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MATERIAL
Company Board of The Company's
Profile Management Vision and
Mission
The Company's
Company's
Financial
Strategy
Performance
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DATE OF ESTABLISHMENT
April 17, 1973
LISTING ON THE
STOCK EXCHANGE
November 18, 1992
COMPANY STATUS
COMPANY
Domestic Investmen
PROFILE BUSINESS ACTIVITIES
Manufacturer of Power
HEAD OFFICE AND FACTORY Cables, Telecommunication
Jl. Pajajaran, Gandasari-Jatiuwung Tangerang. Cables, Fiber Optic Cables,
Solar Panels
MARKETING OFFICE
Mega Glodok Kemayoran, Office Tower B Lt.6
Jl. Angkasa Kav B-6 Jakarta Pusat
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BOARD OF MANAGEMENT
KOMISARIS DIREKSI
Santoso Mary Ang Santoso
Nanyang Santoso Antonius Benady
Tommy Wijaya Jimmy Wijaya Joeng
Drs. Agus Kristiyono, AKT, MBA Ignatius Nugraha Widiyanta
Bambang Pramadi Pramusinto
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SHARE HOLDER
Public (9,85%)
PT Indolife
Pensiontama
(17,58%) PT Monaspermata
Persada (52,57%)
Fujikura Group
(20%)
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The Company's Vision and Mission
VISION MISION
To become the leading and most
Developing a business that provides
trusted cable manufacturer in
the best benefits for stakeholders
Indonesia
VALUES
SPEK : SOLID, PROAKTIF, EFISIEN, KUALITAS
JEMBO : JUJUR, EMPATI, MAU & MANDIRI, BELAJAR, OPTIMIS
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Sales
(in Billion Rupiah)
3.402,54
2.072,73
1.985,77
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Income Statement (loss) of Company
January – September 2023, 2022 and Projection 2023
(in Billion Rupiah)
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Sales by Group Product
January - September 2023 & 2022
(in Billion Rupiah)
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Sales by Market
January - September 2023 & 2022
(in billion rupiah)
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Balance Sheet Overview
(in billion rupiah)
Description September 30, Desember 31, %
2023 2022
Current Asset 1.587,55 1.612,70 -1,56 %
Non-Current Asset 571,19 587,10 -2,71 %
Total Asset 2.158,74 2.199,80 -1,87 %
Current Liabilities 1.319,14 1.391,32 -5,19 %
Non-Current Liabilities 62,78 60,25 4,20 %
Total Liabilities 1.381,92 1.451,57 -4,80 %
Total Equity 776,81 748,22 3,82 %
Total Liabilities and Equity 2.158,73 2.199,80 -1,87 %
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Company
Strategy
• Controling cost in all department
• Efficiency and effectiveness in production and operations
management
• Carry out cash management arrangements
• Encouraging and increasing sales in high margin product
• Increasing cooperation with material vendors
• Expansion on distribution network
• Promote the quality & ability of employees to achieve
targets
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FINANCIAL RATIO
Liquidity
Description 2023 2022
Current Ratio 120,30% 115,90%
Cash Ratio 6,40% 10,70%
Operating Performance
Description 2023 2022
Total Asset Turnover 0,96 1,28
Equity Turnover 2,7 3,8
Profitability
Description 2023 2022
Gross Profit Margin 7,80% 8,00%
Net Profit Margin 2,10% 2,30%
Return on Total Assets 2,00% 2,60%
Return on Equity 5,60% 7,70%
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THANK YOU
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