Rp1580.00
Rp0.00 (0.00%)
End-of-day quote: 05/17/2024
IDX:AKRA

PT AKR Corporindo Tbk Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005
Rev. Revenue
Rp42.09T Rp47.54T Rp25.71T Rp17.72T Rp21.70T Rp23.55T Rp18.29T Rp15.21T Rp19.76T Rp22.47T Rp22.34T Rp21.67T Rp18.81T Rp10.32T Rp8.96T Rp9.48T Rp5.89T Rp3.97T Rp2.83T
GM % Gross Margin %
10.61% 8.92% 8.89% 11.52% 8.68% 6.58% 10.19% 12.30% 11.18% 7.66% 6.08% 5.79% 5.56% 5.83% 10.58% 11.02% 12.58% 11.38% 14.09%
OM Operating Margin
8.41% 6.58% 5.63% 6.82% 5.03% 4.11% 6.04% 7.52% 7.22% 4.85% 3.69% 3.94% 3.50% 2.70% 6.03% 6.58% 6.68% 5.08% 6.80%
EPS Earnings Per Share
Rp0.00 Rp140.87 Rp121.77 Rp56.32 Rp46.71 Rp35.88 Rp35.77 Rp45.17 Rp50.85 Rp52.39 Rp41.43 Rp33.27 Rp33.47 Rp30.35 Rp16.57 Rp17.51 Rp13.42 Rp12.25 Rp8.20 Rp7.65
Div. Dividends
Rp71.24 Rp50.10 Rp29.00 Rp10.00 Rp22.00 Rp48.00 Rp40.00 Rp24.00 Rp16.00 Rp13.00 Rp13.00 Rp13.00 Rp45.00 Rp6.00 Rp5.00 Rp7.80 Rp2.60 Rp2.40 Rp1.60
PR % Payout Ratio %
50.57% 41.14% 51.49% 21.41% 61.32% 134.19% 88.55% 47.20% 30.54% 31.38% 39.07% 38.84% 148.27% 36.21% 28.56% 58.12% 21.22% 29.27% 20.92%
Sha. Shares
19737.17m 19737.17m 19737.17m 19737.17m 4014.69m 4014.69m 4006.33m 3991.78m 3949.03m 3913.64m 3880.73m 3851.44m 3821.99m 3792.94m 3138.29m 3125.4m 3,120m 3,120m 3,120m
OCF Operating Cash Flow
Rp3.50T Rp2.63T Rp2.94T Rp1.07T Rp687.98B Rp-448864.03M Rp664.62B Rp651.62B Rp981.43B Rp2.08T Rp-1925193.42M Rp-570304.98M Rp932.42B Rp427.92B Rp671.15B Rp117.37B Rp220.43B Rp237.28B Rp60.05B
FCF Free Cash Flow
Rp5.44T Rp2.34T Rp2.70T Rp725.96B Rp-119497.22M Rp-834677.78M Rp1.52T Rp-5967.41M Rp708.16B Rp1.55T Rp-2698763.40M Rp-794120.67M Rp541.59B Rp-63180.07M Rp-172560.68M Rp-772193.28M Rp-208678.19M Rp7.29B Rp-68086.02M
FCFS Free Cash Flow Per Share
Rp144.57 Rp118.49 Rp136.94 Rp36.66 Rp-30.04 Rp-420.03 Rp7.30 Rp-1.50 Rp180.01 Rp385.96 Rp-696.72 Rp-311.19 Rp141.98 Rp-16.92 Rp-53.95 Rp-247.18 Rp-66.88 Rp2.34 Rp-21.82