TIDMICP 
 
 
 
              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 
         years1 
 
   --    Fundraising of $2.6bn including $1bn for Strategic 
         Equity V; $0.6bn for Europe Mid Market II2; and 
         $0.6bn in Private Debt. Fundraising guidance 
         maintained 
 
   --    Senior Debt Partners V, our flagship direct lending 
         strategy, performing strongly: nine transactions 
         totalling EUR2bn signed since December 2022 
 
   --    Real Assets franchise building momentum: 
         Infrastructure II activated at EUR125m third-party 
         AUM, continuing to fundraise (Infrastructure I: 
         EUR1.5bn total fund size); first seed investment made 
         for Infrastructure Asia; ICG Real Estate announced 
         formation of Metropolitan Last Mile 
 
   --    Breadth of ICG platform has supported activity levels 
         in recent quarters, pipeline building in many 
         strategies 
 
   --    Many 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 
 
 
 
   1.    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 CAGR(1) 
 -------------------------------  ----------------------- 
 Third-party AUM                                     19 % 
 Fee-earning AUM                                     18 % 
 
 1 On a constant currency basis 
 
 
 AUM 
 
                                   30 June 2023   31 March 2023   Change(1) 
 -------------------------------  -------------  --------------  ----------- 
 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 
 
                    Fundraising         Deployment(1)       Realisations(1,2) 
 -------------  -------------------  -------------------  --------------------- 
                  Q1      Q1           Q1      Q1 
 $bn             FY24    FY23   LTM   FY24    FY23   LTM  Q1 FY24  Q1 FY23  LTM 
 -------------  ------  ------  ---  ------  ------  ---  -------  -------  --- 
 Structured 
  and Private 
  Equity           1.7     2.7  2.5     0.2     0.8  3.7      0.1      0.6  1.8 
 Private Debt      0.6     0.5  3.9     0.4     1.3  3.6      0.4      1.2  1.1 
 Real Assets       0.3     0.5  1.0     0.4     0.7  1.4      0.1      0.3  0.8 
 Credit             --     0.9  1.0 
 -------------  ------  ------  ---  ------  ------  ---  -------  -------  --- 
 Total             2.6     4.6  8.4     1.0     2.8  8.7      0.6      2.1  3.7 
 -------------  ------  ------  ---  ------  ------  ---  -------  -------  --- 
 
 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 period 
 
   -- At 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 
 
                     Structured 
Third-party AUM      and Private    Private 
($m)                   Equity        Debt      Real Assets     Credit         Total 
-------------------  -----------  -----------  -----------  -------------  ----------- 
At 31 March 2023          27,728       23,641        7,863         17,755       76,987 
-------------------  -----------  -----------  -----------  -------------  ----------- 
Additions                  1,696          662          324             19        2,701 
Realisations                (78)        (186)         (91)          (555)        (910) 
FX and other               (156)          (6)          124            139          101 
-------------------  -----------  -----------  -----------  -------------  ----------- 
At 30 June 2023           29,190       24,111        8,220         17,358       78,879 
-------------------  -----------  -----------  -----------  -------------  ----------- 
Change $m                  1,462          470          357          (397)        1,892 
Change %                     5 %          2 %          5 %          (2) %          2 % 
Change % (constant 
 exchange rate)              5 %          1 %          2 %          (3) %          2 % 
-------------------  -----------  -----------  -----------  -------------  ----------- 
 
 
                     Structured 
Fee-earning AUM      and Private 
($m)                   Equity     Private Debt  Real Assets     Credit         Total 
-------------------  -----------  ------------  -----------  -------------  ----------- 
At 31 March 2023          23,840        14,249        6,862         17,898       62,849 
-------------------  -----------  ------------  -----------  -------------  ----------- 
  Funds raised: 
   fees on 
   committed 
   capital                 1,009            --          147             --        1,156 
  Deployment of 
   funds: fees on 
   invested 
   capital                    47           419          376            121          963 
Total additions            1,056           419          523            121        2,119 
Realisations                (60)         (425)        (126)          (561)      (1,172) 
FX and other                 110            94        (100)            214          318 
-------------------  -----------  ------------  -----------  -------------  ----------- 
At 30 June 2023           24,946        14,337        7,159         17,672       64,114 
-------------------  -----------  ------------  -----------  -------------  ----------- 
Change $m                  1,106            88          297          (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 
      GBP2,894m, broadly flat compared to 31 March 2023 (GBP2,902m) 
 
GBPm                                 30 June 2023  31 March 2023 
-----------------------------------  ------------  ------------- 
  Structured and Private Equity             1,737          1,751 
  Private Debt                                163            169 
  Real Assets                                 304            289 
  Credit                                      351            363 
  Seed investments                            339            330 
-----------------------------------  ------------  ------------- 
Balance sheet investment portfolio          2,894          2,902 
-----------------------------------  ------------  ------------- 
 
   -- During the period, private placements with a value of GBP51m at 31 March 
      2023 matured and were repaid from cash resources 
 
   -- At 30 June 2023 the Group had total liquidity of GBP1,081m (FY23: 
      GBP1,100m), cash of GBP531m (FY23: GBP550m) and net financial debt of 
      GBP919m (FY23: GBP988m) 

FOREIGN EXCHANGE RATES

 
                                                      30 
                                                     June 
                                                     2023 
          Average rate  Average rate  Average rate  period  30 June 2022  31 March 2023 
             Q1 FY24       Q1 FY23        FY23       end     period end      year end 
--------  ------------  ------------  ------------  ------  ------------  ------------- 
GBP:EUR         1.1561        1.1760        1.1560  1.1637        1.1617         1.1375 
GBP:USD         1.2570        1.2452        1.2051  1.2703        1.2178         1.2337 
EUR:USD         1.0874        1.0588        1.0426  1.0916        1.0483         1.0846 
--------  ------------  ------------  ------------  ------  ------------  ------------- 
 

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.

 
 

(END) Dow Jones Newswires

July 20, 2023 02:00 ET (06:00 GMT)

Copyright (c) 2023 Dow Jones & Company, Inc.
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