Solowin Holdings (AXG) Long-Term Investments (2024 - 2025)

Solowin Holdings posted quarterly Long-Term Investments of $494000.0 for Q3 2025, up 117.62% year-on-year from $227000.0 in Q3 2024, and up 34.24% on a QoQ basis from $368000.0 in Q1 2025.

Solowin Holdings (AXG) has 2 years of Long-Term Investments data on file, last reported at $494000.0 in Q3 2025.

  • For the quarter ending Q3 2025, Long-Term Investments rose 117.62% year-over-year to $494000.0; the trailing twelve-month figure through Sep 2025 stood at $494000.0 (up 117.62% YoY), and the FY2025 full-year result was $368000.0, up 44.88% from the prior year.
  • Long-Term Investments for Q3 2025 stood at $494000.0, up from $368000.0 in the prior quarter.
  • Across five years, Long-Term Investments topped out at $494000.0 in Q3 2025 and bottomed at $227000.0 in Q3 2024.

Peer Comparison

# Company Market Cap Enterprise Value Gross Profit (Qtr) Long-Term Investments (Qtr)
1 Morgan Stanley 330.71 Bn 197.18 Bn - -
2 Goldman Sachs 318.59 Bn -618.96 Bn - 25.73 Bn
3 Schwab Charles 154.74 Bn 109.76 Bn - -
4 Robinhood Markets 81.79 Bn 77.15 Bn 960.00 Mn -
5 Interactive Brokers 39.54 Bn 50.13 Bn - -
6 Circle Internet 25.60 Bn 24.08 Bn 35.01 Mn 100.10 Mn
7 LPL Financial Holdings 22.12 Bn 21.10 Bn - -
8 Iren 21.58 Bn 19.37 Bn 144.76 Mn 192.00 Mn
9 Tradeweb Markets 21.29 Bn 20.04 Bn - 296.16 Mn
10 Solowin Holdings 55.68 Mn 41.10 Mn - 494,000.00

Historic Data

Download Data 🔒
DateValue
Sep 30, 2025 494,000.00
Mar 31, 2025 368,000.00
Sep 30, 2024 227,000.00
Mar 31, 2024 254,000.00