Sector: Cement and Construction
|Small Cap
IL&FS Engineering & Construction Company Ltd.
₹28.93
₹27.00
₹28.94
₹21.00
₹41.35
Markets Today
Historical Performance
Indicator | Dec 2025 | Sep 2025 | Jun 2025 | Mar 2025 | Dec 2024 |
|---|---|---|---|---|---|
| Total Revenue | 62.36 | 54.53 | 41.22 | 102.06 | 67.91 |
| Operating Expense | 65.50 | 63.35 | 54.67 | 113.47 | 72.19 |
| Operating Profit | -3.14 | -8.82 | -26.85 | -42.67 | -4.28 |
| Depreciation | 1.58 | 1.87 | 1.31 | 2.52 | 1.46 |
| Interest | 0.80 | 0.89 | 0.40 | 2.02 | 0.41 |
| Tax | 0 | 0 | 0 | 0 | 0 |
| Net Profit | 1.66 | -1.77 | -9.42 | 7.35 | 1.50 |
₹28.93
↗ Bullish Moving Average
16
↘ Bearish Moving Average
0
IL&FS Investment Managers, with operations in Mumbai, is an investment management company in India focused on private equity, real estate, and infrastructure asset management. The company manages funds across multiple asset classes and works with institutional investors, sovereign funds, and domestic participants. Its operations include fund structuring, asset management, and investment advisory services across sectors such as infrastructure, real estate, and growth capital. The IL&FS Investment Managers share price on NSE and BSE reflects how market participants respond to developments in the asset management and investment space.
IL&FS Investment Managers stock price is influenced by factors such as fund performance, asset under management trends, exits from investments, and regulatory changes impacting the investment management sector. Over time, the company’s ability to raise new funds, manage portfolio assets, and generate returns affects overall market sentiment and valuation patterns.
IL&FS Investment Managers live share price provides real-time information about the last traded price, bid and ask levels, and traded volume. These indicators highlight liquidity and trading activity, reflecting responses to financial updates, macroeconomic conditions, and sector developments. Monitoring IL&FS Investment Managers stock price movements helps in observing short-term changes and overall trading behaviour.
Furthermore, IL&FS Investment Managers live price tracking helps understand daily price fluctuations and market sentiment. It also reflects how investors react to developments in the investment management industry, including fund closures, exits, and capital deployment cycles, which influence the company’s valuation in the broader financial ecosystem.
IL&FS Investment Managers Limited was incorporated in 1986 and is engaged in the business of asset management and advisory services, primarily focused on private equity investments. The company is part of the IL&FS group ecosystem and operates as an investment manager for various funds across sectors.
IL&FS Investment Managers Limited manages investments in areas such as infrastructure, real estate, and growth capital. It is registered with the Securities and Exchange Board of India (SEBI) as an investment manager and operates through multiple domestic and offshore funds. The company is listed on Indian stock exchanges and derives its business from managing third-party capital and advisory mandates.
The company’s revenue model is primarily fee-based, linked to assets under management and investment performance.
The Indian commercial sector acts as a massive, critical pillar for the national economic engine. If you dive into the commodity outlook, you will see a growing reliance on agile private asset managers who step in to supplement multinational efforts. The overall demand for these goods stays structurally robust because commercial clusters just keep popping up and expanding. Government rules regarding tariffs totally dictate how much profit firms in this space can actually pull in. For outside investors, seeing a manufacturer protect its margins during a bad inflation shock is a massive key factor that influences the IL&FS Investment Managers share price. At the end of the day, the long-term outlook for operators is shaped by their ability to roll with changing environmental regulations, which inevitably impacts the IL&FS Investment Managers stock price.
IL&FS Investment Managers was listed on the BSE (Bombay Stock Exchange) in 1986 and later on the NSE (National Stock Exchange). The company trades under the symbol IVC on NSE and BSE scrip code 511208. IL&FS Investment Managers share price has been tracked across both exchanges since listing, reflecting its presence in India’s capital markets over multiple economic cycles.
IL&FS Investment Managers is listed on NSE and BSE and forms part of broader indices such as BSE SmallCap and other sectoral indices where applicable. IL&FS Investment Managers share price is observed in relation to these indices to understand its position within the investment management and financial services segment.
IL&FS Investment Managers stock price remains relevant for investors tracking companies engaged in private equity and asset management. Listing on major exchanges ensures liquidity and accessibility, while index inclusion provides visibility within the broader financial sector and supports institutional tracking. IL&FS Investment Managers stock price reflects activity across investment cycles and capital market conditions.
IL&FS Investment Managers share price on NSE and BSE reflects its position within the investment management space. Movements in IL&FS Investment Managers share price are linked to fund performance, exits from investments, asset valuation changes, and overall capital market activity. IL&FS Investment Managers stock price reacts to announcements related to portfolio investments and regulatory developments affecting the asset management sector.
These underlying drivers are visible in periodic movements, where IL&FS Investment Managers share price responds to sector cycles. Changes in private equity activity, real estate trends, and infrastructure investments influence IL&FS Investment Managers stock price. Market conditions such as liquidity, interest rate cycles, and investor confidence also play a role in shaping IL&FS Investment Managers share price over time.
Corporate actions and structural changes can also impact IL&FS Investment Managers share price in the short term. Events such as fund closures, asset sales, or restructuring activities influence IL&FS Investment Managers stock price movements. These factors highlight how operational developments interact with market sentiment.
Short-term volatility is better understood through IL&FS Investment Managers share price 52-week high and low levels. High levels often align with positive developments in asset exits or improved valuations, while lower levels reflect weak market conditions or delays in fund performance. These movements also show how IL&FS Investment Managers stock price responds to broader corrections in financial markets.
Over the long term, IL&FS Investment Managers share price history reflects cycles of growth and consolidation. Earlier phases showed upward movement during periods of strong private equity activity. However, IL&FS Investment Managers stock price experienced volatility during periods of market stress, especially when investment cycles slowed or asset valuations declined.
Economic cycles have influenced IL&FS Investment Managers share price significantly. During expansion phases, IL&FS Investment Managers stock price showed improvement supported by active investment and exit opportunities. In contrast, downturns led to slower deal activity, affecting IL&FS Investment Managers share price and reducing investor participation in the sector.
Macroeconomic factors such as interest rate changes, capital availability, and regulatory shifts also impact IL&FS Investment Managers stock price. These factors influence fund raising, investment deployment, and asset valuations, which are directly linked to IL&FS Investment Managers share price movements across different time periods.
During periods of disruption such as the COVID-19 pandemic, IL&FS Investment Managers share price reflected cautious investor sentiment. Reduced deal activity and uncertainty in asset valuation affected IL&FS Investment Managers stock price. Despite these challenges, gradual recovery in financial markets supported stabilisation in IL&FS Investment Managers share price over time.
Declines in IL&FS Investment Managers share price have been linked to reduced investment activity, delays in exits, and broader financial sector stress. Changes in regulatory frameworks and liquidity constraints have also contributed to downward movements in IL&FS Investment Managers stock price, showing how external factors influence performance across different market phases.
IL&FS Investment Managers plays a role in portfolios focused on financial services and alternative investment exposure. The company provides access to private equity and asset management activities, which differ from traditional banking models. IL&FS Investment Managers share price reflects developments in fund performance and asset management cycles, making it relevant for tracking the alternative investment segment.
Institutional investors associated with the company include entities such as Life Insurance Corporation of India, ICICI Prudential, HDFC Asset Management, SBI Mutual Fund, and other domestic financial institutions. These stakeholders indicate participation from long-term investors within the financial ecosystem.
Mutual fund participation includes schemes from SBI Mutual Fund, HDFC Mutual Fund, ICICI Prudential Mutual Fund, and UTI Mutual Fund. Global investors and asset managers also track the company due to its involvement in private equity and infrastructure investments, which connect domestic markets with international capital flows.
Derivatives activity and technical indicators provide insights into IL&FS Investment Managers stock price behaviour. Market participants observe open interest, trading volumes, and indicators such as RSI and MACD to assess short-term trends in IL&FS Investment Managers share price, especially around announcements related to fund activity or asset sales.
IL&FS Investment Managers stock price has shown varying beta levels over time, reflecting its sensitivity to broader market movements. Historical beta has ranged between 0.6 and 1.3, indicating periods of both lower and moderate correlation with benchmark indices. During stable market phases, beta remained closer to 0.7 to 0.9, suggesting relatively controlled volatility. However, during financial stress or sector-specific disruptions, beta moved above 1.0, reflecting higher responsiveness to market changes. These variations highlight how IL&FS Investment Managers share price reacts to both company-specific developments and broader economic conditions.
IL&FS Investment Managers operates within the investment management and private equity segment, contributing to capital allocation across infrastructure, real estate, and growth sectors. Peer comparisons include companies such as ICICI Venture, Kotak Investment Advisors, Aditya Birla Capital, Edelweiss Financial Services, and SBI Capital Markets. These comparisons focus on fund management capabilities, asset deployment, and exit strategies rather than short-term movements in IL&FS Investment Managers share price. IL&FS Investment Managers stock price reflects its positioning within this specialised segment of financial services.
IL&FS Investment Managers market cap has reflected changes in valuation linked to asset management performance and broader financial market trends. Over time, market capitalisation has fluctuated based on investor perception of fund returns and asset quality. Periods of strong capital market activity supported growth in IL&FS Investment Managers share price, contributing to higher market cap levels. Conversely, weaker investment cycles led to moderation in valuation. The IL&FS Investment Managers market cap demonstrates how investment management companies are valued based on long-term asset performance and capital deployment efficiency.
IL&FS Investment Managers earnings have shown variability aligned with investment cycles and exit timing. Earnings depend on management fees, performance fees, and realised gains from investments. During periods of active exits, IL&FS Investment Managers earnings increased, reflecting successful monetisation of assets. However, slower exit environments resulted in lower earnings visibility. Changes in IL&FS Investment Managers share price often align with these earnings patterns, as investors track profitability derived from fund management activities and asset realisations across different market conditions.
IL&FS Investment Managers EPS reflects the company’s ability to generate per-share earnings from its asset management operations. EPS trends have varied depending on the timing of investment exits and fund performance. Growth phases showed improvement in IL&FS Investment Managers EPS, while periods of lower activity led to stable or reduced earnings per share. IL&FS Investment Managers share price movements often correspond with EPS trends, highlighting the link between profitability and market valuation in the investment management sector.
IL&FS Investment Managers P/E ratio represents how the market values its earnings relative to investment performance. The ratio has fluctuated depending on earnings visibility and market sentiment. During periods of strong growth expectations, IL&FS Investment Managers P/E ratio expanded, while uncertain conditions led to moderation. The IL&FS Investment Managers share price reflects these valuation changes, showing how investor perception of future earnings potential influences pricing. Variations in the ratio highlight the cyclical nature of valuation in the private equity and asset management space.
Summary
IL&FS Investment Managers operates within the investment management sector, focusing on private equity, infrastructure, and real estate assets. Its business model links performance to fund management and investment cycles, which influence overall valuation trends. IL&FS Investment Managers share price reflects market response to asset performance, earnings, and broader financial conditions. IL&FS Investment Managers stock price movements highlight the impact of economic cycles, regulatory changes, and capital market activity on companies engaged in alternative investments and asset management.
| Held By | Dec 2024 | Mar 2025 | Jun 2025 | Sep 2025 | Dec 2025 | Mar 2026 |
|---|---|---|---|---|---|---|
| Promoter | 42.2 | 42.2 | 42.2 | 42.2 | 42.2 | 42.2 |
| FII | 0.8 | 0.9 | 0.9 | 0.9 | 0.9 | 0.7 |
| DII | 0.4 | 0.3 | 0.3 | 0.3 | 0.4 | 0.3 |
| Public | 56.6 | 56.5 | 56.5 | 56.5 | 56.4 | 56.7 |
| Period | Combined Delivery Volume | NSE+BSE Traded Volume Avg | Daily Avg Delivery Volume % |
|---|---|---|---|
| Day | 23.5 K | 23.5 K | 100.00% |
| Week | 33.63 K | 33.63 K | 100.00% |
| 1 Month | 30.36 K | 30.36 K | 100.00% |
| 6 Month | 45.56 K | 45.56 K | 100.00% |
Positive Breakout First Resistance ( LTP > R1)
Companies with 10% increase in share price over three months, with rising net profit growth
Strong Momentum: Price above short, medium and long term moving averages
Upcoming results for Nifty500 companies with previous quarter net profit growth greater than 10% YoY and QoQ
Relative Outperformance versus Industry over 1 Month
Rising Net Cash Flow and Cash from Operating activity
Companies with high TTM EPS Growth
Annual Profit Growth higher than Sector Profit Growth
PEG lower than Industry PEG
High Momentum Scores (Technical Scores greater than 50)
Relative Outperformance versus Industry over 1 Week
Results Screener: Stocks with upcoming results which are seeing positive shifts in share price
Relative Outperformance versus Industry over 1 Month
Turnaround companies- loss to profit QoQ
Efficient in managing Assets to generate Profits - ROA improving since last 2 year
Growth in Net Profit with increasing Profit Margin (QoQ)
Growth in Quarterly Net Profit with increasing Profit Margin (YoY)
Increasing Revenue every quarter for the past 2 quarters
Increasing profits every quarter for the past 2 quarters
Annual Net Profits improving for last 2 years
Companies with Zero Promoter Pledge
Stock with Low PE (PE < = 10)
RSI indicating price strength
Top Gainers
Stocks Outperforming their Industry Price Change in the Quarter
Ex-Date | Dividend Amount | Dividend Type | Record Date | Instrument Type |
|---|---|---|---|---|
| 19 Sep, 2008 | 1.5 | FINAL | Equity Share |
Financials | ||||||
|---|---|---|---|---|---|---|
| Price (₹) | ₹38 | ₹48.60 | ₹38.05 | ₹43.90 | ₹58 | ₹121.80 |
| % Change | 0.00% | -0.00% | 0.00% | 0.27% | 0.00% | 1.12% |
| Revenue TTM (₹ Cr) | - | ₹465.48 | - | ₹386.45 | - | ₹1,067.46 |
| Net Profit TTM (₹ Cr) | - | ₹35.14 | - | ₹23.80 | - | ₹52.71 |
| PE TTM | 5.70 | 9.90 | 5.40 | 11.00 | 11.30 | 19.20 |
| 1 Year Return | -55.29 | -30.57 | -55.76 | -38.34 | 23.4 | -44.32 |
| ROCE | - | 28.70 | - | 41.47 | - | 14.12 |
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