CapitaLand Investment Limited

9CI.SI : Singapore Exchange

2.710

+1.12%

Share Price in SGD. As of 26 Jul 17:11:48 SGT

All

Chart

Key stats

  • 52-Week High
    SGD 3.450
  • 52-Week Low
    SGD 2.440
  • Market Cap
    SGD 14B
  • Avg Volume
    5.5M
  • P/E Ratio (TTM)
    90.33
  • Forward Dividend Yield
    4.4%

Share Price Performance

9CI.SI
Market
1 Day 0.74% 0.24%
5 Day 0.74% -0.31%
1 Month 1.50% 2.84%
6 Month -7.19% 8.45%
YTD -13.14% 6.08%
1 Year -12.58% 6.50%
5 Year -18.04% 9.82%
Include dividend return
Beansprout Analysis
Market Analysis

Consensus Share Price Target

Price Target: $3.735

Sell
Underperform
Neutral
Outperform
Buy

Source: SGX as of 27 Jul 2024

Analyst Ratings

  • CGS-CIMB

    28 Feb 2024

    Add

    4.300

  • DBS Research

    29 Feb 2024

    Buy

    3.850

    (prev 4.250)

  • Maybank Research

    28 Apr 2024

    Buy

    3.000

    (prev 3.150)

  • OCBC Investment

    29 Apr 2024

    Buy

    3.860

    (prev 3.890)

  • Phillip Securities

    29 Apr 2024

    Buy

    3.380

  • UOB Kay Hian

    29 Apr 2024

    Buy

    4.040

Valuation

Price to earnings (P/E) ratio

Current P/E
14.3
Historical Average P/E
22.5

CapitaLand Investment Limited's current P/E ratio of 14.3x is lower than its historical average P/E ratio of 22.5x.

Price to book (P/B) ratio

Current P/B
1
Historical Average P/B
1.1

CapitaLand Investment Limited's current P/B ratio of 1x is lower than its historical average P/B ratio of 1.1x.

Earnings

Earnings per share (EPS)

The latest earnings per share is $0.03, which is lower than the earnings per share of $0.17 in 2022.

Financials

Financial Statements

28 Feb 2024

Full Yearly Results

For period ending 31 Dec 2023

08 Dec 2023

Profit Guidance

For period ending 31 Dec 2023

11 Aug 2023

Half Yearly Results

For period ending 30 Jun 2023

Annual Reports

31 May 2024

Sustainability Report

For period ending 31 Dec 2023

03 Apr 2024

Annual Report

For period ending 31 Dec 2023

News
Profile

Company Description

CapitaLand Investment Limited (together with its subsidiaries, the "Group") is a leading listed global real estate investment manager with a strong Asia foothold. Its real estate funds under management ("FUM") is held via its managed listed funds and unlisted funds across the Asia-Pacific, Europe and United States of America. The Group's FUM is well-diversified across asset classes, namely, integrated developments, retail, office, lodging and new economy sectors such as business parks, industrial, logistics and data centres. The Group's business model comprises two key segments, namely, fee income-related business and real estate investments.

FAQ

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