Stock Fundamentals

Company Information

Company Name
GLOBAL INVESTMENTS LIMITED
Sector
Financial Services
Industry
Asset Management
Exchange
SG
ISIN: SGXC73602341
Currency: SGD
Full Time Employees: 0
Phone: +65 65331736
Fiscal Year End: December
Description:

Global Investments Limited is an open ended balanced mutual fund launched and managed by Singapore Consortium Investment Management Limited. The fund invests in the public equity and fixed income markets across the globe. It invests in stocks of companies operating across diversified sectors. The fund invests primarily in operating lease assets, loan portfolio and securitization assets, and alternative assets. It was formerly known as Babcock & Brown Global Investments Ltd. Global Investments Limited was formed on April 24, 2006 and is domiciled in Singapore.

Address:

80 Raffles Place, Singapore, Singapore, 048624

Shares Statistics

Shares Outstanding: 1.70B
Shares Float: 0.00
% Insiders: 3,866.20%
% Institutions: 0.00%

Valuation Metrics

Enterprise Value: $140.16M
Trailing P/E: 12.50
Forward P/E: 0.00

Financial Highlights

Market Cap: $212.88M
P/E Ratio: $12.50
PEG Ratio: $0.00
Book Value: $0.17
Dividend/Share: $0.01
Dividend Yield: 6.35%
Earnings/Share: $0.01
Profit Margin: 81.24%
Operating Margin: 88.43%
ROA (TTM): 4.25%
ROE (TTM): 6.79%
Revenue (TTM): $23.12M
Revenue/Share (TTM): $0.01
Earnings Growth (YOY): 31.00%
Revenue Growth (YOY): 24.40%

Stock Price History

1 Year Price History

2 Years Price History

5 Years Price History

10 Years Price History

Financial Charts

Revenue & Net Income (Yearly)

Revenue & Net Income (Quarterly)

Operating Expenses (Yearly)

Operating Expenses (Quarterly)

Balance Sheet (Yearly)

Balance Sheet (Quarterly)

Assets Breakdown (Yearly)

Assets Breakdown (Quarterly)

Liabilities Breakdown (Yearly)

Liabilities Breakdown (Quarterly)

Earnings Per Share (EPS) History

Financial Ratios

Balance Sheet (Yearly)

Financial Ratios

Date Current Ratio Debt/Equity Debt/Assets Interest Coverage Debt/EBITDA
2025-12-31 49.25x 0.00x 0.01x N/A 0.00x
2024-12-31 61.57x 0.00x 0.01x N/A 0.00x
2023-12-31 64.75x 0.00x 0.01x N/A 0.00x
2022-12-31 84.69x 0.00x 0.00x N/A 0.00x
2021-12-31 68.51x 0.00x 0.01x N/A 0.00x
2020-12-31 62.82x 0.00x 0.01x N/A 0.00x
2019-12-31 45.20x 0.00x 0.01x N/A 0.00x
2018-12-31 84.63x 0.00x 0.00x 7,413.00x 0.00x
2017-12-31 30.37x 0.00x 0.01x N/A 0.00x
2016-12-31 12.49x 0.00x 0.02x N/A 0.00x
2015-12-31 56.56x 0.00x 0.01x N/A 0.00x
2014-12-31 97.37x 0.00x 0.00x N/A 0.00x

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