The next focusIR Investor Webinar takes places on 14th May with guest speakers from Blue Whale Growth Fund, Taseko Mines, Kavango Resources and CQS Natural Resources fund. Please register here.

Less Ads, More Data, More Tools Register for FREE

Pin to quick picksICP.L Regulatory News (ICP)

  • There is currently no data for ICP

Watchlists are a member only feature

Login to your account

Alerts are a premium feature

Login to your account

Intermediate Capital Group plc : Q1 Trading Statement for the three months ended 30 June 2023

20 Jul 2023 07:00

Intermediate Capital Group plc : Q1 Trading Statement for the three months ended 30 June 2023
   
 Fee-earning AUM +2% in the quarter, positive momentum across ICG platform 
 Highlights Total AUM of $82.1bn; fee-earning AUM ($64.1bn) +2% in the quarter, +18% annualised over the last five years1Fundraising of $2.6bn including $1bn for Strategic Equity V; $0.6bn for Europe Mid Market II2; and $0.6bn in Private Debt. Fundraising guidance maintainedSenior Debt Partners V, our flagship direct lending strategy, performing strongly: nine transactions totalling ~€2bn signed since December 2022Real Assets franchise building momentum: Infrastructure II activated at €125m third-party AUM, continuing to fundraise (Infrastructure I: €1.5bn total fund size); first seed investment made for Infrastructure Asia; ICG Real Estate announced formation of Metropolitan Last MileBreadth of ICG platform has supported activity levels in recent quarters, pipeline building in many strategiesMany opportunities for further growth lie ahead for ICG: our continued performance and long-term track record reinforce confidence in our ability to successfully execute on them AUM growth on a constant currency basis; 2. Europe Mid Market II is not yet activated or in fee-earning AUM Unless otherwise stated the financial results discussed herein are on the basis of alternative performance measures (APM) basis unless otherwise stated; see full year results 

 Long-term growth  
   
  Last five years CAGR1
 Third-party AUM 19 %
 Fee-earning AUM 18 %
   
 1 On a constant currency basis 

 AUM   
     
  30 June 202331 March 2023Change1
 Total AUM$82.1bn$80.2bn 2 %
 Third-party AUM$78.9bn$77.0bn 2 %
 Fee-earning AUM$64.1bn$62.8bn 2 %
     
 1 On a constant currency basis   

 Business activity           
             
 $bnFundraising Deployment1 Realisations1,2
 Q1 FY24Q1 FY23LTM Q1 FY24Q1 FY23LTM Q1 FY24Q1 FY23LTM
 Structured and Private Equity1.72.72.5 0.20.83.7 0.10.61.8
 Private Debt0.60.53.9 0.41.33.6 0.41.21.1
 Real Assets0.30.51.0 0.40.71.4 0.10.30.8
 Credit0.91.0        
 Total2.64.68.4 1.02.88.7 0.62.13.7
             
 1 Direct investment funds; 2 Realisations of third-party fee-earning AUM 

AUM

Dry powder of $22.5bn, $14.6bn of which is not yet paying fees and will do so when the capital is invested or enters its investment periodAt 30 June 2023, funds that were fundraising included SDP V and SDP SMAs; Strategic Equity V; North America Credit Partners III; Europe Mid-Market II; Infrastructure II; LP Secondaries I; Life Sciences I; and various Real Estate and Credit strategies
Third-party AUM ($m)Structured and Private EquityPrivate DebtReal AssetsCreditTotal
At 31 March 202327,72823,6417,86317,75576,987
Additions1,696662324192,701
Realisations(78)(186)(91)(555)(910)
FX and other(156)(6)124139101
At 30 June 202329,19024,1118,22017,35878,879
Change $m1,462470357(397)1,892
Change % 5 % 2 % 5 % (2) % 2 %
Change % (constant exchange rate) 5 % 1 % 2 % (3) % 2 %

Fee-earning AUM ($m)Structured and Private EquityPrivate DebtReal AssetsCreditTotal
At 31 March 202323,84014,2496,86217,89862,849
Funds raised: fees on committed capital1,0091471,156
Deployment of funds: fees on invested capital47419376121963
Total additions1,0564195231212,119
Realisations(60)(425)(126)(561)(1,172)
FX and other11094(100)214318
At 30 June 202324,94614,3377,15917,67264,114
Change $m1,10688297(226)1,265
Change % 5 % 1 % 4 % (1) % 2 %
Change % (constant exchange rate) 5 % — % 2 % (2) % 2 %

Balance sheet

At 30 June 2023 the balance sheet investment portfolio was valued at £2,894m, broadly flat compared to 31 March 2023 (£2,902m)
£m30 June 202331 March 2023
Structured and Private Equity1,7371,751
Private Debt163169
Real Assets304289
Credit351363
Seed investments339330
Balance sheet investment portfolio2,8942,902
During the period, private placements with a value of £51m at 31 March 2023 matured and were repaid from cash resourcesAt 30 June 2023 the Group had total liquidity of £1,081m (FY23: £1,100m), cash of £531m (FY23: £550m) and net financial debt of £919m (FY23: £988m)

FOREIGN EXCHANGE RATES

 Average rate Q1 FY24Average rate Q1 FY23Average rateFY2330 June 2023 period end30 June 2022 period end31 March 2023year end
GBP:EUR1.15611.17601.15601.16371.16171.1375
GBP:USD1.25701.24521.20511.27031.21781.2337
EUR:USD1.08741.05881.04261.09161.04831.0846

ENQUIRIES

Shareholders / analysts: 
Chris Hunt, Head of Shareholder Relations, ICG+44 (0)20 3545 2020
Media: 
Fiona Laffan, Global Head of Corporate Affairs, ICG+44 (0)20 3545 1510

This results statement may contain forward looking statements. These statements have been made by the Directors in good faith based on the information available to them up to the time of their approval of this report and should be treated with caution due to the inherent uncertainties, including both economic and business risk factors, underlying such forward looking information.

ABOUT ICG

ICG provides flexible capital solutions to help companies develop and grow. We are a global alternative asset manager with over 30 years' history, operating across four asset classes: Structured and Private Equity, Private Debt, Real Assets, and Credit.

We develop long-term relationships with our business partners to deliver value for shareholders, clients and employees. We are committed to being a net zero asset manager across our operations and relevant investments by 2040.

ICG is listed on the London Stock Exchange (ticker symbol: ICP). Further details are available at www.icgam.com.

Date   Source Headline
26th Jan 20237:00 amGNWICG: Q3 Trading Statement for the nine months ended 31 December 2022
25th Jan 20237:00 amGNWICG : Board Update
22nd Dec 20227:00 amGNWICG : NOTIFICATION OF SHARE TRANSACTION
17th Nov 20227:00 amGNWICG : Board Change
17th Nov 20227:00 amGNWICG: Interim Results Statement for the six months ended 30 September 2022
10th Oct 20227:00 amGNWICG: Notification of Share Transaction
5th Oct 202210:38 amGNWICG : Notification of Share Transaction
4th Oct 20227:00 amGNWICG : Notification of Share Transaction
29th Sep 20224:30 pmGNWICG : Notification of Share Transaction
29th Sep 20227:00 amGNWICG: Notification of Share Transaction
26th Sep 20224:05 pmGNWICG : Notification of Major holdings
16th Sep 202210:22 amGNWICG : DIRECTOR DECLARATION
30th Aug 202212:29 pmGNWICG : Accession & Resignation of Guarantors
21st Jul 20221:31 pmGNWICG: Results of 2022 Annual General Meeting
21st Jul 20227:00 amGNWICG: Q1 Trading Statement for the three months ended 30 June 2022
4th Jul 20224:52 pmGNWICG: Notification of Transactions of Directors
23rd Jun 20228:30 amGNWICG: Director Declaration
20th Jun 20229:30 amGNWICG : NOTIFICATION OF MAJOR HOLDINGS
17th Jun 20224:28 pmGNWICG: Notification of major holdings
13th Jun 20222:00 pmGNWICG : Annual Report and Accounts
13th Jun 202211:24 amGNWICG : Notification of Share Transaction
6th Jun 202212:07 pmGNWICG : Vesting of share awards/Notification of Transactions of Directors
27th May 20229:22 amGNWICG : Notification of Transactions of Directors
26th May 20222:25 pmGNWICG : Notification of major holdings
26th May 20227:00 amGNWICG: Final Results for the financial year ended 31 March 2022
29th Apr 202212:51 pmGNWICG : Director Declaration
25th Mar 20223:29 pmGNWICG : Director Declaration
17th Mar 20223:33 pmGNWICG : Notification of Transactions of Directors
8th Mar 20222:05 pmGNWICG : Notification of Transactions of Directors
4th Mar 20228:18 pmGNWBoard update
2nd Mar 20229:09 amGNWICG : Notification of Transactions of Directors
25th Feb 20227:00 amGNWICG : Notification of Transactions of Directors
14th Feb 202210:35 amGNWICG : Notification of Transactions of Directors
27th Jan 20227:00 amGNWICG: Q3 Trading Statement for the nine months ended 31 December 2021
26th Jan 20225:22 pmRNSPublication of a Prospectus
20th Jan 20223:40 pmGNWICG successfully prices €500 million 8-year sustainability-linked Eurobond
20th Jan 202212:10 pmRNSPre Stabilisation Notice
13th Jan 20227:00 amGNWICG publishes Sustainability and People Report, shareholder seminar on 27 January 2022
5th Jan 20229:00 amGNWICG : Vesting of Share Awards / Notification of Transactions of Directors
20th Dec 20219:00 amGNWICG : Notification of Transactions of Directors
30th Nov 202110:58 amGNWICG : TOTAL VOTING RIGHTS
29th Nov 20214:30 pmGNWICG: Notification of Transactions of Directors
19th Nov 20217:00 amGNWICG : Notification of Transactions of Directors
18th Nov 20217:00 amGNWICG : Notification of Transactions of Directors
17th Nov 20217:00 amGNWICG : Notification of Transactions of Directors
16th Nov 20217:00 amGNWICG: Interim Results Statement for the six months ended 30 September 2021
8th Nov 202111:01 amGNWICG: ICG makes global commitment to reach net zero by 2040
8th Sep 20217:00 amGNWICG: Updated Asset Classes
6th Aug 20212:47 pmGNWICG : TOTAL VOTING RIGHTS
30th Jul 20218:07 amGNWIntermediate Capital Group plc :

Due to London Stock Exchange licensing terms, we stipulate that you must be a private investor. We apologise for the inconvenience.

To access our Live RNS you must confirm you are a private investor by using the button below.

Login to your account

Don't have an account? Click here to register.

Quickpicks are a member only feature

Login to your account

Don't have an account? Click here to register.