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20260325_BABY_Laporan Informasi dan Fakta Material_32055028_lamp1.pdf
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KETERBUKAAN INFORMASI
PT MULTITREND INDO TBK
Perihal : Dampak Penutupan Selat Hormuz terhadap Kegiatan Usaha Perseroan
Dalam rangka memenuhi kewajiban keterbukaan informasi kepada publik sesuai dengan peraturan
Bursa Efek Indonesia, dengan ini PT Multitrend Indo Tbk (“Perseroan”) menyampaikan penjelasan
terkait potensi dampak dari penutupan Selat Hormuz terhadap kegiatan operasional dan kinerja
keuangan Perseroan.
1. Dampak terhadap Operasional dan Keuangan Perseroan
a. Dampak Jangka Pendek (Short Run)
i. Supply Chain:
Perseroan menyampaikan bahwa hingga saat ini tidak terdapat dampak signifikan
terhadap rantai pasok (supply chain). Ketersediaan barang dan distribusi tetap berjalan
normal.
ii. Pendapatan (Topline):
Perseroan mulai mengamati adanya dampak ringan terhadap pendapatan, yang
terutama dipicu oleh:
- Penurunan kepercayaan konsumen (consumer confidence)
- Pembatalan rencana perjalanan (travel plans)
- Sikap wait-and-see dari pelanggan
Namun demikian, dampak tersebut masih dalam kategori terkendali dan tidak material terhadap
kinerja Perseroan secara keseluruhan.
b. Dampak Jangka Menengah hingga Panjang (Medium to Long Run)
i. Supply Chain:
Perseroan memproyeksikan bahwa dampak terhadap rantai pasok akan terbatas (limited),
dengan pertimbangan:
- Mayoritas produk Perseroan bersumber dari pemasok lokal
- Sebagian besar pasokan lainnya berasal dari kawasan Asia
- Hanya sebagian kecil produk yang diimpor dari wilayah Barat
Strategi diversifikasi sumber pasokan yang telah diterapkan sebelumnya memberikan
ketahanan (resilience) terhadap gangguan global.
2. Dampak terhadap Harga Komoditas
Penutupan Selat Hormuz berpotensi mempengaruhi harga komoditas global, khususnya energi
dan logistik.
Perseroan mengantisipasi adanya:
a. Kenaikan biaya transportasi dan logistik
b. Potensi peningkatan harga bahan baku tertentu
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Namun, hingga saat ini:
a. Dampak terhadap biaya operasional Perseroan belum signifikan
b. Perseroan terus melakukan monitoring aktif terhadap perkembangan harga komoditas
global
3. Upaya Mitigasi dan Strategi Perseroan
Untuk menjaga stabilitas operasional dan kinerja keuangan, Perseroan telah dan akan terus
melakukan langkah-langkah berikut:
a. Diversifikasi pemasok, dengan fokus pada sumber lokal dan regional
b. Optimalisasi manajemen persediaan (inventory management)
c. Efisiensi biaya operasional tanpa mengurangi kualitas layanan
d. Penyesuaian strategi pemasaran untuk menjaga permintaan
e. Pemantauan ketat terhadap kondisi makroekonomi dan geopolitik
Langkah-langkah ini bertujuan untuk memastikan bahwa Perseroan tetap adaptif dan tangguh
dalam menghadapi dinamika global.
4. Rencana Aksi Korporasi dalam 12 Bulan ke Depan
Sampai dengan tanggal keterbukaan informasi ini, Perseroan:
a. Tidak memiliki rencana aksi korporasi material yang secara langsung dipicu oleh kondisi
penutupan Selat Hormuz
b. Tetap menjalankan rencana bisnis yang telah ditetapkan dengan penyesuaian yang
diperlukan berdasarkan kondisi pasar
Perseroan akan terus mengevaluasi peluang strategis guna mendukung pertumbuhan jangka
panjang.
5. Informasi Material Lainnya
Hingga saat ini, tidak terdapat informasi atau kejadian material lainnya yang dapat:
a. Mengganggu kelangsungan usaha Perseroan secara signifikan
b. Mempengaruhi harga efek Perseroan secara material
6. Penegasan kepada Investor
Perseroan ingin menegaskan bahwa:
a. Kondisi saat ini tidak berdampak signifikan terhadap fundamental bisnis Perseroan
b. Perseroan memiliki struktur operasional yang kuat dan terdiversifikasi
c. Manajemen berkomitmen untuk menjaga kinerja, stabilitas, dan pertumbuhan berkelanjutan
Dengan strategi yang telah dijalankan, Perseroan tetap optimis terhadap prospek usaha ke
depan dan yakin dapat menghadapi tantangan global dengan baik.
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Perseroan akan terus memberikan informasi terkini sesuai dengan perkembangan yang terjadi dan ketentuan yang berlaku. PT Multitrend Indo Tbk Niraj jain Direktur Utama
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PUBLIC DISCLOSURE
PT MULTITREND INDO TBK
Subject : Impact of the Closure of the Strait of Hormuz on the Company’s Business
Activities
In compliance with the disclosure requirements of the Indonesia Stock Exchange, PT Multitrend Indo
Tbk (the “Company”) hereby provides an explanation regarding the potential impact of the closure of
the Strait of Hormuz on the Company’s operations and financial performance.
1. Impact on the Company’s Operations and Financial Performance
a. Short-Term Impact
i. Supply Chain
The Company confirms that there is currently no impact on its supply chain, and
the availability and distribution of products continue to operate as normal.
ii. Revenue (Topline)
The Company has begun to observe a minor impact on revenue, primarily driven
by:
- Reduced consumer confidence
- Cancellation of travel plans
- A general “wait-and-see” approach from customers
However, such impact remains limited and not material to the Company’s overall
performance.
b. Medium to Long-Term Impact
i. Supply Chain
The Company anticipates that the impact on its supply chain will remain limited,
considering that:
- The majority of the Company’s products are sourced locally
- A significant portion of sourcing is within Asia
- Only a very small portion is imported from Western regions
The Company’s diversified sourcing strategy provides resilience against global
supply disruptions.
2. Impact on Commodity Prices
The closure of the Strait of Hormuz may affect global commodity prices, particularly energy and
logistics-related costs.
The Company anticipates potential:
a. Increases in transportation and logistics costs
b. Fluctuations in certain raw material prices
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Nevertheless, as of the date of this disclosure:
a. The impact on the Company’s operational costs is not significant
b. The Company continues to closely monitor global commodity price developments
3. Mitigation Measures and Company Strategy
To maintain operational stability and financial performance, the Company has implemented and
will continue to implement the following measures:
a. Diversification of suppliers with a focus on local and regional sourcing
b. Optimization of inventory management
c. Cost efficiency initiatives without compromising product quality
d. Adaptive marketing strategies to sustain demand
e. Continuous monitoring of macroeconomic and geopolitical developments
These initiatives are aimed at ensuring the Company remains adaptive and resilient.
4. Corporate Action Plan for the Next 12 Months
As of the date of this disclosure:
a. The Company does not have any material corporate actions specifically arising from the
closure of the Strait of Hormuz
b. The Company continues to execute its existing business plans, with necessary
adjustments in response to market conditions
The Company remains open to evaluating strategic opportunities to support long-term growth.
5. Other Material Information
As of the date of this disclosure, there are no other material events or information that may:
a. Significantly disrupt the Company’s business continuity
b. Materially affect the price of the Company’s securities
6. Statement to Investors
The Company would like to emphasize that:
a. The current situation does not have a significant impact on the Company’s business
fundamentals
b. The Company maintains a strong and diversified operational structure
c. Management is committed to maintaining performance, stability, and sustainable growth
With the strategies in place, the Company remains confident in its future prospects and its ability
to navigate global challenges effectively.
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The Company will continue to provide updates in accordance with applicable regulations and developments. PT Multitrend Indo Tbk Niraj Jain President Director
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