IL&FS Investment Managers (Small Cap - Next Multibagger) Share Target 2024, 2025 To 2039
IL&FS Investment Managers Limited |
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Price: ₹11.13 | |||
52 Week Low: ₹8.40 52 Week High: ₹18.39 |
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Market Capital: 328.16 Crore (Smallcap) | |||
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Show Table of Contents
- 1: Approach 1: Technical Analysis Paired With Price Action
- 1.1: IL&FS Investment Managers Share Price Target For 2024
- 1.1.1: IL&FS Investment Managers Share Price Target Table For 2024
- 1.1.2: Short-Term Technical Outlook
- 1.2: IL&FS Investment Managers Share Price Target For 2025
- 1.2.1: IL&FS Investment Managers Share Price Target Table For 2025
- 1.2.2: Long-Term Technical Outlook
- 2: Approach 2: Machine Learning By Studying Historical Prices
- 2.1: IL&FS Investment Managers Share Price Target Chart and Table From 2024, 2025, 2026 to 2039
- 3: IL&FS Investment Managers Financial Performance
- 3.0.1: Is IL&FS Investment Managers A Good Buy For Long Term?
To predict the IL&FS Investment Managers's future market prices, we harnessed 2 dynamic approaches:
Approach 1: Technical Analysis Paired With Price Action
Approach 2: Machine Learning By Studying Historical Prices
Approach 1: Technical Analysis Paired With Price Action
IL&FS Investment Managers Share Price Target For 2024
The line chart displays the monthly closing prices of IL&FS Investment Managers with a black line. The green line shows three potential target prices for 2024, while the red line indicates three potential Stop Loss levels.
For detailed target and stop loss values for IL&FS Investment Managers shares in 2024, see the table below.
IL&FS Investment Managers Share Price Target Table For 2024
Level | Value | Analysis |
---|---|---|
2024 Target 3 | 11.88 (+6.73%) | Price Action: Aug 2024 Low |
2024 Target 2 | 11.75 (+5.57%) | Price Action: 11 Dec 2024 Low |
2024 Target 1 | 11.63 (+4.49%) | Price Action: Aug 2011 Low |
Current Price | 11.13 | IL&FS Investment Managers's share price as of 23 Dec 2024 |
Stop Loss 1 | 10.9 (-2.06%) | Price Action: 24 Oct 2024 High |
Stop Loss 2 | 10.79 (-3.06%) | Price Action: 29 Oct 2024 High |
Stop Loss 3 | 10.67 (-4.13%) | Price Action: Jun 2014 Low |
Short-Term Technical Outlook
Current Technical Position: IL&FS Investment Managers is displaying bearish momentum trading below key moving averages.
Key Technical Level: The 50-day moving average at ₹11.35 serves as the nearest technical reference point.
Historical Returns: 3-month: -5.5% | 6-month: -10.36% | 1-year: -2.04%
IL&FS Investment Managers Share Price Target For 2025
The line chart displays the monthly closing prices of IL&FS Investment Managers with a black line. The green line shows three potential target prices for 2025, while the red line indicates three potential Stop Loss levels.
For detailed target and stop loss values for IL&FS Investment Managers shares in 2025, see the table below.
IL&FS Investment Managers Share Price Target Table For 2025
Level | Value | Analysis |
---|---|---|
2025 Target 3 | 17.81 (+60.01%) | Price Action: Chart |
2025 Target 2 | 17.48 (+57.05%) | Fibonacci Extension Level 100.00% |
2025 Target 1 | 17.3 (+55.43%) | Fibonacci Extension Level 64.90% |
Current Price | 11.13 | IL&FS Investment Managers's share price as of 23 Dec 2024 |
Stop Loss 1 | 9.7 (-12.85%) | Price Action: Dec 2015 Low |
Stop Loss 2 | 9.6 (-13.75%) | Price Action: Feb 2013 Low |
Stop Loss 3 | 9.43 (-15.28%) | Price Action: Chart |
Long-Term Technical Outlook
52-Week Range Analysis: IL&FS Investment Managers is currently trading at 27.3% of its 52-week range (₹8.4 - ₹18.39).
Long-Term Trend Analysis: The stock is in a bearish long-term trend, trading below key long-term moving averages.
Long-Term Performance: 1-year: -2.04% | 3-year: +33.7% | 5-year: +392.83%
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Approach 2: Machine Learning By Studying Historical Prices
IL&FS Investment Managers Share Price Target Chart and Table From 2024, 2025, 2026 to 2039
Year | Target 1 | Target 1 YoY Chg % | Target 2 |
---|---|---|---|
Current Price | ₹11.13 | ||
2024 | ₹10.30 | -7.45% | ₹10.45 |
2025 | ₹12.01 | +16.6% | ₹12.19 |
2026 | ₹12.92 | +7.57% | ₹13.11 |
2027 | ₹12.52 | -3.09% | ₹12.71 |
2028 | ₹10.50 | -16.13% | ₹13.57 |
2029 | ₹10.75 | +2.38% | ₹10.91 |
2030 | ₹12.54 | +16.65% | ₹13.86 |
2031 | ₹13.48 | +7.49% | ₹14.00 |
2032 | ₹13.06 | -3.11% | ₹13.26 |
2033 | ₹10.94 | -16.23% | ₹14.15 |
2034 | ₹11.21 | +2.46% | ₹14.29 |
2035 | ₹13.06 | +16.5% | ₹14.44 |
2036 | ₹14.04 | +7.5% | ₹14.58 |
2037 | ₹13.59 | -3.2% | ₹13.79 |
2038 | ₹11.39 | -16.18% | ₹14.73 |
2039 | ₹11.70 | +2.72% | ₹14.87 |
Note: Target 1 and Target 2 represent price levels that the stock is most likely to achieve during the respective year, based on machine learning algorithms analyzing historical price patterns and market behavior. These predictions are generated through comprehensive analysis of the stock's historical data using advanced ML models.
IL&FS Investment Managers Financial Performance
Metric | Value | Description |
---|---|---|
Market Capital | 328.16 Crore | Market valuation of IL&FS Investment Managers's shares. |
Revenue (TTM) | 57.91 Crore | Total revenue generated by IL&FS Investment Managers over the past twelve months. |
Net Income (TTM) | +5 Crore | Net Profit or Loss after all the expenses over the past twelve months. |
Operating Margin | -19.8% | Income from operations as a percentage of revenue, before taxes and interest. |
Profit Margin | +8.63% | Net income as a percentage of revenue, after all expenses. |
Revenue Growth (Quarterly) |
-45.3% | Change in revenue compared to the previous quarter. |
Total Cash | 138.35 Crore | Total amount of liquid funds available to IL&FS Investment Managers. |
Beta | 0.47 | Beta is less than 1 indicating that the IL&FS Investment Managers's price is less volatile than the market. |
Is IL&FS Investment Managers A Good Buy For Long Term?
IL&FS Investment Managers, a small-cap stock with a market capitalization of ₹328.16 crore, presents a mixed picture for long-term investors. While its ₹5 crore net profit on ₹57.91 crore revenue (8.63% margin) and substantial cash balance of ₹138.35 crore (Q1 2024-25) are positive, a significant -45.3% quarter-on-quarter revenue decline raises concerns. Past performance shows volatility: 30.30% return over the past 12 months, yet a -27.61% drop in the last three months. Given this inconsistency, it's currently an average buy, requiring further in-depth analysis before considering a long-term investment.
Disclaimer: The information provided on this page is for educational purposes only and should not be considered as financial advice. Historical performance data and technical analysis cannot guarantee future results. Stock investments are subject to market risks. Please consult with a qualified financial advisor before making any investment decisions.
All stock data shown is sourced from publicly available information and while we strive for accuracy, we cannot guarantee the absolute accuracy of all figures. Users should verify critical information from official sources before making investment decisions.