PT Jaya Real Property, Tbk. financials at a glance

Year Year 2004 2006 2007 2008 2009 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019 2020 2021 2005 2022 2023 2024
Rev. Revenue
Rp241.02B Rp408.22B Rp527.36B Rp648.57B Rp662.06B Rp773.53B Rp893.17B Rp1.10T Rp1.32T Rp1.94T Rp2.15T Rp2.38T Rp2.41T Rp2.33T Rp2.42T Rp2.18T Rp2.17T Rp346.51B Rp2.26T Rp2.50T Rp0.00M
GM % Gross Margin %
43.33% 44.98% 44.32% 48.46% 53.56% 54.20% 54.66% 54.91% 60.02% 54.22% 58.73% 60.34% 61.44% 58.45% 57.36% 52.76% 51.60% 46.84% 57.19% 58.15% 0.00%
OM Operating Margin
26.29% 30.27% 28.52% 33.19% 34.95% 36.41% 38.85% 40.08% 44.13% 41.10% 44.34% 46.71% 52.13% 47.89% 44.28% 39.91% 38.63% 30.98% 42.70% 44.25% 0.00%
EPS Earnings Per Share
Rp5.50 Rp6.12 Rp8.01 Rp26.23 Rp32.36 Rp41.45 Rp64.93 Rp75.05 Rp82.05 Rp75.14 Rp73.95 Rp74.40 Rp70.89 Rp65.17 Rp65.17 Rp0.00
Div. Dividends
Rp0.00 Rp1.40 Rp1.80 Rp0.00 Rp0.00 Rp0.00 Rp0.00 Rp8.60 Rp13.50 Rp0.00 Rp0.00 Rp21.44 Rp24.00 Rp26.00 Rp24.00 Rp22.00 Rp22.00 Rp1.00 Rp19.50 Rp19.50 Rp0.00
PR % Payout Ratio %
0.00% 22.88% 22.47% 0 0 0 0 26.58% 32.57% 0 0 28.57% 29.25% 34.60% 32.45% 29.57% 31.03% 18.18% 29.92% 29.92% 0
Sha. Shares
11,750m 13,750m 13,750m 13,750m 13467.59m 13,200m 13,200m 13,200m 13742.54m 13166.53m 13449.2m 13469.2m 13,750m 13,750m 13,750m 13636.85m 13377.01m 0m 13168.12m 0m 12910.72m
OCF Operating Cash Flow
Rp70.60B Rp8.88B Rp90.14B Rp45.76B Rp377.49B Rp658.11B Rp311.72B Rp283.29B Rp352.18B Rp113.99B Rp101.80B Rp474.99B Rp587.56B Rp1.02T Rp437.03B Rp629.71B Rp858.45B Rp84.07B Rp990.44B Rp918.05B Rp0.00M
FCF Free Cash Flow
Rp67.75B Rp2.98B Rp85.04B Rp-12489.00M Rp292.95B Rp647.85B Rp278.32B Rp205.70B Rp344.97B Rp101.32B Rp50.96B Rp462.78B Rp544.07B Rp949.62B Rp283.81B Rp602.75B Rp673.97B Rp77.56B Rp779.07B Rp731.09B Rp0.00M
FCFS Free Cash Flow Per Share
Rp5.77 Rp0.22 Rp6.18 Rp-0.91 Rp21.87 Rp49.07 Rp21.08 Rp15.58 Rp26.14 Rp7.69 Rp3.79 Rp34.38 Rp40.26 Rp73.19 Rp29.89 Rp48.55 Rp77.77 Rp6.35 Rp72.03 Rp56.32 Rp0.00