Japfa Comfeed Indonesia Tbk. - JPFA
IDR 1,575
PT Japfa Comfeed Indonesia Tbk operates as an agri-food company. The company operates through six segments: Animal Feed, Poultry Breeding, Commercial Farm, Poultry Processing and Consumer Products, Aquaculture, and Trading and Others. It provides poultry feed, day old chick broilers/layers and pullets, commercial live broiler birds, and processed chicken products; and feed for fresh, brackish, and marine water fishes and shrimps. The company also operates cold storage and processing plants, as well as fish farming, and shrimp farming and hatcheries. In addition, it engages in commercial farming, and beef cattle breeding and cattle slaughtering activities. Further, the company provides woven plastic bags, copra pelletizing, animal vaccines, veterinary medicines and vitamins, and livestock equipment, as well as operates retail meat store. Additionally, it is involved in the real estate, plantation, general trading, marine transportation, and investment activities. The company markets its products in Indonesia, Asia, Europe, and the United States. The company was founded in 1971 and is headquartered in Jakarta, Indonesia. PT Japfa Comfeed Indonesia Tbk is a subsidiary of Japfa Ltd.
Sektor
Sub sektor
Industri
Sub Industri
Financial Report
: Sun, 30 Jun 2024 00:00:00 GMT
Jumlah saham
: 11.73M lembar
Market Cap
: 18.47T
Ekuitas
: 13.23T
Assets
: 34.11T
Free Cash Flow
: 1.76T
PER
: 7.94
PBV
: 1.40
EPS
: 198
Net Profit Margin
: 4.26%
Return on Assets
: 6.82%
Return on Equity
: 17.59%
DER
: 150.78%
Current Ratio
: 1.61%
Bukan saham teknologi
Termasuk saham di sektor Barang Konsumen Primer
1Revenue lebih dari 175M
Revenue 54,668,653,000,000
1Current Ratio kecil
Perbandingan CR 1.61
0Utang Jangka Panjang : Net Current Assets lebih dari 1
Perbandingan : 1.21
0Price to Earning Ratio
PER bagus : 7.94
1PER * PBV kurang dari 22
Perkalian PER & PBV = 11.08
1DER besar
Rasio hutang jangka panjang : = 150.78%
0F-Score : 4
Net Income bernilai positif
Perusahaan berhasil memperoleh laba.
1Operating Cash Flow
Operating Cash Flow bernilai positif
1ROA 2
ROA tahun ini lebih besar dari tahun sebelumnya
1Quality of Earning
Operating Cash Flow lebih besar daripada Net Income
3,865,377,000,000 vs 2,327,032,000,000
Long Term Debt vs Assets
Rasio lebih rendah dibanding tahun lalu
0.23239 (2023) vs 0.25788 (2022)
0Laporan Laba Rugi Tahun 2019-2024
Tahun | TTM | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 |
Revenue | 54,668,653,000,000 | 51,175,898,000,000 | 48,972,085,000,000 | 44,878,300,000,000 | 36,964,948,000,000 | 38,872,084,000,000 | 36,228,261,000,000 |
Gross Profit | 9,509,588,000,000 | 7,511,355,000,000 | 7,683,156,000,000 | 8,020,091,000,000 | 7,429,209,000,000 | 7,646,023,000,000 | 7,666,647,000,000 |
Operating Income | 3,991,830,000,000 | 2,041,164,000,000 | 2,577,973,000,000 | 3,368,510,000,000 | 2,377,837,000,000 | 3,119,215,000,000 | 3,798,673,000,000 |
Net Income | 2,327,032,000,000 | 929,716,000,000 | 1,419,855,000,000 | 2,022,596,000,000 | 916,711,000,000 | 1,765,178,000,000 | 2,167,961,000,000 |
Neraca Keuangan
Tahun | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 |
Total Asset | 34,109,431,000,000 | 32,690,887,000,000 | 28,589,656,000,000 | 25,951,760,000,000 | 26,650,895,000,000 | 24,827,355,000,000 |
Aset Lancar | 17,218,323,000,000 | 17,001,468,000,000 | 14,161,153,000,000 | 11,745,138,000,000 | 12,873,148,000,000 | 13,334,804,000,000 |
Total Liabilitas | 19,942,219,000,000 | 19,036,110,000,000 | 15,486,946,000,000 | 14,539,790,000,000 | 14,754,081,000,000 | 14,061,678,000,000 |
Liabilitas Lancar | 10,684,062,000,000 | 9,412,440,000,000 | 7,064,166,000,000 | 6,007,679,000,000 | 7,741,958,000,000 | 7,689,521,000,000 |
Long Term Debt | 7,926,622,000,000 | 8,430,453,000,000 | 7,140,524,000,000 | 6,819,400,000,000 | 5,674,273,000,000 | 5,162,962,000,000 |
Total Equitas | 13,226,291,000,000 | 12,748,045,000,000 | 12,233,384,000,000 | 10,677,910,000,000 | 11,220,870,000,000 | 10,158,283,000,000 |
Working Capital | 6,534,261,000,000 | 7,589,028,000,000 | 7,096,987,000,000 | 5,737,459,000,000 | 0 | 0 |
Arus Kas
Tahun | TTM | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 |
Kas dari Aktivitas Operasi | 3,865,377,000,000 | 2,371,932,000,000 | 1,426,749,000,000 | 701,246,000,000 | 4,099,440,000,000 | 1,891,217,000,000 | 1,845,259,000,000 |
Kas dari Aktivitas Investasi | -2,121,992,000,000 | -2,104,425,000,000 | -2,190,219,000,000 | -2,525,308,000,000 | -1,980,790,000,000 | -3,148,118,000,000 | -2,047,190,000,000 |
Kas dari Aktivitas Pembiayaan | -1,568,440,000,000 | -555,687,000,000 | 1,406,181,000,000 | 1,567,012,000,000 | -1,794,564,000,000 | 1,128,393,000,000 | -345,267,000,000 |
Arus Kas Bebas | 1,755,762,000,000 | 288,617,000,000 | -718,265,000,000 | -714,948,000,000 | 2,281,236,000,000 | 0 | 0 |