PT Pakuwon Jati Tbk financials at a glance

Year Year 2004 2005 2006 2007 2008 2009 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024
Rev. Revenue
Rp315.89B Rp357.66B Rp392.12B Rp444.38B Rp453.81B Rp697.39B Rp1.23T Rp1.48T Rp2.17T Rp3.03T Rp3.87T Rp4.63T Rp4.84T Rp5.75T Rp7.08T Rp7.20T Rp3.98T Rp5.71T Rp5.99T Rp6.20T Rp0.00M
GM % Gross Margin %
48.99% 50.62% 49.66% 54.32% 51.02% 38.68% 45.94% 50.35% 57.32% 58.78% 56.30% 58.34% 57.53% 59.10% 57.70% 56.88% 49.68% 49.14% 54.55% 55.57% 0.00%
OM Operating Margin
39.67% 44.32% 43.41% 42.35% 35.94% 29.40% 38.24% 42.23% 49.06% 49.90% 48.79% 48.96% 46.68% 48.61% 48.85% 47.92% 37.73% 39.73% 43.46% 42.90% 0.00%
EPS Earnings Per Share
Rp14.92 Rp23.52 Rp51.25 Rp34.00 Rp34.69 Rp41.69 Rp52.80 Rp56.47 Rp19.31 Rp30.44 Rp31.95 Rp43.71 Rp0.00
Div. Dividends
Rp0.00 Rp0.00 Rp0.00 Rp0.00 Rp0.00 Rp0.00 Rp0.00 Rp0.00 Rp1.45 Rp4.50 Rp4.50 Rp4.50 Rp4.50 Rp4.50 Rp6.00 Rp7.00 Rp5.27 Rp0.00 Rp4.00 Rp4.70 Rp0.00
PR % Payout Ratio %
0 0 0 0 0 0 0 0 9.72% 19.13% 8.78% 13.24% 12.97% 10.79% 11.36% 12.40% 27.29% 0.00% 12.52% 10.75% 0
Sha. Shares
10,920m 10,920m 40,133m 40,133m 40,133m 40,133m 40,133m 48159.6m 48159.6m 48159.6m 48159.6m 48159.6m 48159.6m 48159.6m 48159.6m 48159.6m 48159.6m 48159.6m 48159.6m 0m 48159.6m
OCF Operating Cash Flow
Rp152.23B Rp161.09B Rp176.17B Rp48.07B Rp134.27B Rp82.84B Rp512.90B Rp346.24B Rp1.37T Rp2.10T Rp1.99T Rp1.74T Rp1.32T Rp2.26T Rp2.36T Rp1.77T Rp1.42T Rp2.24T Rp2.72T Rp2.73T Rp0.00M
FCF Free Cash Flow
Rp134.66B Rp150.69B Rp138.70B Rp46.96B Rp0.00M Rp-189951.28M Rp25.93B Rp272.82B Rp1.06T Rp1.97T Rp902.59B Rp1.22T Rp188.30B Rp2.12T Rp1.61T Rp988.90B Rp1.21T Rp2.12T Rp1.88T Rp980.45B Rp0.00M
FCFS Free Cash Flow Per Share
Rp12.33 Rp13.80 Rp3.46 Rp1.17 Rp3.35 Rp-4.73 Rp0.65 Rp6.78 Rp22.10 Rp40.95 Rp36.83 Rp25.37 Rp22.31 Rp44.00 Rp45.97 Rp27.43 Rp25.07 Rp43.99 Rp52.40 Rp50.93 Rp0.00