Valuation: Sala @ Sathorn Property Fund

Market Cap 498M 14.92M 13.01M 12.29M 11.16M 20.91M 1.43B 20.99M 147M 56.8M 728M 56.06M 54.82M 2.34B P/E 2025
31.1x
P/E 2026 108x
Enterprise Value 447M 13.39M 11.68M 11.02M 10.01M 18.76M 1.28B 18.84M 132M 50.96M 653M 50.3M 49.18M 2.1B EV / Sales 2025
9.68x
EV / Sales 2026 10.2x
Free-Float
11.08%
Yield 2025
3.58%
Yield 2026 -
1 day+2.76%
1 week+3.47%
Current month+1.36%
1 month-5.70%
3 months-3.87%
6 months-9.70%
Current year-6.29%
1 week 2.9
Extreme 2.9
3
1 month 2.8
Extreme 2.8
3.14
Current year 2.38
Extreme 2.38
3.76
1 year 2.38
Extreme 2.38
4.12
3 years 2.38
Extreme 2.38
6.95
5 years 2.38
Extreme 2.38
8
10 years 2.38
Extreme 2.38
10.5
Manager TitleAgeSince
Chief Executive Officer 62 22/03/2011
Chief Operating Officer - 22/03/2011
Change 5-day change 1-year change 3-year change Capi.($)
+2.76%+3.47%-18.13%-51.15% 14.92M
-0.46%-0.46%+13.91%+33.46% 39.78B
-1.77%+0.31%+6.67%+73.79% 27.69B
-1.53%+6.61%-16.40%+64.82% 27.96B
-1.33%-0.40%-7.45%+29.39% 25.46B
+0.49%-1.78%-9.08%-11.06% 26.03B
-0.13%+4.07%-26.15%-61.90% 20.9B
0.00%-3.55%+24.68%+13.19% 20.6B
-2.06%-0.78%-2.51%+57.37% 18.75B
+2.61%+1.89%+29.92%+146.86% 18.41B
Average -0.14%+1.01%-0.45%+29.48% 22.56B
Weighted average by Cap. -0.55%+0.85%+1.41%+37.25%

Financials

2025 2026
Net sales 57.29M 1.72M 1.5M 1.41M 1.28M 2.41M 165M 2.42M 16.94M 6.54M 83.81M 6.45M 6.31M 270M 46.17M 1.38M 1.21M 1.14M 1.04M 1.94M 133M 1.95M 13.66M 5.27M 67.55M 5.2M 5.09M 217M
Net income 19.89M 596K 520K 491K 446K 836K 57.23M 839K 5.88M 2.27M 29.1M 2.24M 2.19M 93.62M 4.85M 145K 127K 120K 109K 204K 13.94M 204K 1.43M 553K 7.09M 546K 534K 22.81M
Net Debt -63.62M -1.91M -1.66M -1.57M -1.43M -2.67M -183M -2.68M -18.82M -7.26M -93.08M -7.17M -7.01M -299M -51.15M -1.53M -1.34M -1.26M -1.15M -2.15M -147M -2.16M -15.13M -5.84M -74.83M -5.76M -5.63M -241M
Logo Sala @ Sathorn Property Fund
Sala @ Sathorn Property Fund (the Fund) is a closed-end property fund with no maturity date. The Fund has the objective to invest in immovable property or the leasehold immovable property and make benefit from such property. The Fund has a policy to pay dividends to the unitholders at least once a year, which the Management Company considers paying the dividend at the rate of not less than 90 percent of the net income for the year. If the Fund has retained earnings, the Management Company may consider paying the dividend to the unitholders from such retained earnings. Krungsri Asset Management Company Limited (the Management Company) serves as the Fund’s Manager and Investment Unit Registrar and The Siam Commercial Bank Public Company Limited serves as the Fund’s Trustee.
Employees
-
Date Price Change Volume
18/09/26 THB 2.980 +2.76% 100
17/09/26 THB 2.900 -3.33% 700
14/09/26 THB 3.000 +4.17% 10,000
11/09/26 THB 2.880 -0.69% 100
10/09/26 THB 2.900 0.00% 2,600
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