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Sunday, February 1st, 2026
Stock Profile: B73
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Global Investments Limited (B73)


📊 Statistics





💰 Dividend History


Current year to date yield: 6.11%

2025 — Total Amount: $0.008000 | Total Yield: 6.11%
Ex Date: 2025-08-25

Amount: $0.004000

Yield: 3.01%

Pay Date: 2025-10-10

Details: Declared Rate: SGD 0.004 per security/unit

Ex Date: 2025-05-13

Amount: $0.004000

Yield: 3.10%

Pay Date: 2025-06-27

Details: Declared Rate: SGD 0.004 per security/unit

Amount: $0.000000

Yield: -

Pay Date: 2025-06-27

Details: 1 Cash Options

2024 — Total Amount: $0.008000 | Total Yield: 6.81%
Ex Date: 2024-08-27

Amount: $0.004000

Yield: 3.39%

Pay Date: 2024-10-10

Details: Declared Rate: SGD 0.004 per security/unit

Ex Date: 2024-05-09

Amount: $0.004000

Yield: 3.42%

Pay Date: 2024-06-27

Details: Declared Rate: SGD 0.004 per security/unit

2023 — Total Amount: $0.008000 | Total Yield: 6.58%
Ex Date: 2023-10-30

Amount: $0.000000

Yield: -

Pay Date: 2023-12-13

Details: Ratio: 25:1

Ex Date: 2023-05-08

Amount: $0.004000

Yield: 3.48%

Pay Date: 2023-06-23

Details: Declared Rate: SGD 0.004 per security/unit

Ex Date: 2023-03-02

Amount: $0.004000

Yield: 3.10%

Pay Date: 2023-04-18

Details: Declared Rate: SGD 0.004 per security/unit

2022 — Total Amount: $0.004000 | Total Yield: 2.56%
Ex Date: 2022-05-09

Amount: $0.004000

Yield: 2.56%

Pay Date: 2022-06-22

Details: Declared Rate: SGD 0.004 per security/unit

2021 — Total Amount: $0.008000 | Total Yield: 5.21%
Ex Date: 2021-08-25

Amount: $0.004000

Yield: 2.55%

Pay Date: 2021-10-07

Details: Declared Rate: SGD 0.004 per security/unit

Ex Date: 2021-04-27

Amount: $0.004000

Yield: 2.67%

Pay Date: 2021-06-10

Details: Declared Rate: SGD 0.004 per security/unit

2020 — Total Amount: $0.009000 | Total Yield: 6.42%
Ex Date: 2020-08-25

Amount: $0.004000

Yield: 2.90%

Pay Date: 2020-10-07

Details: Declared Rate: SGD 0.004 per security/unit

Ex Date: 2020-06-24

Amount: $0.005000

Yield: 3.52%

Pay Date: 2020-08-05

Details: Declared Rate: SGD 0.005 per security/unit

2019 — Total Amount: $0.010000 | Total Yield: 7.30%
Ex Date: 2019-08-23

Amount: $0.005000

Yield: 3.62%

Pay Date: 2019-10-10

Details: Declared Rate: SGD 0.005 per security/unit

Ex Date: 2019-05-02

Amount: $0.005000

Yield: 3.68%

Pay Date: 2019-06-21

Details: Declared Rate: SGD 0.005 per security/unit

2018 — Total Amount: $0.000000 | Total Yield: 0.00%
Ex Date: 2018-08-24

Amount: -

Yield: -

Pay Date: 2018-10-12

Details: SGD 0.005 ONE-TIER TAX



📅 SGX Earnings Announcements for B73


Date of Broadcast Title Financial Year Ended
2025-08-14 17:40 Half Yearly Results 2025/06/30
2025-07-24 17:47 Notification of Results Release 2025/06/30
2025-02-25 17:13 Full Yearly Results 2024/12/31
2025-02-10 17:23 Notification of Results Release 2024/12/31
2024-08-13 17:24 Half Yearly Results 2024/06/30
2024-08-06 17:25 Notification of Results Release 2024/06/30
2024-02-22 17:37 Full Yearly Results 2023/12/31
2024-02-14 17:31 Notification of Results Release 2023/12/31



Global Investments Limited (B73)

Market: SGX | Currency: SGD

Address: 80 Raffles Place

Global Investments Limited is an open ended balanced mutual fund launched and managed by Singapore Consortium Investment Management Limited. The fund invests in the public equity and fixed income markets across the globe. It invests in stocks of companies operating across diversified sectors. The fund invests primarily in operating lease assets, loan portfolio and securitization assets, and alternative assets. It was formerly known as Babcock & Brown Global Investments Ltd. Global Investments Limited was formed on April 24, 2006 and is domiciled in Singapore.




📈 Global Investments Limited Historical Chart




🧾 Recent Financial Statement Analysis


🔎 View more in SGX corporate News 🔎 View more in SGX Financial statements




📰 Related News & Research


Showing results matched by any of: B73, Global Investments Limited, Global Inv, GINV SP, GLOBAL INVESTMENTS LTD, GLOBAL INVESTMENTS

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