Picture of Global Investments logo

B73 — Global Investments Share Price

0.000.00%
sg flag iconLast trade - 00:00
FinancialsConservativeSmall CapSuper Stock

Momentum

Relative Strength (%)
1m+6.88%
3m+7.64%
6m+13.58%
1yr+23.22%
Volume Change (%)
10d/3m-11.4%
Price vs... (%)
52w High-4.29%
50d MA+0.01%
200d MA+1.06%

Growth & Value

Shareholder Activity

TypeBuy / Hold / Sell
Institutions
Directors
Community

Guru Screens

Quality

NameIndustryMarket
Return on Capital12.12%
Return on Equity12.87%
Operating Margin85.22%

Financial Summary

Year End 31st DecUnit201620172018201920202021E2022ECAGR / Avg
Total RevenueSG$m35.0846.6612.0125.9618.77n/an/a-7.86%
Operating Profitm
Net Profitm
EPS Reported
Diluted Normalised EPS
EPS Growth%+39.51+19.24-80.44+168.43-25.41n/an/an/a
PE Ratiox
PEG
Profitability
Operating Margin%
ROA%
ROCE%
ROE%
Cashflow
Op. Cashflow ps
Capex ps
Free Cashflow ps
Dividends
Dividend ps
Dividend Growth%
Dividend Yield%
Dividend Coverx
Balance Sheet
Cash etcm
Working Capitalm
NFAm
Net Debtm
Book Valuem
Diluted Weighted Average Sharesm
Book Value ps

Health Trend(F-Score)

12345678910

Bankruptcy Score(Z-Score)

Distress
Cautious
Safe

Earnings Manipulation Risk(M-Score)

Other Ratios

Leverage (ttm)Total- Intang+ Pension
Gross Gearing
Net Gearing
Cash / Assets

Recent History

Latest interim period vs. prior periodIndustryMarket
Sales Growth
EPS Growth
3yr Compound Annual Growth RateIndustryMarket
Sales CAGR
EPS CAGR
DPS CAGR

Graphical History

Revenue
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Net Income
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Normalised EPS
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PE Ratio Range
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Dividend Yield Range
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Analyst Forecasts

Price target
( price)
31st Dec 202131st Dec 2022
Est. Long Term Growth Rate: Net Profit
()
EPS
()
DPS
()
Net Profit
()
EPS
()
DPS
()
Consensus Estimate
1m Change
3m Change

Analyst Consensus

Strong SellSellHoldBuyStrong Buy

EPS 2021 / 2022

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Profile Summary

Global Investments Limited is a Singapore-based mutual fund company. The Company's investment strategies are to make investments in a portfolio of assets in different sectors through different means, which include direct asset ownership, swaps, credit default swaps, debts, warrants, options, convertibles, preference shares, equities, guarantees of assets and performance, securities lending and participating loan agreements. The Company invests in a range of sectors, including financials, industrials, information technology, consumer discretionary, utilities, energy and communications services. Singapore Consortium Investment Management Limited is the manager of the Company.

Directors

    Last Annual
    December 31st, 2020
    Last Interim
    June 30th, 2021
    Incorporated
    January 7th, 2019
    Public Since
    December 20th, 2006
    No. of Shareholders
    6,705
    No. of Employees
    1,400
    Sector
    Collective Investments
    Industry
    Financials
    Exchange
    sg flag iconSingapore Exchange Securities Trading Ltd
    Shares in Issue
    1,611,523,446

    B73 Share Price Performance

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