Rp141.00
Rp0.00 (0.00%)
End-of-day quote: 05/23/2024
IDX:SCMA

PT Surya Citra Media 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
Rp6.51T Rp7.13T Rp5.93T Rp5.10T Rp5.52T Rp5.28T Rp4.45T Rp4.52T Rp4.24T Rp4.08T Rp3.69T Rp3.28T Rp2.31T Rp1.93T Rp1.61T Rp1.72T Rp1.31T Rp1.20T Rp1.05T Rp985.02B
GM % Gross Margin %
33.14% 37.51% 50.90% 50.78% 48.03% 55.07% 58.68% 60.49% 63.81% 63.47% 62.42% 68.53% 69.20% 59.73% 51.84% 48.70% 50.36% 45.06% 49.05% 45.95%
OM Operating Margin
4.34% 14.22% 29.71% 28.95% 25.84% 34.87% 39.75% 44.28% 47.64% 47.45% 47.58% 49.98% 53.22% 39.15% 28.30% 24.29% 21.50% 15.71% 15.93% 17.40%
EPS Earnings Per Share
Rp0.00 Rp13.39 Rp13.39 Rp21.32 Rp16.20 Rp14.58 Rp20.31 Rp18.21 Rp20.53 Rp20.84 Rp19.88 Rp17.50 Rp18.80 Rp18.79 Rp10.92 Rp5.92 Rp4.32 Rp2.63 Rp1.51 Rp1.37 Rp1.14
Div. Dividends
Rp5.35 Rp5.35 Rp0.00 Rp0.00 Rp5.00 Rp10.20 Rp8.00 Rp16.60 Rp13.20 Rp14.00 Rp3.00 Rp9.60 Rp8.20 Rp11.40 Rp2.16 Rp1.92 Rp1.12 Rp2.33 Rp0.24 Rp0.20
PR % Payout Ratio %
39.96% 39.96% 0.00% 0.00% 34.29% 50.22% 43.93% 80.86% 63.34% 70.42% 17.14% 51.06% 43.64% 104.40% 36.49% 44.44% 42.59% 154.30% 17.52% 17.54%
Sha. Shares
63369.36m 63207.38m 63207.38m 63253.4m 14726.55m 14621.37m 14621.37m 14621.37m 14621.37m 14621.37m 14621.37m 9749.77m 9666.75m 9602.48m 9549.59m 9498.8m 9468.75m 9468.75m 9468.75m 9468.75m
OCF Operating Cash Flow
Rp1.40T Rp-462456.71M Rp1.32T Rp1.84T Rp1.19T Rp1.67T Rp1.25T Rp1.38T Rp1.51T Rp1.19T Rp1.25T Rp1.08T Rp927.82B Rp688.68B Rp383.00B Rp343.73B Rp142.12B Rp201.71B Rp96.18B Rp160.63B
FCF Free Cash Flow
Rp1.54T Rp615.43B Rp1.09T Rp1.71T Rp598.05B Rp1.42T Rp1.09T Rp1.36T Rp1.20T Rp1.03T Rp1.14T Rp775.38B Rp895.38B Rp666.61B Rp352.01B Rp208.73B Rp76.59B Rp171.56B Rp32.59B Rp115.54B
FCFS Free Cash Flow Per Share
Rp15.61 Rp-13.22 Rp16.96 Rp23.33 Rp40.50 Rp94.07 Rp73.70 Rp84.46 Rp82.05 Rp69.99 Rp76.88 Rp64.89 Rp92.87 Rp69.57 Rp36.49 Rp20.83 Rp8.09 Rp18.12 Rp3.44 Rp12.20