Valuation: IFS Capital Limited

Market Cap 65.04M 50.67M 44.05M 41M 37.64M 71.09M 4.84B 72.19M 483M 190M 2.41B 190M 186M 8.07B P/E 2024
21.4x
P/E 2025 14x
Enterprise Value 301M 234M 204M 190M 174M 329M 22.36B 334M 2.23B 877M 11.13B 880M 861M 37.33B EV / Sales 2024
5.16x
EV / Sales 2025 5.31x
Free-Float
27.48%
Yield 2024
4.67%
Yield 2025 4.55%
04-29 IFS Capital Limited Approves First and Final One-Tier Tax Exempt Ordinary Cash Dividend CI
04-09 Ifs Capital Limited Proposes First and Final One-Tier Tax Exempt Ordinary Cash Dividend for the Financial Year Ended 31 December 2025 CI
02-27 IFS Capital Limited Reports Earnings Results for the Full Year Ended December 31, 2025 CI
02-23 IFS Capital Public Company Limited Reports Earnings Results for the Full Year Ended December 31, 2025 CI
02-13 IFS Capital Limited Announces Incorporation of Wholly-Owned Subsidiary in Hong Kong, IFS Capital (Hong Kong) Limited CI
05/09/25 IFS Capital to Boost SME Financing in Asia Pacific under New Partnership MT
04/09/25 IFS Capital Limited, IFS Asset Management Private Limited and Funds IGC Pte Ltd Forge Strategic Partnership to Mobilise Japanese Capital for SME Growth Across Asia Pacific CI
08/08/25 IFS Capital Limited Reports Earnings Results for the Half Year Ended June 30, 2025 CI
21/05/25 IFS Capital Limited approves First and Final One-Tier Tax Exempt Ordinary Cash Dividend for the Financial Year Ended 31 December 2024 CI
08/05/25 IFS Capital Public Company Limited Reports Earnings Results for the First Quarter Ended March 31, 2025 CI
04/03/25 IFS Capital's Profit Declines 59% in H2 2024 MT
21/02/25 IFS Capital Limited Proposes First and Final One-Tier Tax Exempt Ordinary Cash Dividend for the Financial Year Ended 31 December 2024, Payable on 19 May 2025 CI
21/02/25 IFS Capital Limited Reports Earnings Results for the Full Year Ended December 31, 2024 CI
1 week-7.49%
1 month-1.70%
3 months-19.53%
Current year-1.70%
1 week 0.17
Extreme 0.171
0.17
1 month 0.17
Extreme 0.17
0.19
Current year 0.17
Extreme 0.17
0.25
1 year 0.13
Extreme 0.128
0.25
3 years 0.1
Extreme 0.101
0.25
5 years 0.1
Extreme 0.101
0.25
10 years 0.1
Extreme 0.101
0.32
Manager TitleAgeSince
Chief Executive Officer 47 01/07/2020
Director of Finance/CFO 51 04/11/2024
Chief Operating Officer 57 01/01/2020
Director TitleAgeSince
Chairman 80 20/05/2003
Director/Board Member 47 01/07/2020
Director/Board Member 60 13/08/2019
Date Insider Type Main position Quantity % Market Cap.
21/08/23
Phillip Assets Pte Ltd.
BuyCompany 363,000 0.0966%
03/04/20
Phillip Assets Pte Ltd.
BuyCompany 123,000 0.0327%
20/03/20
Phillip Assets Pte Ltd.
BuyCompany 250,000 0.0665%
Change 5-day change 1-year change 3-year change Capi.($)
-.--%-7.49%+32.06%+14.57% 50.67M
+8.32%+12.68%+29.51%+56.32% 74.33B
-2.71%-1.15%-12.66%+18.02% 36.5B
+6.27%+8.12%+4.16%+26.95% 33.98B
+1.93%+4.16%+65.90%+176.67% 25.8B
-1.79%+3.96%+8.78%+119.43% 24.66B
-0.97%-0.91%-27.77%+42.45% 21.04B
+3.85%+9.27%-22.11% - 17.74B
+1.25%+6.87% - - 16.14B
+4.31%+7.19%+27.96%+63.46% 16.55B
Average +2.31%+4.48%+11.76%+64.73% 26.68B
Weighted average by Cap. +3.64%+5.32%+13.08%+65.29%

Financials

2024 2025
Net sales 52.3M 40.75M 35.42M 32.97M 30.27M 57.16M 3.89B 58.05M 389M 153M 1.94B 153M 150M 6.49B 56.86M 44.3M 38.51M 35.84M 32.91M 62.14M 4.23B 63.11M 422M 166M 2.11B 166M 163M 7.06B
Net income 1.89M 1.47M 1.28M 1.19M 1.09M 2.06M 140M 2.1M 14.04M 5.51M 69.94M 5.53M 5.41M 235M 4.74M 3.69M 3.21M 2.99M 2.74M 5.18M 353M 5.26M 35.22M 13.82M 175M 13.87M 13.56M 588M
Net Debt 230M 179M 156M 145M 133M 251M 17.08B 255M 1.71B 670M 8.5B 672M 657M 28.51B 236M 184M 160M 149M 136M 258M 17.53B 262M 1.75B 687M 8.73B 690M 674M 29.26B
Logo IFS Capital Limited
IFS Capital Limited is a Singapore-based holding company. The Company provides a range of financing, insurance and asset management services to corporations, small and medium enterprises (SMEs), and consumers in Southeast Asia. Its segments include Credit financing, Insurance, Private equity and other investments, and Fund Management. The Credit financing segment encompasses commercial services, including accounts receivable financing, trade financing, asset-based loans, working capital, leasing, hire-purchase, as well as participation in the Enterprise Financing Scheme. The Insurance segment issues performance bonds and guarantees, domestic maid insurance, property and casualty insurance, motor insurance, engineering and work injury compensation insurance. The Private equity and other investments segment is engaged in the provision of development capital in the form of convertible debt instruments. The Fund Management segment provides fund management services.
Employees
285
Date Price Change Volume
28/07/26 SGD 0.1730 -.--% 419,800
27/07/26 SGD 0.1730 -7.49% 4,400
24/07/26 SGD 0.1870 +10.00% 1,200