Rp1590.00
Rp0.00 (0.00%)
End-of-day quote: 05/23/2024
IDX:PGAS

PT Perusahaan Gas Negara Tbk Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004
Rev. Revenue
Rp3.65B Rp3.57B Rp3.04B Rp2.89B Rp3.85B Rp3.87B Rp3.57B Rp2.93B Rp3.07B Rp3.25B Rp3.00B Rp2.58B Rp2.23B Rp19.77T Rp18.02T Rp12.79T Rp8.80T Rp6.63T Rp5.43T Rp4.46T
GM % Gross Margin %
19.95% 21.76% 19.26% 27.57% 30.25% 32.77% 31.77% 28.89% 30.81% 38.74% 46.32% 56.20% 59.35% 62.91% 59.57% 58.78% 56.36% 57.01% 51.18% 46.63%
OM Operating Margin
14.19% 17.39% 16.51% 1.61% 11.21% 16.38% 14.22% 15.93% 20.16% 27.32% 31.10% 39.47% 40.27% 45.71% 42.59% 36.40% 35.01% 36.09% 28.57% 22.38%
EPS Earnings Per Share
Rp0.00 Rp0.01 Rp0.01 Rp0.01 Rp-0.01 Rp0.00 Rp0.01 Rp0.01 Rp0.01 Rp0.02 Rp0.03 Rp0.04 Rp0.04 Rp0.03 Rp0.03 Rp0.03 Rp0.00 Rp0.01 Rp0.01 Rp0.00 Rp0.00
Div. Dividends
Rp0.01 Rp0.01 Rp0.00 Rp0.00 Rp0.00 Rp0.00 Rp0.00 Rp0.01 Rp0.01 Rp0.02 Rp0.02 Rp0.02 Rp0.01 Rp0.02 Rp0.02 Rp0.00 Rp0.00 Rp0.00 Rp0.00 Rp0.00
PR % Payout Ratio %
100.00% 100.00% 0.00% -0.00% 0 0.00% 0.00% 100.00% 50.00% 66.67% 50.00% 50.00% 33.33% 66.67% 66.67% 0 0.00% 0.00% 0 0
Sha. Shares
24241.51m 24241.51m 24241.51m 24241.51m 24241.51m 24241.51m 24241.51m 24241.51m 24239.66m 24239.66m 24239.66m 24239.66m 24239.66m 24239.66m 24239.66m 22965.34m 22699.43m 22684.83m 22429.77m 21896.37m
OCF Operating Cash Flow
Rp723.69M Rp969.70M Rp582.71M Rp416.87M Rp817.89M Rp918.97M Rp728.62M Rp655.55M Rp528.44M Rp787.50M Rp828.88M Rp1.17B Rp947.27M Rp9.54T Rp6.95T Rp3.78T Rp2.93T Rp2.34T Rp1.61T Rp838.62B
FCF Free Cash Flow
Rp608.15M Rp401.67M Rp360.80M Rp133.96M Rp570.03M Rp550.82M Rp316.43M Rp206.07M Rp-84.03M Rp201.70M Rp408.19M Rp1.01B Rp834.32M Rp966.21M Rp5.15T Rp2.43T Rp415.88B Rp-2343030.61M Rp685.87B Rp86.22B
FCFS Free Cash Flow Per Share
Rp0.02 Rp0.03 Rp0.01 Rp0.01 Rp0.02 Rp0.02 Rp0.01 Rp0.01 Rp-0.02 Rp0.00 Rp0.02 Rp0.04 Rp0.04 Rp346.41 Rp216.69 Rp105.73 Rp18.32 Rp-103.60 Rp30.74 Rp3.99