Rp1160.00
Rp0.00 (0.00%)
End-of-day quote: 05/18/2024
IDX:CTRA

PT Ciputra Development Tbk Annual Report

Year Year 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006
Rev. Revenue
Rp9.13T Rp9.73T Rp8.07T Rp7.61T Rp7.67T Rp6.44T Rp6.74T Rp7.51T Rp6.34T Rp5.08T Rp3.32T Rp2.18T Rp1.69T Rp1.33T Rp1.30T Rp1.35T Rp1.19T
GM % Gross Margin %
49.71% 49.45% 50.77% 49.61% 47.10% 46.33% 48.64% 49.38% 52.30% 50.01% 50.16% 47.88% 43.40% 44.98% 45.96% 43.76% 44.43%
OM Operating Margin
33.51% 34.11% 32.61% 28.74% 28.03% 25.08% 27.46% 32.15% 35.45% 32.64% 29.24% 24.55% 21.91% 21.30% 22.33% 24.67% 24.08%
EPS Earnings Per Share
Rp0.00 Rp94.38 Rp101.00 Rp94.00 Rp71.00 Rp62.00 Rp64.00 Rp48.00 Rp56.00 Rp83.48 Rp85.54 Rp62.92 Rp38.34 Rp20.65 Rp16.71 Rp9.83 Rp13.27 Rp10.81 Rp13.39
Div. Dividends
Rp12.28 Rp14.00 Rp8.50 Rp10.00 Rp9.50 Rp9.50 Rp6.75 Rp8.20 Rp18.68 Rp11.80 Rp11.80 Rp5.90 Rp0.00 Rp0.00 Rp0.00 Rp0.00 Rp0.00
PR % Payout Ratio %
12.16% 14.89% 11.97% 16.13% 14.84% 19.79% 12.05% 9.82% 21.84% 18.75% 30.78% 28.57% 0.00% 0.00% 0.00% 0.00% 0.00%
Sha. Shares
18535.7m 18535.7m 18535.7m 18535.7m 18535.69m 18535.69m 15425.29m 15425.89m 15425.9m 15425.9m 15425.9m 15425.9m 15425.9m 15425.9m 13338.39m 13305.53m 12957.74m
OCF Operating Cash Flow
Rp3.76T Rp3.65T Rp1.21T Rp979.83B Rp1.04T Rp549.29B Rp41.06B Rp1.35T Rp1.85T Rp2.74T Rp1.73T Rp879.73B Rp611.52B Rp332.47B Rp498.52B Rp178.03B Rp11.08B
FCF Free Cash Flow
Rp3.10T Rp2.89T Rp469.67B Rp-56124.00M Rp-174966.00M Rp-1384651.00M Rp-898096.00M Rp618.39B Rp1.35T Rp-1260315.58M Rp119.20B Rp-491804.33M Rp-10071.75M Rp-28852.76M Rp193.67B Rp82.95B Rp-35810.47M
FCFS Free Cash Flow Per Share
Rp194.41 Rp190.70 Rp59.06 Rp44.80 Rp47.25 Rp13.68 Rp-9.14 Rp27.06 Rp64.45 Rp137.55 Rp7.73 Rp-32.35 Rp-0.51 Rp-2.09 Rp14.52 Rp6.36 Rp-5.08