symbol-DIF

DIF DIGITAL TELECOMMUNICATIONS INFRASTRUCTURE FUND

DIF
DIGITAL TELECOMMUNICATIONS INFRASTRUCTURE FUND
10.10
0.00 (0.00%)
High10.20
Low10.00
Total Vol19,759,900
Total Val(K)199,472.00
Description
We own or are entitled to the net revenues generated from a portfolio of 16,059 telecommunications towers comprising 15,617 towers owned by the Fund (comprising True Tower Assets and TUC Towers for Additional Investment No. 2, No.3 No. 4 including the towers for which the Fund accepted the transfer of ownership from BFKT and AWC on August 4, 2025 pursuant to the Asset and Revenue Sale and Transfer Agreement. As a result, the Fund has the remaining towers under the right to receive net revenue at 50 towers from BFKT and 392 towers from AWC. Additionally, the Fund also invested in the ownership of FOC and Upcountry Broadband System

Overview


  • SymbolDIF
  • Market Cap (M.Bath)107,379.70
  • IPO Date27 Dec 2013
  • IPO Price10.00 @Par Value 10.00 Baht
  • CEO-
  • Employees-
  • IndustryTECH
  • SectorICT
  • Index-
  • SET ESG Ratings-

สรุปภาพรวมตลาด

DIGITAL TELECOMMUNICATIONS INFRASTRUCTURE FUND
Websitewww.digital-tif.com
Address7-8th Floor, SCB Park Plaza 1, 18 Ratchadapisek Rd., Chatuchak Bangkok 10900
Telephone0-2949-1500
Fax0-2949-1501

Detail of Security

MarketSET
First Trade Date27 Dec 2013
IndustryTECH
SectorICT
Foreign Limit (%)49.00 (Date 19 Jun 2026)
Foreign Ownership Limit Remaining (shares)4,397,920,330
Free Float (%)79.42
Par Value10.00
ISIN Number
Local : TH5097010000
Foreign : TH5097010018
Dividend PolicyDIF has a policy to pay dividend distributions to Unitholders at least twice a year if the Fund has sufficient earnings. 1) If the Fund has a net profit in a given year and does not have accumulated losses, it must pay, in aggregate, not less than 90 percent (or any other percentage as may be permitted by the Securities Law from time to time) of its adjusted net profit for the year as dividend distributions to Unitholders. The adjusted net profits mean the net profits deducted by the reserve`s cash, in accordance with the plan clearly specified in the Fund Scheme and the prospectus, annual information disclosure form, annual report or the notification given in advance by the Management Company to the Unitholders, for the following purposes: (a) Repair, maintenance, or improvement of the fund`s infrastructure assets. (b) Repayment of loans or settlement of obligations in accordance with the borrowing policy. (c) Payment of distribution to the preference Unitholders (if any). 2) Considering the dividends payment to the Unitholders, the management company must consider the necessity of maintaining the fund`s cash appropriately in accordance with the guideline of the Office of SEC 3) The management companies must not borrow money to pay dividends to unitholders. 4) If the fund has accumulated loss, the management company will not make any payment to unitholders. In the event where the management company cannot pay dividends according to (1) the fund supervisor and the management company must explain the reason of necessity to the SEC in accordance with the guideline of the SEC and disclose to unitholders of the fund in the Two-way Communication whether by meeting directly or by other ways.
Fiscal End31 Dec 2025
The person supervising accountingundefined undefined undefined (Start Date )
The person taking the highest responsibility in finance and accountingundefined undefined undefined (Start Date )
Capital Detail
Common Stock
Authorized Capital106,316,537,450
Paid-up Capital106,316,537,450
Preferred Shares
Authorized Capital-
Paid-up Capital-
Shares Detail
Common Stock
Listed Shares10,631,653,745
Paid-up Stock10,631,653,745Voting Right Ratio 1:1
Treasury Stock - : - - : -
Voting Stock minus Treasury Stock 31 May 2026 : 10,631,653,745 19 Jun 2026 : 10,631,653,745
Preferred Shares
Listed Shares-
Paid-up Stock-Voting Right Ratio -
Treasury Stock - : - - : -
Voting Stock minus Treasury Stock - : - - : -

Key Issues

Upcoming Event

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Relate Stock Sectors

Check out other big names from the same Sectors DIF

symbol-https://s3.efinancethai.com/symbols-logo/DIF.pngDIF
efin Focus Metrics
Quarter 1/2026
Z-Score
0.00
0.39
0.00
Monitor C-Score
0.00
0.00
0.00
ICR
0.00
2.45
0.00
DSCR
0.46
0.00
0.00
EV/EBITDA
7,312.36
29,421,791.00
0.00
FCF Yield
0.00
35.04
0.00
FCF/Net Income
0.00
0.00
0.00
Net Debt/EBITDA
2.60
0.00
0.00
ROIC
6.99
6.61
0.00
Valuation Metrics
Last Price
10.10
13.70
6.45
P/E
0.00
75.52
0.00
P/BV
0.00
6.03
0.00
Dividend Yield
0.00
2.15
0.00
Financial Strength
D/E
0.00
6.96
0.00
Current Ratio
0.00
0.44
0.00
Net Profit Margin
74.95
14.08
-143.51
ROE/ROA
1.26
3.60
1.17
Growth Metrics
Revenue Growth YoY
4.25
-9.27
-0.40
Revenue Growth 3Y
1.97
144.20
-29.46
Revenue Growth 3Y CAGR
0.65
34.66
-10.98
Revenue per Share
0.00
0.00
0.00
EPS Growth
0.00
281.38
0.00
EBITDA Growth
1,867.78
22.83
-44.55
5Y CAGR Total Return
3.12
0.00
-7.40
Market Cap (M.Bath)
0.00
497,550.25
0.00
Average Volume
106,084.08
1,664,826.96
82,304.04

efin Focus Metrics

Quarter 1/2026
Z-Score
Monitor C-Score
ICR
DSCR
EV/EBITDA
FCF Yield
FCF/Net Income
Net Debt/EBITDA
ROIC
Z-Score
xxx
xxx
xxx
Monitor C-Score
xxx
xxx
xxx
ICR
xxx
xxx
xxx
DSCR
xxx
xxx
xxx
EV/EBITDA
xxx
xxx
xxx
FCF Yield
xxx
xxx
xxx
FCF/Net Income
xxx
xxx
xxx
Net Debt/EBITDA
xxx
xxx
xxx
ROIC
xxx
xxx
xxx

Valuation Metrics

Last Price
10.10
13.70
6.45
P/E
0.00
75.52
0.00
P/BV
0.00
6.03
0.00
Dividend Yield
0.00
2.15
0.00

Financial Strength

D/E
0.00
6.96
0.00
Current Ratio
0.00
0.44
0.00
Net Profit Margin
74.95
14.08
-143.51
ROE/ROA
1.26
3.60
1.17

Growth Metrics

Revenue Growth YoY
4.25
-9.27
-0.40
Revenue Growth 3Y
1.97
144.20
-29.46
Revenue Growth 3Y CAGR
0.65
34.66
-10.98
Revenue per Share
0.00
0.00
0.00
EPS Growth
0.00
281.38
0.00
EBITDA Growth
1,867.78
22.83
-44.55
5Y CAGR Total Return
3.12
0.00
-7.40
Market Cap (M.Bath)
0.00
497,550.25
0.00
Average Volume
106,084.08
1,664,826.96
82,304.04
Note
  • Calculated using adjusted prices.
  • Data is shown and calculated based on consolidated financial statements, presented as year-to-date quarterly figures. (If consolidated statements are unavailable, company-only statements are used.)
  • Financial data is updated quarterly within 7 business days after new statements are released.
  • Financial statement data reflects what listed companies submit for each period. Users should review the full financial statements for details, as some companies may revise comparative figures in the latest full version.
  • The list of companies included in the SETESG Index is announced together with other indices, based on the latest SET ESG Ratings results. Source: www.set.or.th (Copyright @ The Stock Exchange of Thailand).