IL&FS Investment Managers Limited

: IVC · Asset Management Company

52W Range₹6 ₹10

Limited coverage

We are not actively covering this company or have limited coverage today. Click to request coverage.

Snapshot

Unlock IL&FS Investment Managers Limited's vital signs

Growth · Profitability · Valuation · Strength · Conviction

Company Overview

Business

IL&FS Investment Managers Limited is a prominent Indian private equity fund manager specialising in infrastructure, real estate, and general-purpose private equity investments. The company leverages its long-standing market presence to manage capital across diverse sectors including telecom, media, and retail.

Business Model

The company generates revenue primarily through management fees and performance-based carried interest earned from the private equity funds it manages. It acts as an investment manager for institutional capital, focusing on long-term asset appreciation across infrastructure and real estate portfolios.

  • Assets Under Management:$3.5 billion

Growth Outlook

Growth is driven by the continued deployment of capital into infrastructure and real estate projects within the Indian market. The firm seeks to capitalise on its early-mover advantage to identify and scale investments in emerging sectors.

Key Risks

  • Regulatory and Policy Risk. Changes in government regulations regarding infrastructure financing and foreign investment can significantly impact fund performance.
  • Liquidity Risk. Private equity investments are inherently illiquid, making it challenging to exit positions during periods of market volatility.
  • Parent Company Exposure. As a subsidiary of IL&FS, the company remains susceptible to the financial health and reputational challenges of its parent entity.
  • Market Concentration. Heavy reliance on the Indian infrastructure and real estate sectors exposes the firm to cyclical downturns in these specific industries.

Start your research today

Unlock AI insights, financials, peers and live data on IL&FS Investment Managers Limited and 5,000+ companies — free.

Start your research

Key Metrics

REVENUE

₹55 Cr

TTM · consolidated

+88.9%YoY

NET PROFIT

₹5 Cr

TTM · consolidated

-66.4%YoY

EPS

₹0.13

TTM · consolidated

-68.3%YoY

RETURN ON EQUITY

2.4%

TTM · consolidated

-4.1 ppYoY

P/E

64.7x

Q4 FY26 · consolidated

64.7 vs 11.2x5Y avg

EBITDA MARGIN

16.5%

TTM · consolidated

-34.3 ppYoY

NET PROFIT MARGIN

11.2%

Q4 FY26 · consolidated

-156.1 ppYoY

Peers · Asset Management Company

CompanyMkt CapP/EEV/EBITDARev Gr YoYEBITDA MgnROEROCE1Y Return
IL&FS Investment Managers LimitedIVC
₹267 Cr65.3188.9%16.5%2.4%+5.2%
Nippon Life India Asset Management Ltd.NAM-INDIA
₹76,296 Cr46.4923.0%75.4%36.9%27.5%+52.2%
Aditya Birla Sun Life AMC Ltd.ABSLAMC
₹30,303 Cr30.036.6%72.8%25.9%+25.5%
UTI Asset Management Company Ltd.UTIAMC
₹11,409 Cr24.711.6%45.4%11.3%-31.1%
Canara Robeco Asset Management Company LimitedCRAMC
₹5,183 Cr62.0%
Shriram Asset Management Co.Ltd.SRAMSET
₹478 Cr-17.5056.5%-189.3%-22.7%-3.1%-43.8%

As of Q4 FY26

Financials