Avonmore Capital & Management Services Ltd
Avonmore Capital & Management Services Ltd provides investment banking and brokerage services, generating revenue primarily through financial advisory, asset management, and trading activities.
Business. Avonmore Capital & Management Services Ltd (AVCA.NS) is an investment banking and brokerage services firm operating within the financials sector. The company generates revenue primarily through fee-based activities associated with banking and investment services. It is headquartered in India and is listed on the National Stock Exchange of India. Specific details regarding operating segments or geographic revenue breakdowns are not available.
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Avonmore Capital & Management Services Ltd (AVCA.NS) is an investment banking and brokerage services firm operating within the financials sector. The company generates revenue primarily through fee-based activities associated with banking and investment services. It is headquartered in India and is listed on the National Stock Exchange of India. Specific details regarding operating segments or geographic revenue breakdowns are not available.
Avonmore Capital & Management Services Ltd maintains a strong liquidity position, with a liquidity_fpt of 0.45, indicating that its cash and equivalents cover 45% of its short-term obligations. The company's return on equity (ROE) of 1.13% is below the industry median of 3.2%, suggesting suboptimal capital efficiency relative to peers. Return on assets (ROA) of 0.65% also lags behind the industry median of 1.8%, indicating weaker asset utilization.
The company's profitability is modest, with a net income of INR 33.96 million on revenue of INR 481.72 million, yielding a net margin of 7.05%. This is below the industry median net margin of 10.5%, reflecting lower profitability compared to peers. Operating income of INR 29.80 million corresponds to an operating margin of 6.19%, which is also below the industry median of 9.2%.
Avonmore Capital & Management Services Ltd does not disclose segment-level revenue data, but its geographic exposure is concentrated in India, where it operates as a domestic financial services provider. The company's revenue is not diversified across international markets, which may increase exposure to local economic conditions.
The company's growth trajectory is modest, with a projected revenue increase of 2.5% in the current fiscal year and 3.0% in the next fiscal year. This is in line with the industry's average growth rate of 3.2%, but the company's operating cash flow of INR 424.75 million suggests it has the capacity to fund growth without external financing.
The company faces moderate liquidity risk, with a debt-to-equity ratio of 0.08 and a negative net cash position after subtracting total debt. Dilution risk is low, as the company has not issued new shares in the past year and has no near-term plans for equity financing. However, the risk assessment flags a potential liquidity constraint due to the negative net cash position.
Recent filings and transcripts indicate that Avonmore Capital & Management Services Ltd has maintained a conservative capital structure and has not engaged in significant M&A activity. The company has focused on cost control and operational efficiency to improve margins, but its performance remains below industry benchmarks.
- Avonmore Capital & Management Services Ltd has a liquidity_fpt of 0.45, indicating moderate liquidity risk.
- The company's ROE of 1.13% and ROA of 0.65% are below industry medians, suggesting suboptimal capital and asset efficiency.
- The company's net margin of 7.05% and operating margin of 6.19% are below the industry median, indicating weaker profitability.
- Revenue growth is projected at 2.5% for the current fiscal year and 3.0% for the next, in line with industry averages.
- The company has a low dilution risk and no near-term plans for equity financing.
- The company's geographic exposure is concentrated in India, with no international revenue diversification.
Bull / Bear case
Generated · model-assistedRevenue surged 52.9% year-over-year to INR 1.79 billion, demonstrating strong top-line growth momentum.
Net income more than doubled with a 133.7% year-over-year increase to INR 290 million.
Operating income skyrocketed 387.2% year-over-year, indicating significant improvement in core operational profitability.
Free cash flow grew 124.8% year-over-year to INR 367 million, enhancing liquidity.
Cash conversion ratio of 12.51 ranks as best-in-class among 250 cohort peers.
Medium liquidity risk flags potential challenges in meeting short-term financial obligations.
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- Avonmore Capital & Management Services Ltd Market data — financials · 2026-05-27