FINANCIAL HIGHLIGHTS
2019  
In Millions of Rupiah except for Earnings per Share
Information 2019
Consolidated Statement of Profit or Loss and Other Comprehensive Income
Net Sales 2.272.410
Gross Profit 792.858
Operating Profit 414.575
Profit for The Year 306.952
Total Comprehensive Income for The Year 306.757
Profit for the Year Attributable to Owners of the Parent 306.823
Profit for the Year Attributable to Non-controlling Interest 129
Total Comprehensive Income Attributable to Owners of the Parent 306.628
Total Comprehensive Income Attributable to Non-controlling Interest 129
Basic Earnings per Share Attributable to Owners of the Parent 102
Consolidated Statements of Financial Position
Total Assets 2.941.056
Total Liabilities 624.470
Total Equity 2.316.586
Ratio Analysis and Other Information
Return-on-Assets Ratio 0.10
Return-on-Equity Ratio 0,13
Return-on-Net Sales Ratio 0,13
Current Ratio 4,14
Debt-to-Equity Ratio 0,27
Debt-to-Assets Ratio 0,21
2018  
2017  
2016  
2015  
2014  
2013  
2012  
2011  
2010  
FINANCIAL HIGHLIGHTS
2019  
In Millions of Rupiah except for Earnings per Share
Information 2019
Consolidated Statement of Profit or Loss and Other Comprehensive Income
Net Sales 2.272.410
Gross Profit 792.858
Operating Profit 414.575
Profit for The Year 306.952
Total Comprehensive Income for The Year 306.757
Profit for the Year Attributable to Owners of the Parent 306.823
Profit for the Year Attributable to Non-controlling Interest 129
Total Comprehensive Income Attributable to Owners of the Parent 306.628
Total Comprehensive Income Attributable to Non-controlling Interest 129
Basic Earnings per Share Attributable to Owners of the Parent 102
Consolidated Statements of Financial Position
Total Assets 2.941.056
Total Liabilities 624.470
Total Equity 2.316.586
Ratio Analysis and Other Information
Return-on-Assets Ratio 0.10
Return-on-Equity Ratio 0,13
Return-on-Net Sales Ratio 0,13
Current Ratio 4,14
Debt-to-Equity Ratio 0,27
Debt-to-Assets Ratio 0,21
2018  
2017  
2016  
2015  
2014  
2013  
2012  
2011  
2010