SIHL - Ticker AI Digest

Symphony International Holdings Ltd
0.43 | Today 9.14%
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SIHL Data 2026-04-21 Preview Mode

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SIHL 08:30
Symphony International Holdings Ltd
Annual Financial Report
AI Expand: Explanation + Tables
Return to todayโ€™s catalyst cards, chart beacons and AI charts.
Symphony International Holdings Limited (SIHL) released its 2025 annual financial report, highlighting a 0.40% increase in Net Asset Value (NAV) per share to US$0.8568, driven by real estate investments, partially offset by weaker lifestyle and healthcare segments. The company, listed on the London Stock Exchange, focuses on strategic investments in Asian businesses across healthcare, hospitality, lifestyle, logistics, new economy, and education sectors. SIHL announced a strategy to realize its diversified portfolio, selling smaller positions but facing delays in larger asset negotiations due to global uncertainties. The company exited investments in SolarSquare and Blowhorn, generating significant returns, and made partial exits in Isprava and MINT. Real estate investments, particularly in Thailand and India, contributed positively to NAV, while healthcare investments showed mixed results. SIHLs logistics and hospitality sectors also performed well, with ITL Corporation and Minor International demonstrating resilience and growth. The company remains cautiously optimistic about Asias growth prospects but acknowledges near-term challenges due to macro and geopolitical factors. SIHLs financial results for 2025 include a profit before income tax of US$2.025 million and a total comprehensive income of US$1.903 million. The companys NAV stood at US$439.83 million, with total assets of US$457.017 million and total liabilities of US$16.923 million. SIHLs investment segments include healthcare, hospitality, education, lifestyle, lifestyle/real estate, logistics, new economy, and cash/temporary investments, with a focus on maximizing shareholder value through disciplined exits and strategic investments.
YearNet Asset Value (US$ million)Debt (US$ million)Key Financials (US$ million)
2024438.0713.62Profit: 56.787, Revenue: 48.564
2025439.8311.13Profit: 1.903, Revenue: 12.536
**Year-on-Year Comparison:** - **Net Asset Value (NAV):** Increased slightly from US$438.07 million in 2024 to US$439.83 million in 2025, a 0.40% increase. - **Debt:** Decreased from US$13.62 million in 2024 to US$11.13 million in 2025. - **Profit:** Significantly decreased from US$56.787 million in 2024 to US$1.903 million in 2025. - **Revenue:** Decreased from US$48.564 million in 2024 to US$12.536 million in 2025.
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All Market News (Last 30 Days) 2
SIHL 08:30
Symphony International Holdings Ltd
Annual Financial Report
AI Expand: Explanation + Tables
Return to todayโ€™s catalyst cards, chart beacons and AI charts.
Symphony International Holdings Limited (SIHL) released its 2025 annual financial report, highlighting a 0.40% increase in Net Asset Value (NAV) per share to US$0.8568, driven by real estate investments, partially offset by weaker lifestyle and healthcare segments. The company, listed on the London Stock Exchange, focuses on strategic investments in Asian businesses across healthcare, hospitality, lifestyle, logistics, new economy, and education sectors. SIHL announced a strategy to realize its diversified portfolio, selling smaller positions but facing delays in larger asset negotiations due to global uncertainties. The company exited investments in SolarSquare and Blowhorn, generating significant returns, and made partial exits in Isprava and MINT. Real estate investments, particularly in Thailand and India, contributed positively to NAV, while healthcare investments showed mixed results. SIHLs logistics and hospitality sectors also performed well, with ITL Corporation and Minor International demonstrating resilience and growth. The company remains cautiously optimistic about Asias growth prospects but acknowledges near-term challenges due to macro and geopolitical factors. SIHLs financial results for 2025 include a profit before income tax of US$2.025 million and a total comprehensive income of US$1.903 million. The companys NAV stood at US$439.83 million, with total assets of US$457.017 million and total liabilities of US$16.923 million. SIHLs investment segments include healthcare, hospitality, education, lifestyle, lifestyle/real estate, logistics, new economy, and cash/temporary investments, with a focus on maximizing shareholder value through disciplined exits and strategic investments.
YearNet Asset Value (US$ million)Debt (US$ million)Key Financials (US$ million)
2024438.0713.62Profit: 56.787, Revenue: 48.564
2025439.8311.13Profit: 1.903, Revenue: 12.536
**Year-on-Year Comparison:** - **Net Asset Value (NAV):** Increased slightly from US$438.07 million in 2024 to US$439.83 million in 2025, a 0.40% increase. - **Debt:** Decreased from US$13.62 million in 2024 to US$11.13 million in 2025. - **Profit:** Significantly decreased from US$56.787 million in 2024 to US$1.903 million in 2025. - **Revenue:** Decreased from US$48.564 million in 2024 to US$12.536 million in 2025.
SIHL 08:23
Symphony International Holdings Ltd
Notice of AGM

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Fundamentals Matrix

Overall Fundamentals
Signal: Pending
Capital Strength
Signal: Pending
Float Liquidity
Signal: Pending
Short Pressure
Signal: Pending
Target Setup
Signal: Pending
Market Profile
Signal: Pending
Market Cap
22.1B
Enterprise Value
205.9M
Public Float
79.1
Broker Target
1.16
Shares Out
513.4M
Long Interest
100
Short Interest
0
Exchange
LSE
Currency Code
USD
ISIN
VGG548121059
Market
LSE - MAIN MARKET
Sector
Investment Banking and Brokerage Services
Float / Shares Ratio
-
Short vs Long Delta
-
EV / Market Cap
-

Financials Matrix

News And Alerts First

The alert tape opens the door for SIHL, and Financial Forecastist sits just below.

No same-day alert has printed on 2026-04-21 yet, but the latest digestion is pinned here first so the forecastist view below still opens with context instead of raw numbers.
Standby Alerts Data 2026-04-21 Forecastist Below
Read the alert tape first, then move into Financial Forecastist below. Use AI Expand on any catalyst card to open the AI explanation and results tables without losing the ticker context.
0 Alerts
Front Of Desk
The live alert stack is quiet right now, but the latest digestion is still parked at the top before the forecastist read below.
08:23 Latest Alert Notice of AGM
Overall Stability
Signal: Pending
Profitability
Signal: Pending
Debt & Cash
Signal: Pending
Valuation Risk
Signal: Pending
Forward Expectation
Signal: Pending
Dividend Safety
Signal: Pending
Divi Rate
-
Ex Divi
2023-07-06
Earnings Date
2026-04-02
Net Debt
11.0M
Cash
169.0K
EPS
-
Net Income
1.9M
Revenue
1.7M
Enterprise Value
205.9M
Trailing PE
-
Forward PE
-
Price Sales TTM
128.7898
Price Book MRQ
0.5028
EV Revenue
83.2327
EV EBITDA
-
Financial Forecastist

Worsening financial engine

Revenue is slipping -79.1% against the prior comparable period. Net margin is compressing by 216.1 pts. Net debt is coming down +220.5%.

Revenue -79.1% Net Income -54.3% FCF -44.2% Current Ratio 0.04x Forward Rev 0
Worsening
Quarter Revenue
2.5M
-79.1%
vs prior comparable quarter
Net Margin
-399.0%
-216.1 pts
profitability pulse
Free Cash Flow
-2.6M
-44.2%
cash conversion
Net Debt / EBITDA
-1.1x
-220.5%
lower is cleaner
Revenue Engine

Latest quarter printed 2.5M with the top line cooling off against the last comparable period.

Profit Stack

Net income landed at -10.0M and the margin profile is tightening. That usually tells us whether operating leverage is finally kicking in.

Balance-Sheet Pressure

Cash sits near 169.0K while net debt is 11.0M. The leverage stack is cleaning up.

Quarterly Revenue Runway

Actual revenue bars, consensus revenue where available, plus the terminal model path.

Profit And Cash Conversion

Net income and free cash flow moving together is usually what separates genuine improvement from noise.

Balance-Sheet Pressure

Cash, net debt and liquidity tell us whether the business is strengthening or just surviving.

Annual Power Curve

Longer-cycle revenue and net income help frame whether the company is compounding or rolling over.
Q1 2016
Consensus
0
Revenue Path
0.00
EPS / Earnings
Growth cue -
Q2 2016
Consensus
0
Revenue Path
0.00
EPS / Earnings
Growth cue -
FY 2016
Consensus
0
Revenue Path
0.00
EPS / Earnings
Growth cue -
FY 2017
Consensus
0
Revenue Path
0.00
EPS / Earnings
Growth cue -

Quarterly Statement Tape

Last 6 Quarters
Period Revenue Net Income FCF Net Debt
Q4 2025 2.5M -10.0M -2.6M 11.0M
Q2 2025 9.8M 11.9M -2.3M 13.0M
Q4 2024 48.5M 59.3M -3.8M -316.0K
Q2 2024 92.0K -2.5M -4.7M -1.0M
Q4 2023 12.0M -21.9M -4.7M -9.1M
Q2 2023 288.0K 513.4M -5.6M -16.8M

Annual Financial Power

Last 5 Years
Period Revenue Net Income EBITDA FCF
FY 2025 1.5M 1.9M 2.0M -4.6M
FY 2024 48.6M 56.8M 57.7M -8.3M
FY 2023 12.3M -102.2M -101.9M -10.3M
FY 2022 8.7M 7.6M 7.6M -11.4M
FY 2021 123.9M 122.5M 122.5M -6.6M

Structure DNA

Market Structure DNA

Balanced Structure profile with trend runway open

Price is 78.4% through the 52-week range, +2.7% vs 50DMA and +8.3% vs 200DMA. 45.5% of the register is locked by institutions and insiders, leaving 54.5% free float. Capital rhythm reads annual with forward yield near 0.0% and payout around 0.0%.

Trend runway open Institutional gravity Moderate income rhythm As Of 2026-04-19
Balanced Structure
Structure Score
64.5 / 100
Balanced Structure
Trend Stack
+2.7% / +8.3%
vs 50DMA / 200DMA
52W Position
78.4%
auction position inside the yearly range
Ownership Lock
45.5%
15.7% institutions | 29.8% insiders
Pressure Pocket
54.5% free float
Vendor short-float fields were not supplied
Capital Rhythm
Annual
Yield 0.0% | payout 0.0%
Trend Runway

Implied spot is 0.43 with the stock +2.7% vs 50DMA and +8.3% vs 200DMA. The tape is sitting 78.4% through the 52-week range, which frames the regime as trend runway open.

Ownership Register

Institutions hold about 15.7% and insiders about 29.8%, locking roughly 45.5% of the register and leaving 54.5% in free float. That reads as institutional gravity.

Pressure Pocket

The API did not return a usable short-float field for this ticker, so the pressure score leans more on float lock and crowding than a full short ledger.

Capital Rhythm

Dividend cadence reads annual with 1 event(s) in the last full year, a five-year average of 1.2, and stability score 80.0/100. Forward yield sits near 0.0% while payout is around 0.0%.

Structure Score

One-glance gauge for the current market-structure regime.

Pillar Radar

Trend, ownership, pressure, and capital rhythm mapped on one wheel.

Position And Float Balance

Shows whether the stock is extended, tightly held, or carrying capital-return support.

Dividend Cadence Tape

Historical dividend-event counts help reveal how dependable the income rhythm has been.

Dividend Cadence Ledger

Annual
Year Dividend Count Context
2023 1 Full year
2021 1 Full year
2019 1 Full year
2018 1 Full year
2017 2 Full year
2016 1 Full year
2015 1 Full year

Structure Facts

Live Snapshot
Implied Spot
0.43
derived from market cap / shares
52W High
0.47
upper auction edge
52W Low
0.30
lower auction edge
Beta
-0.43
volatility character
Shares Out
513.4M
fully diluted count
Shares Float
406.3M
tradable register
Shares Short
0
borrowed stock
Short Ratio
0.0x
days-to-cover style read
Ex-Dividend
2023-07-06
-1018 day(s) to ex-date
Dividend Pay
-
payment date not supplied
Last Split
-
split date not supplied

Capital Radar

Capital Regime
Building signal blend...
Smart Money Tilt
Public vs institutions
Target Conviction
Broker coverage pulse
Insider Pressure
Director + TR1 flow
Last Held Position
513366198
Public Hands
79.13699997832737
Institutions
-
Institutions As Of
-
Avg Broker Target
-
Upside Vs Price
-
Purchase Director Dealing
0
Sale Director Dealing
0
Purchase TR1
0
Sale TR1
0
Broker Coverage Rows
0
Institution Holders Tracked
0
Public Vs Institutional Ownership (3D)
Top Institution Holders (Latest Per Holder)
Director Dealing Sentiment Flow
Broker Target Bias
Signal: Pending
Capital Momentum Matrix
Broker Targets Vs Price
Aggregated Institution Weight By Holder

Short Data - Last 30 Days

Nexus Pulse Engine

Overall Buy/Sell/Hold
Signal: Pending
Technical Composite
Signal: Pending
Financial Composite
Signal: Pending
Fundamental Composite
Signal: Pending
Short Pressure
Signal: Pending
Momentum Bias
Signal: Pending

Volatility Lab

ATR(14)
Realized Vol (20d)
Volume Spike Z

AI Charts

News And Alerts First

Start with the latest alert tape for SIHL, then drop into AI Charts below.

No same-day headline has printed on 2026-04-21 yet, but the latest digestion is parked at the top before the chart workspace below so users can frame price, AI targets and structure from the latest tape.
Standby Tape Data 2026-04-21 AI Charts Below
Read the alert tape first, then move into AI Charts below. Use AI Expand on any catalyst card to open the AI explanation and results tables instantly.
0 Today
Catalyst Pulse
The live alert stack is quiet right now, but the latest digestion is still parked at the top before the chart read below.
08:23 Latest Tape Notice of AGM
AI Charts Studio
SIHL Price History
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30 Day View Window 30D Data 2026-04-21 Open Preview Studio Brief
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Indicators0
Technicals0
RSI Gauge
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