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Tat Seng Packaging Group Ltd

T12Packaging Manufacturing

Tat Seng Packaging Group Ltd, together with its subsidiaries, designs, manufactures, and sells corrugated paper products and other packaging products in Singapore and the People's Republic of China. The company offers regular slotted carton boxes, die-cut carton boxes, offset-printed boxes, corrugated partition pads/layer pads, corrugated boards, and heavy duty corrugated products. It also provides other packaging-related or customized products, such as tapes, stretch films, foams, and edge board protectors; and paper pallets for storage and transport requirements. In addition, the company serves multi-national corporations and local manufacturers in the food and beverage, electronics and electrical, pharmaceutical and chemical, plastic and metal stamping, and other exporting related industries. The company was formerly known as Tat Seng Paper Containers Pte Ltd. and changed its name to Tat Seng Packaging Group Ltd in 2001. Tat Seng Packaging Group Ltd was founded in 1968 and is based in Singapore. The company operates as a subsidiary of PSC Corporation Ltd.

Price
S$0.915
Official · 04 Sept 2026
P/E
8.81x
Calculated from official data · 04 Sept 2026
Dividend Yield (2026 YTD)
43.72%
Calculated from official data · 04 Sept 2026
P/B
0.68x
Calculated from third-party data · 19 Aug 2026
ROE
8.16%
Official · 31 Dec 2025
Earnings and balance-sheet figures as reported for FY2025
EPS Growth
-13.46%
Official · 31 Dec 2025
Market Cap
S$0.14B
Calculated from official data · 04 Sept 2026
NAV/Share
S$1.346
Third-party · 19 Aug 2026

Each figure shows where it came from. How we source our numbers →

That yield comes from an unusually large one-off payout, not a recurring rate. See the payout history below.

Dividends

No upcoming ex-date announced yet.

2026 dividends: S$0.4 per security · indicative yield 43.72% at S$0.915 last.

Pays Semi-annual · 5 years of dividends on record, from 2022 onwards.

Full dividend history

Ex-DateAmount / Security
15 Sept 2026S$0.01
29 May 2026S$0.39
30 Oct 2025S$0.01
15 May 2025S$0.03
05 Sept 2024S$0.03
09 May 2024S$0.02
13 Sept 2023S$0.025
11 May 2023S$0.025

Dividends by year

YearTotal / SecurityYield*
2026S$0.443.72%
2025S$0.044.37%
2024S$0.055.46%
2023S$0.055.46%
2022S$0.044.37%

*Yield uses the current last price (S$0.915) against each year's total — indicative only.

See the full dividend calendar →

Earnings

No earnings data yet for this counter.

Announcements & news

Added via FTSE ST All-Share expansion research. Had a trading halt in Aug 2025; resumed trading by Dec 2025. Fundamentals not yet researched.

Price synced from SGX. Other figures carry their own source and date above. How we source our numbers