Valuation: TIH Limited

Market Cap 49.55M 38.32M 33.55M 30.98M 28.93M 54.45M 3.62B 55.69M 373M 144M 1.79B 144M 141M 6.21B P/E 2024
2.8x
P/E 2025 5.96x
Enterprise Value -3.58M -2.77M -2.42M -2.24M -2.09M -3.93M -262M -4.02M -26.91M -10.39M -129M -10.39M -10.16M -448M EV / Sales 2024
-0.39x
EV / Sales 2025 0.34x
Free-Float
39.47%
Yield 2024
4.88%
Yield 2025 4.08%
1 day+2.50%
1 week+2.50%
Current month+2.50%
1 month+2.50%
6 months-16.33%
Current year-16.33%
1 week 0.2
Extreme 0.2
0.2
1 month 0.2
Extreme 0.2
0.2
Current year 0.19
Extreme 0.189
0.26
1 year 0.19
Extreme 0.189
0.3
3 years 0.14
Extreme 0.141
0.3
5 years 0.14
Extreme 0.141
0.3
10 years 0.1
Extreme 0.1
0.77
Manager TitleAgeSince
Corporate Secretary - 2020-02-24
Director TitleAgeSince
Chairman 60 2005-04-30
Director/Board Member 50 2015-02-25
Director/Board Member 62 2018-05-31
Change 5-day change 1-year change 3-year change Capi.($)
+2.50%+2.50%-12.77%-6.82% 37.38M
-1.22%-4.07%+19.55%+104.49% 14.62B
-1.15%-10.14%+51.31%+139.90% 11.91B
-0.48%-1.63%-3.65%+33.00% 8.78B
+0.39%+2.43%-12.31%-11.19% 7.65B
-1.51%-6.75%+32.59%+122.96% 7.47B
-0.21%-1.47%+2.31%+55.76% 6.34B
-0.40%+1.21%+9.78%+21.68% 4.6B
+0.14%+1.63%+11.49%+5.97% 4.11B
+0.51%-3.42% - - 3.7B
Average -0.15%-2.90%+10.92%+51.75% 6.92B
Weighted average by Cap. -0.64%-3.97%+17.10%+73.18%

Financials

2024 2025
Net sales 10.38M 8.03M 7.03M 6.49M 6.06M 11.41M 759M 11.67M 78.09M 30.14M 374M 30.15M 29.48M 1.3B 18.18M 14.06M 12.31M 11.37M 10.61M 19.98M 1.33B 20.44M 137M 52.81M 656M 52.81M 51.65M 2.28B
Net income 17.72M 13.7M 12M 11.08M 10.34M 19.47M 1.3B 19.91M 133M 51.45M 639M 51.45M 50.32M 2.22B 9.94M 7.69M 6.73M 6.21M 5.8M 10.92M 727M 11.17M 74.77M 28.87M 359M 28.87M 28.23M 1.24B
Net Debt -53.6M -41.45M -36.3M -33.51M -31.29M -58.9M -3.92B -60.24M -403M -156M -1.93B -156M -152M -6.71B -53.12M -41.09M -35.98M -33.21M -31.01M -58.38M -3.88B -59.71M -400M -154M -1.92B -154M -151M -6.65B
Logo TIH Limited
TIH Limited is a Singapore-based closed-end fund. It holds an investment in a liquidity fund classified under current assets. The Fund’s objective is capital preservation, daily liquidity, and returns comparable to United States Dollar money market instruments. The investment is valued based on the Net Asset Value reported by the Fund, which is derived from observable market inputs and reflects the fair value of the underlying instruments. It has invested in a broad variety of sectors including Consumer & Industrial Products, Healthcare, Technology, Media & Telecommunications, Food, Manufacturing and Chemicals. It operates through two business segments: Investment Business and Fund Management. The Investment Business relates to the private equity segment, which is to invest for capital appreciation in growing private companies primarily located in Asia. The Fund management segment relates to the fund management activities. Its investment manager is TIH Investment Management Pte. Ltd.
Employees
-
Date Price Change Volume
26-06-29 SGD 0.2050 +2.50% 12,000
26-06-26 SGD 0.2000 0.00% 2,600
26-06-25 SGD 0.2000 0.00% 1,300
26-06-23 SGD 0.2000 0.00% 15,000