marketcaparena

OMH

Ohmyhome Ltd

Company overview

Market capitalization
—
Employees
150
Latest publication
2026-09-29
About Ohmyhome Ltd

Ohmyhome Limited operates as a data and technology-driven property technology company in Singapore and Malaysia. It operates through Brokerage, Emerging, and Another Related Service; Estate Management Services and Other Related Services; and Digital marketing services segments. 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 property-related 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. In addition, the company provides internet marketing services by providing content promotion services. Ohmyhome Limited was founded in 2016 and is based in Singapore.

Company website

Financial statements

Income Quarterly

Exact reported values; units shown beside each amount. Missing values are —.
MetricQ2 20232023-06-30 · SGDQ4 20222022-12-31 · SGDQ2 20222022-06-30 · SGDQ1 20222022-03-31 · SGDQ3 20212021-09-30 · SGDQ2 20212021-06-30 · SGDQ1 20212021-03-31 · SGDQ4 20202020-12-31 · SGD
Ebit-1,313,516SGD-1,045,390SGD-1,140,558SGD-570,280SGD-809,904SGD-724,264SGD-362,133SGD-1,033,698SGD
Net Income Applicable To Common Shares-1,237,428SGD-1,237,428SGD——————
Total Revenue——3,382,514SGD1,691,257SGD1,030,593SGD2,320,498SGD1,160,249SGD1,669,337SGD
Cost Of Revenue——1,856,142SGD928,071SGD531,281SGD933,060SGD466,530SGD983,561SGD
Gross Profit——1,526,372SGD763,186SGD499,312SGD1,387,438SGD693,719SGD685,777SGD
Research Development——857,584SGD428,792SGD364,987SGD719,090SGD359,546SGD769,826SGD
Selling General Administrative——806,158SGD403,079SGD431,066SGD701,468SGD350,734SGD685,688SGD
Selling And Marketing Expenses——1,003,188SGD501,595SGD513,163SGD691,144SGD345,572SGD384,952SGD
Total Operating Expenses——2,447,028SGD1,223,513SGD1,190,195SGD1,859,284SGD929,642SGD1,724,145SGD
Operating Income——-1,140,558SGD-570,280SGD-809,904SGD-724,264SGD-362,133SGD-1,321,358SGD
Income Before Tax——-935,412SGD-467,706SGD-699,927SGD-493,420SGD-246,711SGD-1,048,880SGD
Income Tax Expense——-15,998SGD-7,999SGD-17,091SGD-34,284SGD-17,143SGD-61,642SGD
Net Income——-919,414SGD-459,707SGD-682,836SGD-459,136SGD-229,568SGD-968,539SGD
Ebitda——-1,130,192SGD-565,096SGD-805,693SGD-719,802SGD-359,901SGD-868,889SGD
Depreciation And Amortization——10,366SGD5,184SGD4,211SGD4,462SGD2,232SGD164,809SGD
Total Other Income Expense Net——205,146SGD102,574SGD109,977SGD230,844SGD115,422SGD272,479SGD
Interest Expense———————15,182SGD
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Balance sheet Quarterly

Exact reported values; units shown beside each amount. Missing values are —.
MetricQ1 20262026-03-31 · SGDQ4 20252025-12-31 · SGDQ3 20252025-09-30 · SGDQ2 20252025-06-30 · SGDQ1 20252025-03-31 · SGDQ4 20242024-12-31 · SGDQ2 20242024-06-30 · SGDQ1 20242024-03-31 · SGD
Total Assets9,148,020SGD9,148,020SGD12,295,326SGD12,295,326SGD10,795,222SGD10,795,222SGD12,746,180SGD10,301,940SGD
Intangible Assets1,837,351SGD1,837,351SGD2,186,345SGD2,186,345SGD2,421,510SGD2,421,510SGD2,871,324SGD2,977,564SGD
Other Current Assets767,577SGD50,732SGD292,176SGD73,904SGD293,103SGD28,465SGD343,310SGD8,417SGD
Total Liab4,856,866SGD4,856,866SGD4,262,164SGD4,262,164SGD4,495,883SGD4,495,883SGD5,864,209SGD6,299,365SGD
Total Stockholder Equity4,801,781SGD4,801,781SGD8,526,811SGD8,526,811SGD6,774,477SGD6,774,477SGD7,331,691SGD4,450,910SGD
Other Current Liab1,787,502SGD—2,385,341SGD—1,477,849SGD—1,000,650SGD1,510,907SGD
Common Stock298,951SGD—342,051SGD—32,229SGD—30,901SGD25,926SGD
Retained Earnings-32,137,426SGD-32,137,426SGD-25,285,046SGD-25,285,046SGD-22,936,714SGD-22,936,714SGD-20,879,243SGD-18,601,243SGD
Good Will916,472SGD916,472SGD2,213,460SGD2,213,460SGD2,213,460SGD2,213,460SGD2,213,460SGD2,213,460SGD
Cash4,586,491SGD4,586,491SGD6,309,371SGD6,309,371SGD1,145,829SGD1,145,829SGD2,444,346SGD191,807SGD
Cash And Short Term Investments4,586,491SGD—6,309,371SGD—1,145,829SGD—2,444,346SGD191,807SGD
Total Current Assets6,092,486SGD6,092,486SGD7,611,645SGD7,611,645SGD1,953,108SGD1,953,108SGD3,347,892SGD993,089SGD
Total Current Liabilities4,856,866SGD4,856,866SGD3,167,056SGD3,167,056SGD2,105,372SGD2,105,372SGD2,135,248SGD2,721,237SGD
Current Deferred Revenue24,386SGD—————90,271SGD103,655SGD
Net Debt-2,846,585SGD—-5,825,821SGD—-370,983SGD—-1,329,151SGD821,639SGD
Short Term Debt1,739,906SGD—73,242SGD—359,928SGD—625,427SGD674,511SGD
Short Long Term Debt Total1,739,906SGD—483,550SGD—774,846SGD—1,115,195SGD1,013,446SGD
Net Receivables738,418SGD738,418SGD1,010,098SGD1,010,098SGD514,176SGD514,176SGD560,236SGD580,889SGD
Accounts Payable1,156,144SGD1,156,144SGD708,473SGD708,473SGD343,597SGD343,597SGD347,684SGD449,031SGD
Property Plant Equipment Net64,908SGD64,908SGD113,672SGD113,672SGD171,539SGD171,539SGD367,721SGD521,000SGD
Accumulated Other Comprehensive Income-241,129SGD—37,223SGD—96,416SGD—431,153SGD-34,099SGD
Common Stock Shares Outstanding25,660,978shares23,101,131shares25,660,978shares25,660,978shares21,864,942shares2,359,030shares21,864,942shares16,671,244shares
Non Current Assets Total3,055,534SGD3,055,534SGD4,683,681SGD4,683,681SGD8,842,114SGD8,842,114SGD9,398,288SGD9,308,851SGD
Non Current Liabilities Total2,423,402SGD0SGD1,095,108SGD1,095,108SGD2,390,511SGD2,390,511SGD3,728,961SGD3,578,128SGD
Non Currrent Assets Other236,803SGD—170,204SGD—4,035,605SGD—3,945,783SGD3,596,826SGD
Unclassified Non Current Liabilities2,423,402SGD—1,095,108SGD—2,390,511SGD1,975,593SGD3,250,312SGD3,578,128SGD
Unclassified Equity36,881,385SGD36,640,256SGD33,432,583SGD33,469,806SGD29,582,546SGD29,678,962SGD27,717,979SGD23,060,326SGD
Capital Stock—298,951SGD—342,051SGD—32,229SGD30,901SGD—
Short Long Term Debt—1,729,482SGD—73,242SGD—238,521SGD344,835SGD—
Property Plant Equipment Gross—567,775SGD—561,371SGD—537,787SGD685,309SGD—
Net Working Capital—1,235,620SGD—4,444,589SGD—-152,264SGD1,212,644SGD—
Unclassified Current Liabilities—1,971,240SGD—2,385,341SGD—1,523,254SGD——
Long Term Debt———410,308SGD—414,918SGD478,649SGD—
Unclassified Non Current Assets—————4,035,605SGD——
Inventory——————332,277SGD211,976SGD
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Balance sheet Yearly

Exact reported values; units shown beside each amount. Missing values are —.
MetricFY 20252025-12-31 · SGDFY 20242024-12-31 · SGDFY 20232023-12-31 · SGDFY 20222022-12-31 · SGDFY 20212021-12-31 · SGDFY 20202020-12-31 · SGD
Total Assets9,148,020SGD10,795,222SGD10,301,940SGD2,168,790SGD2,494,553SGD654,225SGD
Intangible Assets1,837,351SGD2,421,510SGD2,977,564SGD———
Other Current Assets767,577SGD293,103SGD220,393SGD6,613SGD936,829SGD28,959SGD
Total Liab4,856,866SGD4,495,883SGD6,299,365SGD4,351,898SGD1,629,776SGD2,612,053SGD
Total Stockholder Equity4,801,781SGD6,774,477SGD4,450,910SGD-1,781,267SGD1,245,577SGD-1,645,495SGD
Other Current Liab1,787,502SGD2,570,205SGD1,407,252SGD396,981SGD445,590SGD151,920SGD
Common Stock298,951SGD32,229SGD25,926SGD21,970SGD21,970SGD21,970SGD
Capital Stock298,951SGD32,229SGD25,926SGD21,970SGD21,970SGD21,970SGD
Retained Earnings-32,137,426SGD-22,936,714SGD-18,601,243SGD-13,131,513SGD-10,078,513SGD-8,253,705SGD
Good Will916,472SGD2,213,460SGD2,213,460SGD0SGD0SGD—
Cash4,586,491SGD1,145,829SGD191,807SGD301,433SGD1,220,931SGD166,592SGD
Cash And Short Term Investments4,586,491SGD1,145,829SGD191,807SGD301,433SGD1,220,931SGD166,592SGD
Total Current Assets6,092,486SGD1,953,108SGD993,089SGD603,536SGD2,291,154SGD462,380SGD
Total Current Liabilities4,856,866SGD2,105,372SGD2,721,237SGD3,431,590SGD839,156SGD1,521,890SGD
Current Deferred Revenue24,386SGD—103,655SGD194,300SGD78,340SGD7,995SGD
Net Debt-2,846,585SGD-370,983SGD821,639SGD3,534,139SGD-51,628SGD1,947,048SGD
Short Term Debt1,739,906SGD359,928SGD674,511SGD2,915,264SGD378,683SGD1,023,477SGD
Short Long Term Debt1,729,482SGD238,521SGD331,528SGD2,596,009SGD299,543SGD936,441SGD
Short Long Term Debt Total1,739,906SGD774,846SGD1,013,446SGD3,835,572SGD1,169,303SGD2,113,640SGD
Net Receivables738,418SGD514,176SGD580,889SGD243,716SGD1,004,122SGD255,913SGD
Accounts Payable1,156,144SGD343,597SGD449,031SGD67,730SGD97,488SGD352,878SGD
Property Plant Equipment Net64,908SGD171,539SGD521,000SGD790,214SGD127,777SGD84,275SGD
Property Plant Equipment Gross567,775SGD537,787SGD830,960SGD790,214SGD373,336SGD316,948SGD
Accumulated Other Comprehensive Income-241,129SGD96,416SGD-34,099SGD36,153SGD9,997SGD4,117SGD
Common Stock Shares Outstanding25,660,978shares21,864,942shares19,268,093shares19,050,000shares16,250,000shares16,250,000shares
Non Current Assets Total3,055,534SGD8,842,114SGD9,308,851SGD1,565,254SGD203,399SGD191,845SGD
Non Current Liabilities Total2,423,402SGD2,390,511SGD3,578,128SGD920,308SGD790,620SGD1,090,163SGD
Non Currrent Assets Other236,803SGD4,035,605SGD3,596,826SGD775,040SGD75,622SGD107,570SGD
Net Working Capital1,235,620SGD-152,264SGD-1,728,148SGD-2,828,054SGD1,451,998SGD-1,059,510SGD
Unclassified Current Liabilities-1,580,554SGD-1,406,879SGD—-2,738,694SGD——
Unclassified Non Current Liabilities2,423,402SGD1,975,593SGD3,351,901SGD———
Unclassified Equity36,582,434SGD29,550,317SGD23,034,400SGD11,270,153SGD11,270,153SGD6,560,153SGD
Long Term Debt—414,918SGD226,227SGD475,737SGD790,620SGD1,090,163SGD
Inventory——211,976SGD51,774SGD61,814SGD10,916SGD
Other Assets————75,622SGD107,570SGD
Net Tangible Assets————1,245,577SGD-1,645,495SGD
SourceLegacy providerLegacyLegacy providerLegacyLegacy providerLegacyLegacy providerLegacyLegacy providerLegacyLegacy providerLegacy

Cash flow Quarterly

Exact reported values; units shown beside each amount. Missing values are —.
MetricQ1 20262026-03-31 · SGDQ3 20252025-09-30 · SGDQ1 20252025-03-31 · SGDQ2 20242024-06-30 · SGDQ1 20242024-03-31 · SGDQ4 20232023-12-31 · SGDQ3 20232023-09-30 · SGDQ2 20232023-06-30 · SGD
Net Income-4,240,467SGD-1,272,967SGD-2,084,274SGD-2,278,000SGD-2,994,874SGD-1,497,437SGD-2,474,856SGD-1,237,428SGD
Depreciation145,535SGD400,554SGD557,492SGD437,288SGD303,154SGD—182,532SGD91,266SGD
Other Non Cash Items2,810,289SGD20,161SGD219,867SGD-131,266SGD118,494SGD—-114,426SGD—
Change To Account Receivables172,371SGD-326,076SGD-31,131SGD20,654SGD-174,284SGD—19,774SGD9,887SGD
Change In Working Capital-890,100SGD477,434SGD223,239SGD-61,186SGD-273,070SGD—-139,650SGD-27,569SGD
Total Cash From Operating Activities-2,174,743SGD-374,818SGD-990,287SGD-2,033,164SGD-2,308,540SGD—-2,546,400SGD-1,273,200SGD
Capital Expenditures-22,403SGD-77,812SGD-197,804SGD-16,104SGD-47,536SGD0SGD-2,880SGD-1,440SGD
Free Cash Flow-2,152,340SGD-452,630SGD-1,188,091SGD-2,049,268SGD-2,356,076SGD—-2,549,280SGD—
Total Cashflows From Investing Activities7,899SGD-99,345SGD-634,096SGD-643,580SGD-4,247,160SGD—-287,430SGD-143,715SGD
Total Cash From Financing Activities1,352,150SGD3,566,616SGD132,254SGD4,992,380SGD501,980SGD—8,848,176SGD4,424,088SGD
Change In Cash-1,109,348SGD3,882,874SGD19,560SGD1,126,269SGD-3,078,190SGD—3,023,377SGD3,023,377SGD
Begin Period Cash Flow3,882,874SGD1,145,829SGD1,126,269SGD1,126,269SGD3,023,377SGD3,023,377SGD—3,023,377SGD
End Period Cash Flow2,773,526SGD3,882,874SGD1,145,829SGD1,126,269SGD-3,078,190SGD3,023,377SGD3,023,377SGD—
Other Cashflows From Investing Activities42,028SGD-36,360SGD-27,501SGD-159,360SGD-452,652SGD—-284,550SGD—
Other Cashflows From Financing Activities1,547,095SGD-1SGD-4,992,380SGD4,992,380SGD637,130SGD—8,848,176SGD—
Unclassified Financing Cash Flow—3,566,617SGD5,124,634SGD————5,647,938SGD
Stock Based Compensation——93,389SGD—537,756SGD—268,878SGD—
Sale Purchase Of Stock————-135,150SGD—-67,575SGD—
Unclassified Investing Cash Flow————-3,746,972SGD———
Change To Liabilities———————-37,456SGD
Net Borrowings———————-1,223,850SGD
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Cash flow Yearly

Exact reported values; units shown beside each amount. Missing values are —.
MetricFY 20252025-12-31 · SGDFY 20242024-12-31 · SGDFY 20232023-12-31 · SGDFY 20222022-12-31 · SGDFY 20212021-12-31 · SGDFY 20202020-12-31 · SGD
Net Income-9,236,201SGD-4,362,274SGD-5,469,730SGD-3,074,041SGD-1,893,275SGD-2,097,759SGD
Depreciation923,244SGD994,780SGD485,685SGD323,413SGD239,186SGD329,618SGD
Stock Based Compensation32,477SGD93,389SGD537,756SGD0SGD0SGD—
Other Non Cash Items4,735,933SGD88,601SGD-119,990SGD16,683SGD23,210SGD3,712SGD
Change To Account Receivables-254,958SGD-10,477SGD-154,509SGD-127,005SGD99,310SGD163,862SGD
Change In Working Capital-684,507SGD162,053SGD-288,660SGD-372,372SGD-181,185SGD165,602SGD
Total Cash From Operating Activities-4,229,054SGD-3,023,451SGD-4,854,939SGD-3,106,317SGD-1,812,064SGD-1,598,827SGD
Capital Expenditures-186,543SGD-213,908SGD-787,618SGD-15,327SGD-42,308SGD-23,737SGD
Free Cash Flow-4,415,597SGD-3,237,359SGD-5,642,557SGD-3,121,644SGD-1,854,372SGD-1,622,564SGD
Total Cashflows From Investing Activities-151,685SGD-1,277,676SGD-4,534,590SGD855,401SGD-913,036SGD-23,737SGD
Net Borrowings-649,572SGD-560,500SGD-315,263SGD-308,461SGD-936,441SGD1,420,002SGD
Total Cash From Financing Activities8,158,946SGD5,124,634SGD9,350,155SGD1,305,262SGD3,773,559SGD1,420,002SGD
Issuance Of Capital Stock6,242,291SGD5,685,134SGD11,160,724SGD0SGD4,710,000SGD0SGD
Change In Cash3,440,662SGD954,022SGD-109,626SGD-919,498SGD1,054,339SGD-198,708SGD
Begin Period Cash Flow1,145,829SGD191,807SGD301,433SGD1,220,931SGD166,592SGD365,300SGD
End Period Cash Flow4,586,491SGD1,145,829SGD191,807SGD301,433SGD1,220,931SGD166,592SGD
Other Cashflows From Investing Activities-94,630SGD-186,861SGD-737,203SGD870,728SGD-870,728SGD-870,728SGD
Other Cashflows From Financing Activities2,566,227SGD-1SGD794,738SGD-676,321SGD-636,898SGD-23,737SGD
Investments—-1,277,676SGD-4,534,590SGD855,401SGD-913,036SGD-23,737SGD
Unclassified Investing Cash Flow——1,524,821SGD———
Unclassified Financing Cash Flow——-2,290,044SGD2,290,044SGD——
Change To Inventory———-331,569SGD-95,451SGD-273,868SGD
Change To Liabilities———115,960SGD-185,044SGD275,608SGD
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Operating metrics

No operating metrics are currently published for this company.

Revenue breakdown

No revenue breakdown is currently published for this company.

Periods follow company fiscal calendars. Quarterly, annual and year-to-date amounts are shown separately. Missing values are not zero. Data may be delayed, incomplete or corrected; follow the disclosure links to verify figures.