PT Ramayana Lestari Sentosa 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
Rp3.80T Rp4.30T Rp4.48T Rp4.89T Rp5.53T Rp5.46T Rp6.06T Rp6.60T Rp7.45T Rp7.97T Rp5.86T Rp5.53T Rp5.86T Rp5.62T Rp5.74T Rp5.60T Rp2.53T Rp2.59T Rp3.00T Rp2.74T Rp0.00M
GM % Gross Margin %
27.03% 24.96% 26.31% 25.34% 25.85% 25.51% 25.84% 25.35% 24.97% 25.56% 32.86% 33.56% 34.75% 36.60% 40.60% 40.65% 37.07% 41.80% 45.74% 46.09% 0.00%
OM Operating Margin
8.62% 7.63% 8.03% 7.73% 7.80% 7.05% 6.16% 5.57% 5.66% 4.56% 4.71% 3.78% 5.75% 6.11% 10.11% 9.71% -10.01% -0.31% 10.19% 9.55% 0.00%
EPS Earnings Per Share
Rp43.06 Rp44.36 Rp51.83 Rp60.84 Rp47.39 Rp50.12 Rp53.21 Rp59.71 Rp55.04 Rp50.04 Rp47.94 Rp58.40 Rp59.00 Rp87.33 Rp96.12 Rp-20.60 Rp26.12 Rp56.17 Rp49.30 Rp0.00
Div. Dividends
Rp24.00 Rp30.00 Rp22.00 Rp22.00 Rp31.00 Rp25.00 Rp25.00 Rp30.00 Rp30.00 Rp27.50 Rp30.00 Rp30.00 Rp36.00 Rp36.00 Rp40.00 Rp50.00 Rp50.00 Rp23.51 Rp30.00 Rp37.33 Rp0.00
PR % Payout Ratio %
54.02% 69.67% 49.59% 42.45% 50.95% 52.75% 49.88% 56.38% 50.24% 49.96% 59.95% 62.58% 61.64% 61.02% 45.80% 52.02% -242.72% 90.01% 53.41% 75.72% 0
Sha. Shares
7,000m 7,032m 7,032m 7,064m 7,064m 7,064m 7,096m 7,096m 7,096m 7,096m 7,096m 7032.87m 6722.82m 6722.82m 6722.82m 6742.82m 6735.48m 6413.26m 6219.6m 0m 5931.26m
OCF Operating Cash Flow
Rp381.30B Rp78.17B Rp642.44B Rp537.62B Rp602.09B Rp484.49B Rp560.40B Rp792.29B Rp824.04B Rp831.28B Rp922.53B Rp658.17B Rp759.12B Rp851.58B Rp787.15B Rp1.08T Rp168.42B Rp449.58B Rp695.43B Rp650.76B Rp0.00M
FCF Free Cash Flow
Rp264.79B Rp-74815.00M Rp502.62B Rp381.71B Rp286.49B Rp271.29B Rp306.29B Rp629.09B Rp596.33B Rp234.00B Rp795.85B Rp512.73B Rp636.63B Rp711.44B Rp679.45B Rp942.36B Rp101.95B Rp390.71B Rp594.97B Rp95.00B Rp0.00M
FCFS Free Cash Flow Per Share
Rp37.83 Rp-11.82 Rp71.39 Rp54.04 Rp40.11 Rp24.10 Rp44.41 Rp88.68 Rp84.04 Rp77.38 Rp112.14 Rp72.69 Rp93.54 Rp103.72 Rp101.04 Rp139.21 Rp14.97 Rp59.82 Rp94.94 Rp79.02 Rp0.00