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ICG

ICG.L
Segnale rialzistaFinanzaAsset Management
2.022
+0.70%
Differito
Quotazione 43m · differitoApri in Terminal
Prezzo
2022
+0.70%
RSI14 periodi
48
Zona neutrale
MACD
30.50
Momentum rialzista forte
Volumeultima sessione
1.4M

Andamento ICG.L · ICG

2.008174,00 (7.97%)sull intervallo 1A
1.5001.7502.0002.250set 25dic 25mar 26giu 26set 26
Verificato fino al 2026-08-27Prezzo aggiustato per split258 osservazioni verificateIl tratteggio finale e quotazione corrente, non ancora inclusa nella generazione verificata.gen. 1 · price_adjustment_v2

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Segnale rialzista
RSI · MACD · Sentiment
Sentiment news
Neutro
0 rialz · 0 ribacc

Chi è ICG

ICG plc is a private equity firm specializing in direct and fund of fund investments. Within direct it specializes in private debt, venture debt, credit and equity investments. It invests in middle market, mature, growth capital, reinvestment, industry consolidations, bridge financing, restructuring of a shareholder base, acquisitions, public to private transactions with or without private equity backing, leveraged and acquisition finance, leveraged credit, partnership equity, management buyouts and management buyins, secondary (direct) and secondary (indirect) investments, traditional, development capital, public quoted company finance, off-balance-sheet finance, refinancing and recapitalizations, and pre-IPO financing. The firm does not invest in property companies, early-stage funds or start-ups. Within fund of fund, it specializes in secondary investments. It also invests in the debt, fixed income and alternate asset markets. The firm's alternative capital solutions invest in mid-market companies, in Europe, the United States and Asia Pacific. It invests in corporate businesses through private debt, senior, junior and sub-ordinate debt, mezzanine, structured loans and equity in Europe, Asia Pacific and North America. The firm prefers to invest in all sectors with a focus on insurance, energy, materials, environmental and facilities services, human resources and employment services, leisure products, consumer staples, healthcare, infrastructure services, media and entertainment, utilities, equity real estate investment trusts, education and childcare. The firm seeks to invest in life sciences in Western Europe and the United States. The firm invests in a diversified portfolio of senior secured loans to established companies in Australia and New Zealand. The firm focuses on European senior direct lending, investing in a diversified portfolio of mid-market and upper mid-market corporate borrowers in Western and Northern Europe. The firm is focused on limited partnership liquidity solutions in North America and Europe. It prefers to invest in commercial real estate assets and commercial property in the United Kingdom. It seeks to invest in companies whose principal place of business is Africa/Middle East, DACH region, European Union, Pan-European, Spain, Nordic, United States, Anguilla, Antigua and Barbuda, Aruba, Bahamas, Barbados, Bermuda, British Virgin Islands, Cayman Islands, Cuba, Dominica, Dominican Republic, Grenada, Guadeloupe, Haiti, Jamaica, Martinique, Montserrat, Netherlands Antilles, Saint Kitts & Nevis, Saint Lucia, Saint Vincent and the Grenadines, Trinidad and Tobago, Turks & Caicos Islands, Belize, Costa Rica, El Salvador, Guatemala, Honduras, Mexico, Nicaragua, Panama, Canada, United Kingdom, France, Italy, Liechtenstein, Monaco, Netherlands, Bulgaria, Romania, North America, South-East Asia and the Asia Pacific, Hong Kong, South Korea, Singapore, Taiwan, China, Japan, Australia, Luxembourg, Belgium and New Zealand. It prefers to invest between $100 and $200 million. The firm prefers to invest in companies with an enterprise value of at least $34.13 million. The firm provides mezzanine financing to firms with an enterprise value between $40.62 million and EUR 1000 million ($1353.94 million). In corporate strategies, it prefers to invest in firms with enterprise value of EUR 100 million ($107.36 million) and EUR 2000 million ($2147.23 million). The firm invests between $50 million and $1000 million in North American Private Debt in companies with EBITDA between $25 million and $250 million. The firm seeks to acquire minority and majority stakes. It generally structures its financing in the form of subordinated loans with equity warrants, as preference shares, preferred equity, mezzanine debt, convertible loans, leveraged loans, senior, junior, and mezzanine loans, and CDOs. The firm provides loans for a maturity period between seven years and ten years with repayments to be made in one payment at final maturity. Its mezzanine investments are usually structured to provide a cash yield between three percent and four percent over the relevant interbank rate, plus an additional return to reflect the risk involved. Alternative Credit strategies are structured in portfolio format, such as CLOs, RMBS, CMBS and correlation tranches. It focuses on structured credit and credit portfolios sourced from banks' balance sheets. The firm's direct lending strategies invest in senior secured and subordinated debt investments in companies across Europe either as the lead arranger or the sole lender. In strategic secondaries, it focuses on restructuring, mainly in North America, the United States and Europe with a focus on leading restructuring and recapitalization transactions for mature private equity funds. In fixed income solutions, the firm invests in leveraged loans and high yield bonds; corporate loans and bonds - segregated loan strategies as well as multi-asset credit funds; multi-asset credit strategies - European loans and European high yield bonds; CLOs in Europe and in the United States; Asset Backed Securities and securitized debt in Europe and in the United States. It is also a manager of third-party mezzanine, CDO, and Institutional Client Funds. It seeks to make balance sheet investments and seeks board attendance rights from its portfolio companies. ICG plc was founded in 1989 and is based in London, United Kingdom, with additional offices across Europe, North America, the Middle East and Asia Pacific.

CEO
Mr. Benoit Laurent Pierre Durteste
Dipendenti
676
Sede
London, United Kingdom

Valutazione

P/E10.82
P/B1.86
Market Cap5.14B

Redditività

ROE18.4%
ROA5.0%
Margine lordo100.0%
Margine operativo46.4%

Crescita

Crescita ricavi YoY-21.8%
Crescita EPS YoY-38.9%
Contrazione

Solidità Finanziaria

Debt/Equity0.47
Current Ratio1.59
Quick Ratio1.58

Dividendi

Dividend Yield4.90%
Payout Ratio51.5%

Cosa ne pensano gli analisti

RaccomandazioneAcquisto
Target Price2424
Upside vs prezzo attuale+19.9%

Approfondisci i fondamentali

Analisi tecnica AI — 01 settembre 2026

Segnale complessivo AI
Segnale rialzista
RSI (48), MACD (RIALZISTA), performance (+0.7%), sentiment (Neutro).
Non è consulenza finanziaria. Aggiornato più volte al giorno.
RSI (14) Zona neutrale48
Neutrale
RSI 48 — zona di equilibrio tra compratori e venditori. Nessun segnale estremo. Il titolo attende un catalizzatore direzionale.
03070100
MACD Momentum rialzista forte30.50
MACD 30.501 — segnale di momentum positivo forte. La media mobile a breve termine è significativamente sopra quella a lungo termine, indicando un trend rialzista consolidato.
RIALZISTA
Performance oggi Seduta positiva+0.70%
+0.70% — variazione positiva nella norma. Sentiment favorevole nella seduta odierna.
Volume Volume basso1.4M
Volume 1.4M — volumi sotto la media. Mercato poco partecipato, i movimenti di prezzo potrebbero essere poco affidabili.
Sentiment AI notizie Neutro0
0 rialziste · 0 ribassiste · 0 neutre
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Segnale complessivo AI
Segnale rialzista
RSI: 48
MACD: RIALZISTA
Volume: 1.4M
News: Neutro
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Domande frequenti su ICG.L

Quanto vale ICG oggi 2026?
Il prezzo attuale di ICG (ICG.L) è 2022, con una variazione di +0.70% nella seduta odierna. Dati aggiornati più volte al giorno su MarketSider.
Qual è l'RSI di ICG (ICG.L)?
L'RSI attuale di ICG (ICG.L) è 48: Neutrale. RSI 48 — zona di equilibrio tra compratori e venditori. Nessun segnale estremo. Il titolo attende un catalizzatore direzionale.
Qual è il segnale MACD di ICG.L?
Il MACD di ICG è 30.501: Momentum rialzista forte. MACD 30.501 — segnale di momentum positivo forte. La media mobile a breve termine è significativamente sopra quella a lungo termine, indicando un trend rialzista consolidato.
Qual è il sentiment delle notizie su ICG?
Non ci sono notizie recenti analizzate su ICG.
Che segnali tecnici mostra ICG (ICG.L) adesso?
L'analisi di MarketSider su ICG (ICG.L): RSI 48 (Neutrale), MACD RIALZISTA, sentiment neutro. Segnale complessivo: Segnale rialzista. Non è consulenza finanziaria.
Qual è il volume di scambi di ICG.L?
Il volume odierno di ICG (ICG.L) è 1.4M: Volume basso. Volume 1.4M — volumi sotto la media. Mercato poco partecipato, i movimenti di prezzo potrebbero essere poco affidabili.
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