Ohmyhome Ltd (OMH)

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CIK 0001944902 · Nasdaq · Real Estate Agents & Managers (For Others)

  • Sector Finance & Real Estate
  • Incorporated E9
  • Fiscal year ends Dec 31

In fiscal 2025, Ohmyhome Ltd reported revenue of 12.24M SGD, up 12.5% from the prior year. The company ran a net loss, with a net margin of -75.2% and a gross margin of 31.9%. It held 9.15M SGD in total assets against 4.86M SGD in total liabilities.

Key ratios (FY2025)

31.9%
Gross margin
-75.7%
Operating margin
-75.2%
Net margin
-214.4%
Return on equity
+12.5%
Revenue growth (YoY)
Metric (FY)2025202420232022202120202019
Revenue12.24M SGD10.89M SGD5.00M SGD7.03M SGD4.38M SGD3.34M SGD
Cost of Revenue8.33M SGD6.48M SGD3.28M SGD4.71M SGD2.00M SGD1.97M SGD
Gross Profit3.91M SGD4.41M SGD1.72M SGD2.32M SGD2.39M SGD1.37M SGD
Operating Income-9.27M SGD-4.38M SGD-5.34M SGD-3.23M SGD-2.34M SGD-2.64M SGD
Net Income-9.20M SGD-4.34M SGD-5.47M SGD-3.05M SGD-1.82M SGD-1.94M SGD
EPS (Diluted)-0.19 SGD-0.31 SGD-0.19 SGD-0.12 SGD-0.13 SGD
Total Assets9.15M SGD10.80M SGD10.30M SGD2.17M SGD2.49M SGD
Total Liabilities4.86M SGD4.50M SGD6.30M SGD4.35M SGD1.63M SGD
Shareholders' Equity4.29M SGD6.30M SGD4.00M SGD-2.18M SGD864.8K SGD-1.96M SGD-363.9K SGD
Cash & Equivalents4.59M SGD1.15M SGD191.8K SGD301.4K SGD1.22M SGD
Operating Cash Flow-4.23M SGD-3.02M SGD-4.85M SGD-3.11M SGD-1.81M SGD-1.60M SGD
Capital Expenditures91.9K SGD27.0K SGD50.4K SGD15.3K SGD42.3K SGD23.7K SGD
Shares Outstanding2.36M1.92M19.22M16.25M16.25M