Sesaham

Impack Pratama Industri Tbk. - IMPC

IDR 342

PER 3.41
PBV 0.73
BV 470
ROE 21.32%
Current Ratio 2.38
DER 48.80%
Harga Wajar 1,030

PT Impack Pratama Industri Tbk, together with its subsidiaries, manufactures and distributes building materials and plastic products in Indonesia and internationally. The company offers various roofing products, including polycarbonate, vinyl and vinyl composite, uPVC, and fiber reinforced polyester products; aluminum composite panels; sealants and adhesives; packaging products; pipes; and polymer resins, as well as rigid PVC compounds under the POLYVIC and CRYSTAL brand names for use in blow molding, extrusion, and film and injection applications. It also develops and rents a business park in the Altira area. In addition, the company distributes plastic products, and adhesives materials or glue. PT Impack Pratama Industri Tbk was incorporated in 1981 and is headquartered in Jakarta, Indonesia.

Overview

Financial Report

: Sun, 30 Jun 2024 00:00:00 GMT

Jumlah saham

: 4.83M lembar

Market Cap

: 1.65T

Ekuitas

: 2.27T

Assets

: 3.60T

Free Cash Flow

: 201.10M

Key Valuation

PER

: 3.41

PBV

: 0.73

EPS

: 100

Rasio Profitabilitas

Net Profit Margin

: 16.68%

Return on Assets

: 13.47%

Return on Equity

: 21.32%

Rasio Likuiditas

DER

: 48.80%

Current Ratio

: 2.38%

Screening

Bukan saham teknologi

Termasuk saham di sektor Perindustrian

1

Revenue lebih dari 175M

Revenue 2,904,596,544,084

1

Current Ratio lebih dari 2

Perbandingan CR 2.38

1

Utang Jangka Panjang : Net Current Assets kurang dari 1

Perbandingan 0.21

1

Price to Earning Ratio

PER bagus : 3.41

1

PER * PBV kurang dari 22

Perkalian PER & PBV = 2.48

1

DER kurang dari 100%

Rasio hutang jangka panjang : = 48.80%

1

F-Score : 7

Piotroski F-Score

Net Income bernilai positif

Perusahaan berhasil memperoleh laba.

1

Operating Cash Flow

Operating Cash Flow bernilai positif

1

ROA 2

ROA tahun ini lebih besar dari tahun sebelumnya

1

Quality of Earning

Operating Cash Flow lebih besar daripada Net Income
551,180,079,262 vs 484,624,048,163

1

Long Term Debt vs Assets

Rasio lebih rendah dibanding tahun lalu

0.06177 (2023) vs 0.11136 (2022)

0

Laporan Laba Rugi Tahun 2019-2024

Tahun TTM 2023 2022 2021 2020 2019 2018
Revenue 2,904,596,544,084 2,860,388,195,952 2,808,698,656,787 2,227,367,211,794 1,797,514,877,242 1,495,759,701,262 1,395,298,815,177
Gross Profit 1,208,045,296,286 1,176,110,794,799 978,765,386,265 799,814,973,728 651,186,095,216 484,755,727,745 401,253,606,938
Operating Income 640,096,498,957 606,136,113,801 446,832,449,566 309,104,398,735 237,889,668,414 206,087,745,870 153,309,441,314
Net Income 484,624,048,163 430,520,760,860 307,414,788,044 192,069,764,836 125,060,624,062 103,701,431,423 86,440,795,418

Neraca Keuangan

Tahun 2023 2022 2021 2020 2019 2018
Total Asset 3,597,041,437,692 3,435,475,875,401 2,858,166,022,131 2,697,100,062,756 2,501,132,856,219 2,370,198,817,803
Aset Lancar 1,821,897,744,941 1,754,894,947,354 1,383,431,547,987 1,261,952,159,927 1,174,699,544,323 1,220,137,554,014
Total Liabilitas 1,109,391,606,073 1,210,746,099,447 1,169,803,527,245 1,231,192,233,990 1,092,845,023,431 997,975,486,781
Liabilitas Lancar 764,205,726,663 716,738,190,188 639,768,354,487 608,353,619,395 479,079,545,266 342,328,901,816
Long Term Debt 222,190,200,029 382,561,201,961 417,647,615,956 444,198,558,595 450,846,177,690 531,301,179,454
Total Equitas 2,273,215,130,443 2,007,954,842,670 1,476,724,264,828 1,247,377,193,334 1,177,809,636,517 1,115,808,312,757
Working Capital 1,057,692,018,278 1,038,156,757,166 743,663,193,500 653,598,540,532 0 0

Arus Kas

Tahun TTM 2023 2022 2021 2020 2019 2018
Kas dari Aktivitas Operasi 551,180,079,262 579,069,868,368 228,972,246,510 245,457,033,236 226,954,878,020 136,558,916,453 43,232,569,972
Kas dari Aktivitas Investasi -353,043,402,345 -244,867,677,212 -257,895,661,340 -149,453,579,965 -114,743,716,877 -145,690,340,108 -75,527,956,045
Kas dari Aktivitas Pembiayaan -266,302,209,857 -284,841,959,847 129,964,124,059 -223,075,249,154 -82,837,068,522 -50,408,087,927 -44,504,956,921
Arus Kas Bebas 201,098,537,756 271,947,536,865 15,602,209,430 95,582,269,904 96,697,137,537 0 0