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Market: Qatar Symbol: IGRD ISIN: QA0006UVF886 Industry: Industrials

Estithmar Holding is a dynamic group of companies offering reliable, sustainable and quality services to companies across a diverse range of sectors. From healthcare to services, ventures, contracting and industries, we relentlessly pursue excellence and innovation, increasing value to businesses who can advance that value to their end-users.

Our experts understand our clients' businesses, so we can create strategic, custom solutions that meet their industry needs. Estithmar Holding track record of success and past results assure our clients that they are in Holding The Future hands.

We provide long-lasting solutions for our clients by combining local knowledge with our global expertise. Estithmar Holding actively promotes the sustainable development of communities through its adherence to environmental, social and corporate governance.
Among all stakeholders, from shareholders to employees, and suppliers to the general public, we maintain a reputation of excellence.

Estithmar Holding is a consortium of professional service companies. Together with its 38,000 staff, Estithmar Holding assists clients to become industry leaders. Estithmar Holding is dedicated to providing comprehensive services, including project management, turn-key solutions, marine works, healthcare, and a wide range of industries. Estithmar Holding also contributes to the long-term progress of the communities it serves.

Share data 12/12/2024
Currency QAR Volume 6,882,470
Previous Close 1.805 Number of Shares (mil) 3,404.04
Change (%) 0.00 Market Cap (mil) 6,144.29
Key Figures (QR) 
Consolidated Balance Sheet 2021 2022 2023
Total assets 3,142,872,322 8,728,545,821 9,016,134,062
Total equity 767,638,464 4,459,626,690 4,803,578,200
Total liabilities 2,375,233,858 4,268,919,131 4,212,555,862
Consolidated Income Statement 2021* 2022 2023
Revenue 3,204,635,299 4,237,021,731 2,919,078,392
Gross profit 492,906,863 619,952,575 801,268,939
Profit for the year 325,559,407 325,047,714 352,265,483
Consolidated Cash Flow      
Net cash generated from operating activities (457,883,487) 493,268,561 188,986,472
Net cash used in investing activities (389,231,412) (1,132,983,508) (292,822,745)
Net cash generated from/ (used in) financing activities 687,788,259 965,627,751 129,949,148
Cash and cash equivalents at end of the year (159,326,640) 166,586,164 192,699,039
Key indicators      
Basic earnings per share for the year 0.125 0.107 0.102

* Period from November 03,2020 (Inception Date) to December 31, 2021