IL&FS INVESTMENT MANAGERS
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| BOM : 511208     NSE : IVC     | |
| LT :  
    Long Term Analysis
Fundamentals : Bad
Valuation : Bad [Stock is Expensive] Debt : Low |
Updated: |
| ST :  
    Short Term Analysis
Quarterly Earnings Trend : Downward
Price Momentum : Downward Pledged Shares : None or < 25% |
Mar 20,2026 |
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Price(EOD): ₹ 6.88
This is the End-of-Day (EOD) Stock Price updated daily by 7 pm IST.
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Finance - Investment |
| MCap: ₹ 216.03 Cr | |
| Industry Peers & Returns | 1W | 1M | 1Y |
| IL&FS INVESTMENT MANAGERS | 1% | -11.8% | -25.7% |
| BAJAJ FINSERV | -3.5% | -17% | -8.5% |
| CHOLAMANDALAM FINANCIAL HOLDINGS | -10.6% | -20% | -8.5% |
| AUTHUM INVESTMENT & INFRASTRUCTURE | 5.9% | -1.7% | 68.7% |
| JSW HOLDINGS | -6.5% | -14.4% | -21.4% |
| CAPRI GLOBAL CAPITAL | -1.2% | -4.8% | 5.7% |
| IIFL FINANCE | -0.2% | -7.6% | 52.1% |
| MAHARASHTRA SCOOTERS | 0.1% | -10.9% | 33.7% |
| JM FINANCIAL | 2.9% | -13.9% | 45.6% |
FUNDAMENTAL ANALYSIS OF IL&FS INVESTMENT MANAGERS
 Y : Last Audited Annual/Yearly Data
TTM i.e. Trailing Twelve Months is calculated using last 4 quarterly data and is a good substitute to track last 4 Qtr Annual result before the subsequent year data is published and audited.
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VALUATION OF IL&FS INVESTMENT MANAGERS
 | Ratio | Consolidated | |
|---|---|---|
|
P/E P/B P/S |
14.48
P/E Calculated based on Trailing Twelve Months (TTM) Earnings of Rs 14.92 Cr
[Latest Qtr - Dec2025 - Consolidated Results ] 1.05
P/B Calculated based on Book Value of Rs 205.12 Cr
[Latest Year - Mar2025 - Consolidated Results ] 7.71
P/S Calculated based on Trailing Twelve Months (TTM) Revenues of Rs 28.04 Cr
[Latest Qtr - Dec2025 - Consolidated Results ] |
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| Financial Ratios → | ||
| Model | Discount(-)/ Premium(+) |
|---|---|
|
EV/EBIDTA EV/Sales Price/Sales |
469% 272% 749% |
SHARE PRICE MOMENTUM OF IL&FS INVESTMENT MANAGERS
IL&FS INVESTMENT MANAGERS vs SENSEX
DEBT OF IL&FS INVESTMENT MANAGERS
| Year | Debt/Equity ratio | |
|---|---|---|
| Standalone | Consolidated | |
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2025 2024 2023 Avg_3yrs |
0 0 0 - |
0 0 0 - |
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[Last Annual Data : Mar2025]
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| Financial Ratios → | ||
PLEDGED PROMOTER SHARES OF IL&FS INVESTMENT MANAGERS
| Pledged Promoter Shares |
0 % | |
|---|---|---|
| As on : Dec2025 | ||
If less than 25% | Good |
|
| If between 25% and 50% | Neutral | |
| If greater than 50% | Bad | |
| Shareholding Pattern → | ||
QTRLY RESULTS OF IL&FS INVESTMENT MANAGERS
| Consolidated | Q-o-Q | Y-o-Y |
|---|---|---|
|
Revenue Op Profit Profit Before Tax Profit After Tax |
-11.11% -472.71% -132.83% -123.12% |
-13.37% -13.26% -43.86% 21.29% |
| QtrlyTrend |
-6 | |
| Latest Qtr: Dec2025 | ||
| Quarterly Result Analysis → | ||
IL&FS INVESTMENT MANAGERS related INDICES
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FAQ about IL&FS INVESTMENT MANAGERS
Is IL&FS INVESTMENT MANAGERS good for long term investment?
As on Mar 20,2026, the Fundamentals of IL&FS INVESTMENT MANAGERS look Poor and hence it may not be good for long term investment ! See Financial Performance of IL&FS INVESTMENT MANAGERS . Please look at the other parameters such as Valuation, Price Momentum, News & Corporate Governance and/or consult an Investment Advisor before taking an investment decision!Is IL&FS INVESTMENT MANAGERS UnderValued or OverValued?
As on Mar 20,2026, IL&FS INVESTMENT MANAGERS is Over Valued based on the estimates of intrinsic value and hence may not be a good buying opportunity according to Share Valuation at this time!What is the Intrinsic Value of IL&FS INVESTMENT MANAGERS ?
As on Mar 20,2026, the Intrinsic Value of IL&FS INVESTMENT MANAGERS is Rs. 1.21 estimated based on Median of the 3 historical models.Fair Value [Median EV / EBIDTA Model] : Rs. 1.21
Fair Value [Median EV / Sales Model] : Rs. 1.85
Fair Value [Median Price / Sales Model] : Rs. 0.81
Estimated Median Fair Value of IL&FS INVESTMENT MANAGERS : Rs. 1.21
The fair value of any stock is always subjective and should, in no way, be taken as a recommendation to buy/sell the same.