Valuation: Global Masters Fund Limited

Market Cap 3.25Cr 2.25Cr 1.97Cr 1.82Cr 1.68Cr 3.2Cr 213.6Cr 22Cr 8.48Cr 105.44Cr 8.44Cr 8.26Cr 364.9Cr P/E 2024
-24.7x
P/E 2025 53.7x
Enterprise Value 3.86Cr 2.67Cr 2.34Cr 2.16Cr 2Cr 3.8Cr 253.71Cr 26Cr 10Cr 125.24Cr 10Cr 9.81Cr 433.42Cr EV / Sales 2024
-254x
EV / Sales 2025 83.9x
Free-Float
43.51%
Yield 2024 *
-
Yield 2025 -
1 week+2.46%
Current month+1.39%
1 month+3.55%
3 months+0.69%
6 months-17.51%
Current year-17.75%
1 week 2.88
Extreme 2.88
2.92
1 month 2.76
Extreme 2.76
3.01
3 years 2.4
Extreme 2.4
4
5 years 2.08
Extreme 2.08
4
10 years 1.34
Extreme 1.34341335
4
Manager TitleAgeSince
Chief Executive Officer - 09/05/2025
Corporate Secretary - 01/07/2021
Director TitleAgeSince
Chairman 78 09/11/2018
Director/Board Member - 21/02/2023
Director/Board Member - 18/11/2021
Date Insider Type Main position Quantity % Market Cap.
20/05Buy

Chief Executive Officer

3,000 0.0266%
Change 5-day change 1-year change 3-year change Capi.($)
+0.69%+2.46% - - 2.29Cr
-0.57%+3.99%+51.33%+135.83% 16TCr
-0.18%+4.98%-6.18%+47.56% 16TCr
+1.97%+5.74%+63.98%+244.55% 10TCr
-0.26%+2.93%+8.65%+115.80% 9.81TCr
-0.97%+3.87%-12.86%+55.96% 7.49TCr
+2.26%+6.10%+63.94%+143.56% 4.87TCr
+0.07%+10.70%-5.33%+52.68% 4.56TCr
-0.23%+5.55%-37.16%+40.89% 3.55TCr
+0.14%+4.55%+41.44%+144.54% 3.35TCr
Average +0.31%+4.23%+18.64%+109.04% 7.54TCr
Weighted average by Cap. +0.14%+4.12%+21.95%+113.16%

Financials

2024 2025
Net sales -2L -1L -1L -94.31T -87.27T -2L -1.11Cr -11.29L -4L -54.65L -4L -4L -1.89Cr 6L 4L 3L 3L 3L 6L 3.71Cr 37.82L 14.72L 1.83Cr 14.66L 14.34L 6.33Cr
Net income -13.7L -9L -8L -8L -7L -13.48L -9.01Cr -91.88L -35.77L -4.45Cr -35.61L -34.83L -15Cr 8L 5L 5L 4L 4L 7L 4.97Cr 50.67L 19.72L 2.45Cr 19.63L 19.21L 8.48Cr
Net Debt 90.18L 62.45L 54.73L 50.5L 46.72L 88.69L 59Cr 6.05Cr 2.35Cr 29Cr 2.34Cr 2.29Cr 101.26Cr 61.03L 42.26L 37.04L 34.17L 31.62L 60.02L 40Cr 4.09Cr 1.59Cr 20Cr 1.59Cr 1.55Cr 69Cr
Logo Global Masters Fund Limited
Global Masters Fund Limited is an Australia-based listed investment company (LIC). The principal activity of the Company is investing in Berkshire Hathaway Inc. on the New York Stock Exchange and a diversified global portfolio of investments. The investment objectives of the Company are to achieve medium-to-long-term capital growth and income through investing in listed international companies and to preserve and enhance the net tangible assets (NTA) backing per share after allowing for inflation. Its portfolio also includes other global quality growth companies which are listed on various stock exchanges, including the London Stock Exchange and the Australian Stock Exchange. The Company’s investment manager is EC Pohl & Co Pty Ltd.
Employees
-
Date Price Change
06/26/06 A$2.920 +0.69%
02/26/02 A$2.900 +0.69%
30/26/30 A$2.880 +1.05%