Valuation: Prime Office Leasehold Property Fund

Market Cap 5.19B 155M 135M 125M 115M 217M 14.9B 221M 1.49B 585M 7.27B 581M 568M 25.11B P/E 2024
7.9x
P/E 2025 8.17x
Enterprise Value 4.92B 147M 128M 119M 109M 206M 14.13B 209M 1.41B 555M 6.9B 551M 539M 23.83B EV / Sales 2024
2.74x
EV / Sales 2025 4.97x
Free-Float
72.6%
Yield 2024
18.3%
Yield 2025 12.6%
05-14 Prime Office Leasehold Property Fund Reports Earnings Results for the First Quarter Ended March 31, 2026 CI
05-05 Prime Office Leasehold Property Fund Declares Dividend for the Operation Period from January 1, 2026 to March 31, 2026, Payable on 9 June 2026 CI
02-20 Prime Office Leasehold Property Fund Reports Earnings Results for the Full Year Ended December 31, 2025 CI
02-03 Prime Office Leasehold Property Fund Announces Dividend for the Operation Period from October 1, 2025 to December 31, 2025, Payable on 6 March 2026 CI
11-13 Prime Office Leasehold Property Fund Reports Earnings Results for the Third Quarter and Nine Months Ended September 30, 2025 CI
11-04 Prime Office Leasehold Property Fund Announces Dividend Payment for the Operation Period from July 1, 2025 to September 30, 2025, Payable on 4 December 2025 CI
25-08-13 Prime Office Leasehold Property Fund Reports Earnings Results for the Second Quarter and Six Months Ended June 30, 2025 CI
25-08-04 Prime Office Leasehold Property Fund Announces Dividend Payment for the Operation Period from April 1, 2025 to June 30, 2025, Payable on 4 September 2025 CI
25-05-14 Prime Office Leasehold Property Fund Reports Earnings Results for the First Quarter Ended March 31, 2025 CI
25-05-02 Prime Office Leasehold Property Fund Announces Dividend for the Period from January 1, 2025 to March 31, 2025, Payable on 4 June 2025 CI
25-02-28 Prime Office Leasehold Property Fund Reports Earnings Results for the Full Year Ended December 31, 2024 CI
25-02-03 Prime Office Leasehold Property Fund Announces Dividend for the Period from October 1, 2024 to December 31, 2024, Payable on 3 March 2025 CI
24-11-12 Prime Office Leasehold Property Fund Reports Earnings Results for the Third Quarter and Nine Months Ended September 30, 2024 CI
1 day+0.60%
1 week+3.09%
Current month+1.21%
1 month+6.37%
3 months+20.14%
6 months+22.79%
Current year+22.79%
1 week 8.15
Extreme 8.15
8.35
1 month 7.5
Extreme 7.5
8.5
Current year 6.7
Extreme 6.7
8.5
1 year 5.7
Extreme 5.7
8.5
3 years 5.35
Extreme 5.35
10.1
5 years 5.35
Extreme 5.35
12.7
10 years 5.35
Extreme 5.35
17.6
Manager TitleAgeSince
Chief Executive Officer - -
Compliance Officer - -
Chief Tech/Sci/R&D Officer - -
Director TitleAgeSince
Chairman 68 -
Director/Board Member - -
Director/Board Member - -
Change 5-day change 1-year change 3-year change Capi.($)
+0.60%+3.09%+45.22%-16.50% 155M
-1.86%-3.47%+17.14%+97.24% 14.23B
-3.51%-6.92%+40.13%+110.35% 11.3B
+0.54%+0.62%-5.96%+34.50% 9.27B
+0.49%-1.56%-12.88%-13.29% 7.59B
-2.57%-5.04%+26.41%+109.28% 7.21B
-3.06%-2.59%+15.10%+60.99% 6.37B
-0.06%+1.43%+12.86%+27.61% 4.86B
+0.36%+1.65%+14.33%+9.05% 4.18B
-0.31%+0.79% - - 3.82B
Average -0.67%-0.92%+16.93%+46.58% 6.9B
Weighted average by Cap. -0.93%-1.64%+14.74%+64.38%

Financials

2024 2025
Net sales 967M 28.82M 25.19M 23.3M 21.38M 40.46M 2.78B 41.17M 278M 109M 1.36B 108M 106M 4.68B 606M 18.05M 15.78M 14.59M 13.39M 25.34M 1.74B 25.78M 174M 68.35M 849M 67.77M 66.29M 2.93B
Net income 387M 11.53M 10.08M 9.32M 8.56M 16.19M 1.11B 16.48M 111M 43.68M 543M 43.32M 42.37M 1.87B 401M 11.95M 10.44M 9.66M 8.86M 16.78M 1.15B 17.07M 115M 45.25M 562M 44.87M 43.89M 1.94B
Net Debt -412M -12.27M -10.73M -9.92M -9.1M -17.23M -1.18B -17.53M -118M -46.47M -577M -46.08M -45.07M -1.99B -266M -7.92M -6.92M -6.4M -5.87M -11.12M -763M -11.31M -76.33M -29.99M -373M -29.74M -29.08M -1.29B
Logo Prime Office Leasehold Property Fund
Prime Office Leasehold Property Fund (the Fund) is a Thailand-based closed-end property fund. The purpose of the Fund is to raise funds from unitholders to invest in properties and leasehold rights and utilize for commercial benefit with an indefinite expiration date. The Fund has invested in three properties projects, which are Ploenchit Center Building, UBC II Building (United Business Center II Building), and Bangna Tower Project. The Fund’s management company is SCB Asset Management Company Limited. Its mutual fund supervisor is KASIKORNBANK Public Company Limited and The Siam Commercial Bank Public Company Limited acts as the registrar. Its property managers include Erawan Commercial Management Company Limited, Bhiraj Management Company Limited and Teo Hong Silom Company Limited.
Employees
-
Date Price Change Volume
26-07-16 THB 8.350 +0.60% 165,286
26-07-15 THB 8.300 +0.61% 336,752
26-07-14 THB 8.250 0.00% 212,736
26-07-13 THB 8.250 0.00% 319,216
26-07-10 THB 8.250 +1.85% 372,110
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