Valuation: Global Masters Fund Limited

Market Cap 32.5M 23.04M 19.9M 18.7M 17.01M 31.97M 2.2B 219M 85.66M 1.1B 86.5M 84.62M 3.67B P/E 2024
-24.7x
P/E 2025 53.7x
Enterprise Value 38.6M 27.37M 23.64M 22.21M 20.2M 37.98M 2.62B 260M 102M 1.31B 103M 101M 4.35B EV / Sales 2024
-254x
EV / Sales 2025 83.9x
Free-Float
43.51%
Yield 2024 *
-
Yield 2025 -
1 week-0.34%
Current month+2.08%
1 month+1.03%
3 months+3.52%
6 months-10.64%
Current year-17.18%
1 week 2.92
Extreme 2.92
2.95
1 month 2.86
Extreme 2.86
2.95
3 years 2.58
Extreme 2.58
4
5 years 2.08
Extreme 2.08
4
10 years 1.36
Extreme 1.36331577
4
Manager TitleAgeSince
Chief Executive Officer - 08/05/2025
Corporate Secretary - 30/06/2021
Director TitleAgeSince
Chairman 78 08/11/2018
Director/Board Member - 17/11/2021
Director/Board Member - 20/02/2023
Change 5-day change 1-year change 3-year change Capi.($)
+0.68%-0.34%-20.33%+11.36% 23.36M
-1.30%+2.35%+1.93%+71.81% 182B
-0.10%-0.89%+35.33%+108.95% 164B
+1.16%+3.32%+61.90%+273.51% 111B
-1.87%-1.04%+0.90%+102.64% 97.9B
-3.12%+2.95%-11.20%+64.48% 86.73B
+1.26%+3.67%+74.06%+183.36% 52.67B
-0.64%+1.08%+11.45%+70.50% 50.31B
+0.41%-0.25%-30.27%+47.82% 37.81B
+0.94%+2.53%+51.60%+150.31% 35.02B
Average -0.40%+1.70%+17.54%+108.47% 81.73B
Weighted average by Cap. -0.77%+1.89%+21.13%+118.89%

Financials

2024 2025
Net sales -168K -119K -103K -96.91K -88.14K -166K -11.42M -1.14M -444K -5.72M -448K -439K -19M 564K 400K 345K 325K 295K 555K 38.24M 3.8M 1.49M 19.15M 1.5M 1.47M 63.63M
Net income -1.37M -971K -839K -788K -717K -1.35M -92.88M -9.24M -3.61M -46.51M -3.65M -3.57M -155M 756K 536K 463K 435K 395K 743K 51.22M 5.09M 1.99M 25.65M 2.01M 1.97M 85.24M
Net Debt 9.02M 6.39M 5.52M 5.19M 4.72M 8.87M 611M 60.8M 23.77M 306M 24M 23.48M 1.02B 6.1M 4.33M 3.74M 3.51M 3.19M 6M 414M 41.14M 16.09M 207M 16.24M 15.89M 688M
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 Volume
17/08/26 A$2.940 +0.68% 1
13/08/26 A$2.920 -1.02% 297
11/08/26 A$2.950 0.00% 7,796
10/08/26 A$2.950 +1.72% 200