep 2023Dec 2023Mar 2024Jun 2024Sep 2024Dec 2024Mar 2025Jun 2025Sep 2025Dec 2025Mar 2026Jun 2026
Sales131214137.775.208.527.585.807.176.73358.17
Expenses13131410125.339.096.338.406.0811319.69
Material Cost000000
Change in Inventories000000
Purchases of Stock-in-Trade000000
Employee Cost2.362.012.192.472.431.91
Other Expenses3.986.393.898.90297.78
Operating Profit0.51-1.39-0.572.82-4.09-0.13-0.571.25-2.601.09-4.633.78-1.52
OPM %3.83-12-4.1321-53-2.50-6.6916-4515-6911-19
Other Income4.913.212.953.422.193.455.227.453.093.871.842.674.46
Exceptional items (within Other Income)000002.49
Interest0000000000000
Depreciation0.040.050.080.080.070.060.060.050.050.040.040.050.06
Profit before tax5.381.772.306.16-1.973.264.598.650.444.92-2.836.402.88
Tax %421.133.0419895519-4645303.183858
Net Profit3.081.752.284.94-3.721.593.70130.233.53-2.933.961.21
EPS in Rs0.050.070.040.15-0.110.030.100.390.030.09-0.060.070.06
Diluted EPS in Rs0.390.030.09-0.060.070.06

Profit & loss

Yearly sales, costs and profit for 12 years, plus the last 12 months (TTM). ₹ crore.

Consolidated · to 31 Mar 2026
Line itemMar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025Mar 2026TTM
Sales1981891111161014557567565446457
Expenses93968583746848425751325659
Material Cost00
Change in Inventories00
Purchases of Stock-in-Trade00
Employee Cost119.11
Other Expenses2147
Operating Profit10593263227-238.40141814128.03-1.28
OPM %5349242827-51152624222812-2.23
Other Income111.764.395.88-263.801.761.093.601.422.751.1613
Exceptional items (within Other Income)00
Interest0000000000000
Depreciation192017129.410.610.310.210.190.250.250.190.19
Profit before tax97751427-7.84-209.85152216159.0011
Tax %2425513474-0.862.841421232.6747
Net Profit73566.8518-14-209.57131712144.795.77
EPS in Rs2.331.790.200.49-0.48-0.440.250.250.380.320.420.120.16
Diluted EPS in Rs0.420.12
Dividend Payout %5667307124-63-13612016121021767570

Compounded growth

Average yearly growth over different spans, as stored. A span can cross a demerger or an acquisition.

Compounded sales growth

10 years
-10%
5 years
3%
3 years
-5%
TTM
111%

Compounded profit growth

10 years
-23%
5 years
-13%
3 years
-31%
TTM
-77%

Stock price CAGR

10 years
-7%
5 years
7%
3 years
0%
1 year
-1%

Return on equity

10 years
2%
5 years
5%
3 years
4%
Last year
2%

Balance sheet

What the company owns and what it owes, at the end of each year. ₹ crore.

Consolidated
Line itemMar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Equity Capital636363636363636363636363
Reserves302334246205177160147148154140142128
Borrowings000000000000
Other Liabilities928251555840404451473453
Minority Interest2121
Total Liabilities457479360323297263250255267249239244
Fixed Assets142134209.560.960.530.420.280.390.470.400.30
CWIP00.100.32000000000
Investments14413197768562413271625077
Other Assets171214243237212200208223195187189166
Total Assets457479360323297263250255267249239244

Cash flows

Real money coming in and going out each year — from the business, from investments and from loans. ₹ crore.

Consolidated
Line itemMar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Cash from Operating Activity999228-3.8075-23116.43-0.48-6.10-8.9021
Cash from Investing Activity-382338-13-4542-8.24-12-2930211.42
Cash from Financing Activity-46-47-41-20-20-9.92-19-9.42-16-28-22-26
Net Cash Flow156825-36119.79-16-15-46-4.27-10-2.69
Free Cash Flow989130-4.6975-23116.36-0.71-6.43-9.0221

Ratios

How fast customers pay, how long stock sits, and how well capital earns — year by year.

Consolidated
Line itemMar 2015Mar 2016Mar 2017Mar 2018Mar 2019Mar 2020Mar 2021Mar 2022Mar 2023Mar 2024Mar 2025Mar 2026
Debtor Days188158262279998176588311311365
Cash Conversion Cycle188158262279998176588311311365
Working Capital Days65382103811101678391103154282257
ROCE %28193.258.707.99-8.074.306.749.246.806.534.11

Shareholding pattern

Who owns the company — founders (promoters), foreign funds, Indian funds and the public. In %.

Consolidated · to 30 Jun 2026
Line itemSep 2023Dec 2023Mar 2024Jun 2024Sep 2024Dec 2024Mar 2025Jun 2025Sep 2025Dec 2025Mar 2026Jun 2026
Promoters505050505050505050505050
FIIs0000.3800.0200.0600.0400
DIIs0
Public505050495050505050505050
No. of Shareholders63,98772,90678,24981,25788,92998,6721,02,2161,03,3281,03,6501,04,0871,02,9011,01,714

Price trend

The price as a Renko brick chart: small moves drop out so the bigger path stands out.

Change over 1 year -1.0% (₹7.94 → ₹7.86)Brick size ₹0.39 (fixed)Bricks 22
₹7.00₹9.00₹10.00₹7.86Jan '26Apr '26Aug '26
Price moved up one brickPrice moved down one brickLast close ₹7.86 on 9 Oct 2026

Every brick is the same size, about one typical day's move. A new brick needs a full brick's move; turning the other way needs two. Bricks show where the price went, not where it will go.

Open interestPRO

Where option traders are positioned on this stock.

Industry numbers

The numbers that matter most in this industry, from the company's own filings.

1 when an audit qualification is filed as repetitive

1.00flag

2026-03-31

the company's own unlisted debt securities in default at period end

0.00cr

2026-06-30

the company's own loans / revolving facilities in default at period end (standalone filing)

0.00cr

2026-06-30

net debt from the filed balance sheet at the newest year end: Borrowings − Cash Equivalents − Investments (Current); negative = net cash

-85.00inr_cr

2026-03-31

guarantees / comfort given for promoter, promoter group, directors and KMP

0.00cr

2026-03-31

loans outstanding to promoter, promoter group, directors and KMP (governance filing)

0.00cr

2026-03-31

security given for the borrowing of promoter, promoter group, directors and KMP

0.00cr

2026-03-31

News

News and filings about IL&FS Investment Managers Limited. Open one to see why it matters.

No recent news for this company.

Supply chain

Who it buys from, sells to and competes with — as recorded in our map of company links.

About

What the company is, from our own records: where it sits, where it makes things, and what it is made of.

Sector
Financial Services
Industry
Asset Management Company
Classification
Financial Services › Asset Management Company
ISIN
INE050B01023

News impact

Big market events that reach IL&FS Investment Managers Limited, and how the effect spreads.

No recent market events reach this company.

Dividends, splits & big trades

Money paid out, share splits and buybacks, and big buys or sells by funds and insiders.

Dividends

15 Sep 2026unspecified₹0.7
21 Nov 2025interim₹0.5
12 Sep 2025unspecified₹0.28
23 Aug 2024unspecified₹0.7
17 Aug 2023unspecified₹0.8
29 Aug 2022unspecified₹0.4
21 Sep 2021unspecified₹0.3
2 Nov 2020unspecified₹0.6

Splits, bonuses & buybacks

  • daily-prices repair: 9 rows from NSE's archive (replace 1, delete 1, insert 7), 2016-10-30..2026-02-01 (docs/flat_day_repair.md)1× · 30 Oct 2016

Documents

Annual reports, results presentations and earnings calls, straight from the source.

Facts from company filings and exchange data. Not investment advice: nothing here tells you to buy or sell.