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Stocks / Real Estate

CapitaLand Investment Share Price

CapitaLand Investment Ltd

SGX: 9CISTIReal Estate Services

Market cap S$13.03B

CapitaLand Investment Limited is a leading global real asset manager with a strong Asia foothold.

S$2.600

down-S$0.010-0.38%

Updated 11 Sept 2026, 17:20

1Y
down-5.78%
1M
down-4.04%
1D
down-0.38%

9CI Stock Overview

CapitaLand Investment Ltd: the trailing dividend looks covered.

What holds up

  • Last reported period was profitable

    i

    Profitable period

    Pass if the newest income statement netIncome (else netIncomeAfterTaxes) is > 0.

    Latest reported net income is positive.

  • Current ratio above 1

    i

    Current ratio

    SGX ratios.currentRatio. Banks/insurers are skipped. Pass if ≥ 1.

    Current ratio 1.43.

  • Debt / equity below 1.0

    i

    Debt / equity

    SGX ratios.debtEquity. Pass if < 1 (REIT < 2). Banks skipped.

    Debt / equity 0.62.

  • Positive operating cash flow

    i

    Operating cash flow

    Pass if latest cashFromOperatingAct > 0.

    Latest operating cash flow is on file.

  • Paid a dividend in the last 12 months

    i

    TTM dividend

    Sum of dividend amounts with ex-date in (today_sg − 365, today_sg]. Parsed from SGX corporate-action particulars.

    Trailing DPS is on file (1 payout).

  • Forward yield above 4%

    i

    Yield ≥ 4%

    Same stored percent yield. Pass if ≥ 4.

    Forward yield 4.60%.

What to watch

  • P/E below sector peers

    i

    P/E vs sector peers

    Pass if this stock’s trailing P/E (SGX screener) is strictly below the median P/E of other same-sector names on the page. Yahoo P/E is not used.

    P/E 70.54 vs peer median 14.56.

  • Revenue grew last year

    i

    Revenue growth

    SGX growthRates.revenueGrowth × 100, or (newest − previous) / |previous| from income statements if growth is empty.

    Revenue −24.2% year on year.

  • Earnings grew last year

    i

    Earnings growth

    Net-income growth from SGX, else two newest income rows. Pass if the figure is positive.

    Net income −69.7% · EPS −72.4%.

  • Positive 1-year return

    i

    1-year return

    Price-only: (last close − close on or before last_date − 365d) / that close. Not total return with dividends reinvested.

    1-year total return −5.78%.

  • Cash covers total debt

    i

    Cash vs debt

    Pass if latest balance-sheet cash ≥ totalDebt. Banks skipped.

    Reported debt is larger than cash.

  • Payout under 90% of EPS

    i

    Payout cover

    ttm_dps / eps × 100. Skip if EPS ≤ 0. REIT pass ≤ 100%, others ≤ 90%.

    Payout 406.8% of EPS.

VALUEFUTUREPASTHEALTHDIV.
Valuation: 2 of 4 checks. Future Growth: 1 of 4 checks. Past Performance: 1 of 5 checks. Financial Health: 3 of 6 checks. Dividend: 4 of 6 checks

Five-pillar score from the last SGX quote, filings, and featured peers. Not a DCF. Not a live tape.

Open
S$2.620
High
S$2.620
Low
S$2.580
Prev Close
S$2.610
52-week S$2.450S$3.180

-18.2% from high · +6.1% from low

Dividend Yield
4.60%forward
P/E
70.54
Analyst Target
i

Mean sell-side target

Empty until a named source exists. Not a SharePrice.sg fair value, and not a hidden estimate.

Last updated Quote 11 Sept 2026, 17:20 · Screener 11 Sept 2026, 17:20 · History 11 Sept 2026, 17:20 · Filings 11 Sept 2026, 17:23 · Dividends 11 Sept 2026, 17:21 · Analysts not ingested

Price History

Fundamentals

Market capS$13.03B
P/E
70.54×
Last earnings
S$145.00M

Latest filing

Forward yield
4.60%
P/B
1.04
1-year return
down-5.78%

1. Valuation

Valuation score 2/4

Is this name cheap against the mean analyst target and its SGX peers?

  • Below mean analyst target

    i

    Mean analyst target

    Pass if last SGX price is strictly below fundamentals.target_mean_price from Yahoo quoteSummary. Not a SharePrice.sg DCF. Formula: (target − price) / price.

    No mean analyst target in our data.

  • At least 10% below target

    i

    10% upside vs mean target

    Same inputs as below-target. Pass if upside ≥ 10%.

    No mean analyst target in our data.

  • P/E below sector peers

    i

    P/E vs sector peers

    Pass if this stock’s trailing P/E (SGX screener) is strictly below the median P/E of other same-sector names on the page. Yahoo P/E is not used.

    P/E 70.54 vs peer median 14.56.

  • P/B below sector peers

    i

    P/B vs sector peers

    Pass if SGX screener P/B is strictly below the peer median.

    P/B 1.04 vs peer median 1.05.

  • Yield above sector peers

    i

    Yield vs sector peers

    Yield is SGX screener dividendYield stored as percent. Pass if this name is strictly above the peer median.

    Yield 4.60% vs peer median 4.66%.

  • Below the 52-week midpoint

    i

    52-week midpoint

    through = (price − low) / (high − low). High/low from last 252 historic bars when we have ≥ 20, else the quote fields.

    Sitting 21% of the way through the 52-week range.

Need a last price and a mean target to draw this track.

P/E versus featured peers

Peer median 14.56×

2. Future Growth

Future Growth score 1/4

Is the business growing, and does the Street still see upside?

  • Analysts see upside

    i

    Street upside

    Same formula as below-target. Skip when Yahoo did not return a target.

    No mean analyst target in our data.

  • Buy or outperform consensus

    i

    Consensus rating

    Pass on buy / strong buy / outperform from Yahoo recommendationKey. Not an SGX figure.

    No sell-side recommendation in our data.

  • Revenue grew last year

    i

    Revenue growth

    SGX growthRates.revenueGrowth × 100, or (newest − previous) / |previous| from income statements if growth is empty.

    Revenue −24.2% year on year.

  • Revenue grew at least 10%

    i

    Revenue ≥ 10%

    Same revenue input. Pass if YoY ≥ 10%.

    Revenue −24.2% year on year.

  • Earnings grew last year

    i

    Earnings growth

    Net-income growth from SGX, else two newest income rows. Pass if the figure is positive.

    Net income −69.7% · EPS −72.4%.

  • Five-year revenue growth

    i

    Five-year revenue

    SGX fiveYearRevenueGrowth × 100. Skip if SGX did not publish it.

    Five-year revenue 1.47%.

We have not sourced a sell-side forecast or a mean target. This chapter only scores filing growth. Missing years stay a dash — not a 4% stub.

3. Past Performance

Past Performance score 1/5

Have shareholders and earnings compounded over the last year and five?

  • Positive 1-year return

    i

    1-year return

    Price-only: (last close − close on or before last_date − 365d) / that close. Not total return with dividends reinvested.

    1-year total return −5.78%.

  • 1-year return above 10%

    i

    1-year ≥ 10%

    Same 1-year price return. Pass if ≥ 10%.

    1-year total return −5.78%.

  • Positive 5-year return

    i

    5-year return

    Price-only vs close on or before last_date − 1825d.

    Not enough price history for a 5-year return.

  • Positive year-to-date return

    i

    YTD return

    Vs last close of the previous calendar year, else first close this year.

    Year-to-date −3.69%.

  • Earnings grew last year

    i

    Past earnings

    Same net-income growth as the future pillar.

    Net income −69.7% year on year.

  • Last reported period was profitable

    i

    Profitable period

    Pass if the newest income statement netIncome (else netIncomeAfterTaxes) is > 0.

    Latest reported net income is positive.

1 Month
down-4.04%
3 Month
up+1.95%
6 Month
down-7.77%
YTD
down-3.69%
1 Year
down-5.78%
5 Year
Return on equity
1.11%

4. Financial Health

Financial Health score 3/6

Can the balance sheet carry the debt and cover near-term bills?

  • Current ratio above 1

    i

    Current ratio

    SGX ratios.currentRatio. Banks/insurers are skipped. Pass if ≥ 1.

    Current ratio 1.43.

  • Current ratio above 1.5

    i

    Current ratio ≥ 1.5

    Same SGX current ratio. Pass if ≥ 1.5.

    Current ratio 1.43.

  • Debt / equity below 1.0

    i

    Debt / equity

    SGX ratios.debtEquity. Pass if < 1 (REIT < 2). Banks skipped.

    Debt / equity 0.62.

  • Debt / equity below 0.5

    i

    Stronger leverage

    Same D/E. Pass if < 0.5 (REIT < 1).

    Debt / equity 0.62.

  • Cash covers total debt

    i

    Cash vs debt

    Pass if latest balance-sheet cash ≥ totalDebt. Banks skipped.

    Reported debt is larger than cash.

  • Positive operating cash flow

    i

    Operating cash flow

    Pass if latest cashFromOperatingAct > 0.

    Latest operating cash flow is on file.

Current ratio
1.43
Debt / equity
0.62

Assets and liabilities

5. Dividend

Dividend score 4/6

Does it pay a covered, regular Singapore-dollar dividend?

  • Paid a dividend in the last 12 months

    i

    TTM dividend

    Sum of dividend amounts with ex-date in (today_sg − 365, today_sg]. Parsed from SGX corporate-action particulars.

    Trailing DPS is on file (1 payout).

  • Forward yield above 2%

    i

    Yield ≥ 2%

    SGX screener yield stored as percent. Pass if ≥ 2.

    Forward yield 4.60%.

  • Forward yield above 4%

    i

    Yield ≥ 4%

    Same stored percent yield. Pass if ≥ 4.

    Forward yield 4.60%.

  • Payout under 90% of EPS

    i

    Payout cover

    ttm_dps / eps × 100. Skip if EPS ≤ 0. REIT pass ≤ 100%, others ≤ 90%.

    Payout 406.8% of EPS.

  • Payout above 20% of EPS

    i

    Payout ≥ 20%

    Same payout formula. Pass if ≥ 20% of EPS.

    Payout 406.8% of EPS.

  • Regular payout schedule

    i

    Payout frequency

    Count of TTM cash dividends. Pass if ≥ 2.

    Trailing frequency looks annual.

Payout ratio
406.78%TTM DPS / EPS
Frequency
Annualtrailing 12 months

Full ex-date history, TTM cash, payout and the calculator are on the dividends page.

Forward yield versus featured peers

Peer median 4.66%

Financials

Latest reported periods. Compact SGD. A dash means the line was not filed for that date.

Latest reported financial statements
Line31 Dec 2025
RevenueS$2.13B
Operating IncomeS$569.00M
Net IncomeS$145.00M
Diluted EPSS$0.0295
Operating Cash FlowS$491.00M
Dividends Paid-S$599.00M
CashS$1.28B
Total DebtS$8.46B
Total EquityS$13.52B
Book Value / ShareS$2.2599

Historical Valuation

Key Statistics

Performance

1 Month
down-4.04%
3 Month
up+1.95%
6 Month
down-7.77%
YTD
down-3.69%
1 Year
down-5.78%
5 Year
52-Week Range
S$2.450 – S$3.180
From 52-Week High
down-18.24%
From 52-Week Low
up+6.12%
4-Week
down-2.97%
13-Week
up+1.95%
26-Week
down-4.21%
52-Week
down-1.44%

Valuation

Market Cap
S$13.03B
Sales TTM
S$2.11B
P/E
70.54
P/B
1.04
P/CF
24.69
EPS
S$0.0295
Shares Outstanding
4,987,866,819

Financial

ROE
1.11%
ROA
0.59%
Operating Margin
26.86%
Net Margin
7.02%
Current Ratio
1.43
Quick Ratio
1.37
Debt / Equity
0.62
Revenue Growth YoY
down-24.23%
Net Income Growth YoY
down-69.73%
EPS Growth YoY
down-72.42%
3Y Revenue Growth
down-9.48%
5Y Revenue Growth
up+1.47%
Sales Change
down-24.23%

Dividend

Indicated DPS
S$0.1199from last quote
TTM DPS
S$0.1200trailing 12 months
Frequency
Annual
Payout Ratio
406.78%TTM DPS / EPS
Last Ex-Date
03 May 2026
Last DPS
S$0.1200

Peer Comparison

Featured names in Real Estate with a stored quote. This listing is the first row.

Companies comparable to CapitaLand Investment Ltd
CodeNamePriceChange
9CICapitaLand Investment LtdS$2.600down-0.38%
C38UCapitaLand Integrated Commercial TrustS$2.280unchanged0.00%
A17UCapitaLand Ascendas REITS$2.340unchanged0.00%
AJBUKeppel DC REITS$2.140down-0.47%
M44UMapletree Logistics TrustS$1.120down-0.89%
ME8UMapletree Industrial TrustS$1.910down-0.52%

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.

Sector
Real Estate
Industry
Real Estate Services
Employees
10,158
Listed
20 Sept 2021
Incorporated
29 Aug 2003
Market
MAINBOARD
Registered Office
168 Robinson Road, #30-01 Capital Tower, Singapore 068912

Company website

Announcements

SGX company announcements for this counter, as filed. We hold announcements from the past 400 days.

Reports

Annual, interim and related documents SGX lists for this counter. The file lives on SGX; we store the link.

More research

On-site tools this quote page already has. Compare, screen, calendars and movers — not a broker terminal and not scraped news.

Frequently Asked Questions

How is the CapitaLand Investment dividend yield on this page calculated?

CapitaLand Investment shows a yield of 4.60% and indicated DPS of S$0.1199. That yield is the SGX screener figure, stored as a percent. Trailing cash from SGX corporate actions is listed separately as TTM DPS. Neither figure is a forecast of the next dividend.

What is the CapitaLand Investment payout ratio?

CapitaLand Investment pays out 406.78% of EPS on a trailing DPS / EPS basis. We skip the ratio when EPS is missing or not positive. It is a coverage figure, not a promise of the next dividend.

What does the CapitaLand Investment P/E ratio mean?

CapitaLand Investment has a P/E of 70.54 from the last SGX screener snapshot. P/B on the same snapshot is 1.04. That is not a verdict on cheap or expensive.

What is the 52-week range for CapitaLand Investment?

CapitaLand Investment has a stored 52-week range of S$2.450 to S$3.180 from SGX history. That is the extreme of last prices we keep, not a forecast.