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SSTRT.BK Current Ratio

The Current Ratio of Sub Sri Thai Real Estate Investment Trust (SSTRT.BK) is 1.64.

Current Ratio compares a firm's current assets to its current liabilities to assess short-term liquidity. A ratio above 1.0 typically indicates a strong ability to meet obligations.

SSTRT.BK Current Ratio - Historical Value
Date Value
2024-12-31 1.64
2023-12-31 1.63
2022-12-31 1.64
2021-12-31 1.65
2020-12-31 1.66
2019-12-31 0.58
2018-12-31 0.89
2017-12-31 1.99
SSTRT.BK Current Ratio - Peers Comparison
Ticker Name Value
POPF.BK Prime Office Leasehold Property Fund 1.07
TPRIME.BK Thailand Prime Property Freehold and Leasehold Real Estate Investment Trust 1.71
URBNPF.BK Urbana Property Fund Lease hold 242.67
CPTGF.BK CP Tower Growth Leasehold Property Fund 1.01
KPNPF.BK KPN Property Fund 3.47
GVREIT.BK Golden Ventures Leasehold Real Estate Investment Trust 0.23
LUXF.BK Luxury Real Estate Investment Fund 1.78
M-PAT.BK MFC Patong Heritage Property Fund 0.74
SHREIT.BK Strategic Hospitality Extendable Freehold and Leasehold Real Estate Investment Trust 0.08
TWRREIT.KL Tower Real Estate Investment Trust 2.38
B-WORK.BK Bualuang Office Leasehold Real Estate Investment Trust 0.94
CTARAF.BK Centara Hotels & Resorts Leasehold Property Fund 199.63
GAHREIT.BK Grande Hospitality Real Estate Investment Trust 1.01
SPRIME.BK S Prime Growth Leasehold REIT 0.48
QHPF.BK Quality Houses Leasehold Property Fund 0.36
TNPF.BK Trinity Freehold and Leasehold Property Fund 47.06
MNRF.BK Multi-National Residence Fund 0.98
RNY.AX RNY Property Trust 0.31
BKKCP.BK Bangkok Commercial Property Fund 0.31
ERWPF.BK Erawan Hotel Growth Property Fund 146.39
MNIT.BK MFC-Nichada Thani Property Fund 0.98
SSPF.BK Sala @ Sathorn Property Fund 4.56
WHABT.BK WHA Business Complex Freehold and Leasehold Real Estate Investment Trust 3.65
BOFFICE.BK Bhiraj Office Leasehold Real Estate Investment Trust 0.25
HPF.BK Hemaraj Industrial Property and Leasehold Fund 0.47
M-STOR.BK MFC Strategic Storage Fund 1.39
TU-PF.BK TU Dome Residential Complex Leasehold Property Fund 0.63