OMH Chart
About

Ohmyhome Limited operates as a data and technology-driven property technology company in Singapore and Malaysia. It operates in two segments, the Brokerage, Emerging, and Another Related Service; and the Estate Management Services and Other Related Services. The company operates Ohmyhome, a property platform that provides end-to-end property solutions and services. It also offers brokerage, property management, and emerging and other services, such as listing and research services, mortgage referral services, legal services, insurance referral, and renovation and home services comprising air conditioning, cleaning, painting, handyman, moving, and relocation services. It also engages in the design, build, and project management of interior decoration projects for residential and commercial units. Ohmyhome Limited was founded in 2016 and is based in Singapore.

Fundamentals
Scroll to Statements
Sector Real Estate Industry Real Estate Services Market Cap 36.70M
Enterprise Value 30.38M Income -4.41M Sales 13.07M
Book/sh 0.26 Cash/sh 0.25 Dividend Yield —
Payout 0.00% Employees 108 IPO —
P/E — Forward P/E -15.38 PEG —
P/S 2.81 P/B 5.45 P/C —
EV/EBITDA -11.99 EV/Sales 2.32 Quick Ratio 2.31
Current Ratio 2.40 Debt/Eq 6.02 LT Debt/Eq —
EPS (ttm) -1.34 EPS next Y -0.09 EPS Growth —
Revenue Growth 48.90% Earnings 2026-04-29 ROA -16.40%
ROE -59.67% ROIC — Gross Margin 36.93%
Oper. Margin -17.92% Profit Margin -33.71% Shs Outstand 25.66M
Shs Float 24.69M Short Float 0.79% Short Ratio 0.16
Short Interest — 52W High 4.33 52W Low 0.25
Beta -0.23 Avg Volume 486.64K Volume 9.02K
Target Price — Recom None Prev Close $1.40
Price $1.43 Change 2.14%
Valuation Models

Price estimates from analyst targets and simple models.

1. Analyst consensus
—
Mean price target
2. Current target
$1.43
Latest analyst target
3. DCF / Fair value
$0.13
Simplified: (Free Cash Flow ÷ Shares) × 18 (P/FCF multiple). Not a …
Ratings
Current target
$1.43
Low
—
High
—
Mean
—

Latest analyst rating changes

Date Action Analyst Rating Change Price Target
2025-06-16 down Maxim Group Buy → Hold —
2024-09-27 main Maxim Group Buy → Buy $2
2024-03-21 init Maxim Group — → Buy $3
Insider Transactions

No recent insider transactions.

Financials
Line Item2024-12-312023-12-312022-12-312021-12-31
TaxEffectOfUnusualItems0.000.000.000.00
TaxRateForCalcs0.000.000.000.00
NormalizedEBITDA-3.17M-5.26M-2.66M-1.60M
TotalUnusualItems-157.88K264.37K-55.63K-3.06K
TotalUnusualItemsExcludingGoodwill-157.88K264.37K-55.63K-3.06K
NetIncomeFromContinuingOperationNetMinorityInterest-4.34M-5.47M-3.05M-1.82M
ReconciledDepreciation994.78K485.69K323.41K239.19K
ReconciledCostOfRevenue6.49M3.26M4.71M2.00M
EBITDA-3.32M-5.00M-2.71M-1.60M
EBIT-4.32M-5.48M-3.03M-1.84M
NetInterestIncome37.54K74.33K-35.17K-39.66K
InterestExpense38.52K31.70K39.15K49.93K
InterestIncome76.05K106.02K3.98K10.26K
NormalizedIncome-4.18M-5.73M-3.00M-1.82M
NetIncomeFromContinuingAndDiscontinuedOperation-4.34M-5.47M-3.05M-1.82M
TotalExpenses15.18M10.86M10.01M6.23M
TotalOperatingIncomeAsReported-4.38M-5.34M-3.23M-2.34M
DilutedAverageShares2.12M1.91M1.62M
BasicAverageShares2.12M1.91M1.62M
DilutedEPS-2.60-1.60-1.12
BasicEPS-2.60-1.60-1.12
DilutedNIAvailtoComStockholders-4.34M-5.47M-3.05M-1.82M
NetIncomeCommonStockholders-4.34M-5.47M-3.05M-1.82M
NetIncome-4.34M-5.47M-3.05M-1.82M
MinorityInterests26.80K46.49K21.04K68.47K
NetIncomeIncludingNoncontrollingInterests-4.36M-5.52M-3.07M-1.89M
NetIncomeContinuousOperations-4.36M-5.52M-3.07M-1.89M
TaxProvision0.000.000.000.00
PretaxIncome-4.36M-5.52M-3.07M-1.89M
OtherIncomeExpense-105.47K264.37K-55.60K-1.94K
OtherNonOperatingIncomeExpenses52.41K25.001.12K
SpecialIncomeCharges-113.71K0.00
ImpairmentOfCapitalAssets113.71K0.00
GainOnSaleOfSecurity-44.17K264.37K-55.63K-3.06K
NetNonOperatingInterestIncomeExpense37.54K74.33K-35.17K-39.66K
InterestExpenseNonOperating38.52K31.70K39.15K49.93K
InterestIncomeNonOperating76.05K106.02K3.98K10.26K
OperatingIncome-4.29M-5.85M-2.98M-1.85M
OperatingExpense8.70M7.57M5.30M4.24M
OtherOperatingExpenses-68.11K-25.77K-248.07K-492.40K
ProvisionForDoubtfulAccounts50.95K7.62K16.68K23.21K
DepreciationAmortizationDepletionIncomeStatement1.00M463.14K323.41K239.19K
DepreciationAndAmortizationInIncomeStatement1.00M463.14K323.41K239.19K
DepreciationIncomeStatement1.00M463.14K323.41K239.19K
ResearchAndDevelopment1.27M1.30M1.77M1.45M
SellingGeneralAndAdministration6.45M5.82M3.44M3.28M
SellingAndMarketingExpense1.06M911.05K1.04M1.72M
GeneralAndAdministrativeExpense5.40M4.91M2.40M1.56M
OtherGandA1.30M1.54M565.97K1.56M
SalariesAndWages4.10M3.37M1.84M0.00
GrossProfit4.41M1.72M2.32M2.39M
CostOfRevenue6.48M3.28M4.71M2.00M
TotalRevenue10.89M5.00M7.03M4.38M
OperatingRevenue10.89M5.00M7.03M4.38M
Line Item2023-12-31
TreasurySharesNumber0.00
OrdinarySharesNumber2.36M1.92M1.91M1.91M
ShareIssued2.36M1.92M1.91M1.91M
NetDebt365.95K2.77M
TotalDebt774.85K1.01M3.84M1.17M
TangibleBookValue2.14M-740.11K-1.78M1.25M
InvestedCapital7.43M5.01M1.29M2.34M
WorkingCapital-152.26K-1.73M-2.83M1.45M
NetTangibleAssets2.14M-740.11K-1.78M1.25M
CapitalLeaseObligations121.41K455.69K763.83K79.14K
CommonStockEquity6.77M4.45M-1.78M1.25M
TotalCapitalization7.19M4.68M-1.31M2.04M
TotalEquityGrossMinorityInterest6.30M4.00M-2.18M864.78K
MinorityInterest-475.14K-448.33K-401.84K-380.80K
StockholdersEquity6.77M4.45M-1.78M1.25M
OtherEquityInterest537.76K537.76K
GainsLossesNotAffectingRetainedEarnings96.42K-34.10K36.15K10.00K
OtherEquityAdjustments96.42K-34.10K36.15K10.00K
RetainedEarnings-22.94M-18.60M-13.13M-10.08M
AdditionalPaidInCapital29.04M22.52M11.29M11.29M
CapitalStock32.23K25.93K21.97K21.97K
CommonStock32.23K25.93K21.97K21.97K
TotalLiabilitiesNetMinorityInterest4.50M6.30M4.35M1.63M
TotalNonCurrentLiabilitiesNetMinorityInterest2.39M3.58M920.31K790.62K
TradeandOtherPayablesNonCurrent1.98M3.24M0.000.00
LongTermDebtAndCapitalLeaseObligation414.92K338.94K920.31K790.62K
LongTermCapitalLeaseObligation0.00112.71K444.57K0.00
LongTermDebt414.92K226.23K475.74K790.62K
CurrentLiabilities2.11M2.72M3.43M839.16K
OtherCurrentLiabilities-1.00
CurrentDeferredLiabilities0.00103.66K194.30K78.34K
CurrentDeferredRevenue0.00103.66K194.30K78.34K
CurrentDebtAndCapitalLeaseObligation359.93K674.51K2.92M378.68K
CurrentCapitalLeaseObligation121.41K342.98K319.25K79.14K
CurrentDebt238.52K331.53K2.60M299.54K
OtherCurrentBorrowings238.52K331.53K2.60M299.54K
PayablesAndAccruedExpenses1.75M1.94M322.03K382.13K
CurrentAccruedExpenses1.21M810.50K86.51K134.69K
Payables530.70K1.13M235.52K247.44K
OtherPayable76.00K596.76K142.69K82.61K
TotalTaxPayable111.11K86.79K25.10K67.35K
AccountsPayable343.60K449.03K67.73K97.49K
TotalAssets10.80M10.30M2.17M2.49M
TotalNonCurrentAssets8.84M9.31M1.57M203.40K
NonCurrentPrepaidAssets4.04M3.48M98.72K75.62K
NonCurrentDeferredAssets0.00114.79K676.32K0.00
GoodwillAndOtherIntangibleAssets4.63M5.19M0.000.00
OtherIntangibleAssets2.42M2.98M
Goodwill2.21M2.21M0.000.00
NetPPE171.54K521.00K790.21K127.78K
AccumulatedDepreciation-366.25K-309.96K-275.51K-245.56K
GrossPPE537.79K830.96K1.07M373.34K
Leases11.10K10.26K9.73K9.73K
OtherProperties107.84K442.73K754.85K77.79K
MachineryFurnitureEquipment418.85K377.97K301.14K285.81K
Properties0.000.000.000.00
CurrentAssets1.95M993.09K603.54K2.29M
OtherCurrentAssets28.46K8.42K6.61K4.29K
PrepaidAssets264.64K211.98K51.77K61.81K
Receivables514.18K580.89K243.72K1.00M
DuefromRelatedPartiesCurrent870.73K
LoansReceivable0.000.00870.73K
AccountsReceivable514.18K580.89K243.72K133.39K
AllowanceForDoubtfulAccountsReceivable-60.36K-9.80K-9.10K-23.21K
GrossAccountsReceivable574.54K590.69K252.82K156.60K
CashCashEquivalentsAndShortTermInvestments1.15M191.81K301.43K1.22M
CashAndCashEquivalents1.15M191.81K301.43K1.22M
Line Item2024-12-312023-12-312022-12-312021-12-31
FreeCashFlow-3.24M-5.64M-3.12M-1.85M
RepaymentOfDebt-987.72K-315.26K-308.46K-299.54K
IssuanceOfDebt427.22K2.29M0.00
IssuanceOfCapitalStock5.69M11.16M0.004.71M
CapitalExpenditure-213.91K-787.62K-15.33K-42.31K
InterestPaidSupplementalData38.52K30.26K39.15K49.93K
IncomeTaxPaidSupplementalData0.000.000.000.00
EndCashPosition1.15M191.81K301.43K1.22M
BeginningCashPosition191.81K301.43K1.22M166.59K
EffectOfExchangeRateChanges130.51K-70.25K26.16K5.88K
ChangesInCash823.51K-39.37K-945.65K1.05M
FinancingCashFlow5.12M9.35M1.31M3.77M
CashFlowFromContinuingFinancingActivities5.12M9.35M1.31M3.77M
NetOtherFinancingCharges-1.50M1.61M-636.90K
NetCommonStockIssuance5.69M11.16M0.004.71M
CommonStockIssuance5.69M11.16M0.004.71M
NetIssuancePaymentsOfDebt-560.50K-315.26K-308.46K-936.44K
NetShortTermDebtIssuance-2.29M2.29M-636.90K
ShortTermDebtPayments0.00-636.90K
ShortTermDebtIssuance2.29M0.00
NetLongTermDebtIssuance-560.50K-315.26K-308.46K-299.54K
LongTermDebtPayments-987.72K-315.26K-308.46K-299.54K
LongTermDebtIssuance427.22K0.000.00
InvestingCashFlow-1.28M-4.53M855.40K-913.04K
CashFlowFromContinuingInvestingActivities-1.28M-4.53M855.40K-913.04K
NetOtherInvestingChanges870.73K-870.73K
NetBusinessPurchaseAndSale-1.06M-3.75M0.000.00
PurchaseOfBusiness-1.06M-3.75M0.000.00
NetIntangiblesPurchaseAndSale-186.86K-737.20K0.000.00
PurchaseOfIntangibles-186.86K-737.20K0.000.00
NetPPEPurchaseAndSale-27.05K-50.41K-15.33K-42.31K
PurchaseOfPPE-27.05K-50.41K-15.33K-42.31K
OperatingCashFlow-3.02M-4.85M-3.11M-1.81M
CashFlowFromContinuingOperatingActivities-3.02M-4.85M-3.11M-1.81M
ChangeInWorkingCapital162.05K-288.66K-372.37K-181.19K
ChangeInOtherWorkingCapital-103.66K-171.98K115.96K70.35K
ChangeInOtherCurrentLiabilities-334.28K-323.38K-285.84K-248.28K
ChangeInOtherCurrentAssets158.80K41.43K-2.33K24.67K
ChangeInPayablesAndAccruedExpense484.80K463.45K-60.11K-108.28K
ChangeInAccruedExpense539.33K167.41K11.90K130.53K
ChangeInPayable-54.53K296.04K-72.00K-238.82K
ChangeInAccountPayable-79.19K294.50K-29.76K-255.39K
ChangeInTaxPayable24.66K1.54K-42.25K16.57K
ChangeInIncomeTaxPayable24.66K1.54K-42.25K16.57K
ChangeInPrepaidAssets-33.13K-143.67K-13.06K-18.95K
ChangeInReceivables-10.48K-154.51K-127.00K99.31K
ChangesInAccountReceivables-10.48K-154.51K-127.00K99.31K
OtherNonCashItems-76.05K-81.57K
StockBasedCompensation93.39K537.76K0.000.00
ProvisionandWriteOffofAssets50.95K7.62K16.68K23.21K
AssetImpairmentCharge113.71K0.000.00
DepreciationAmortizationDepletion994.78K485.69K323.41K239.19K
DepreciationAndAmortization994.78K485.69K323.41K239.19K
AmortizationCashFlow629.21K123.85K0.000.00
AmortizationOfIntangibles629.21K123.85K0.000.00
Depreciation365.57K361.84K323.41K239.19K
OperatingGainsLosses453.00
GainLossOnSaleOfPPE0.00453.000.000.00
NetIncomeFromContinuingOperations-4.36M-5.52M-3.07M-1.89M
SEC Filings

No SEC filings found for this symbol (may be non-US or ticker not in SEC index).

Public Trades for OMH
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