Code |
FASW |
Title |
PT. Fajar Surya Wisesa Tbk |
Address |
|
Background |
The scope of Company activities is to engage in paper manufacturing. The Company started its commercial operations in 1989 and is presently producing industrial paper, such as containerboard (liner and corrugating medium) and boxboard, for use in packaging of consumer and industrial goods. The Companys products are sold to domestic customers and exported to other Asian countries, Africa the Middle East. The percentages of domestic and export sales to net sales for the three-month period ended March 31, 2014 were 86% and 14%, respectively. The Company has a production capacity of 1,200,000 tons per year. |
Business cp product |
The scope of Company activities is to engage in paper manufacturing. The Company started its commercial operations in 1989 and is presently producing industrial paper, such as containerboard (liner and corrugating medium) and boxboard, for use in packaging of consumer and industrial goods. The Companys products are sold to domestic customers and exported to other Asian countries, Africa the Middle East. The percentages of domestic and export sales to net sales for the three-month period ended March 31, 2014 were 86% and 14%, respectively. The Company has a production capacity of 1,200,000 tons per year. |
Subsidiary affiliation |
On July 31, 2006, the Company established Fajar Paper Finance B.V (FPF B.V.) is based in Amsterdam, Netherland with 100% ownership. The business activities, especially as corporate finance and investment. In November 2012, the Company has been liquidated FPF B.V. | | | |
|
Commissioners |
President Commissioner | : Wichan Jitpukdee | | Commissioner | : Wichan Charoenkitsupat | | Commissioner | : Kitti Tangjitrmaneesakda | | Commissioner | : Danaidej Ketsuwan | | Commissioner | : Villia Sulistyo | | Commissioner | : Roy Teguh | | Independent Commissioner | : Lim Chong Thian | | Independent Commissioner | : Sudarmanto | | Independent Commissioner | : Tony Tjandra | | | | | Per 30 Oct 2023 | | |
|
Directors |
President Director | : Thalengsak Ratchburi | | Director | : Ekachai Anujorn | | Director | : Ponthep Tuntavadcharom | | Director | : Yustinus Yusuf Kusuma | | Director | : Arif Razif | | | | | Per 30 Oct 2023 | | |
|
Underwriter |
PT. Danareksa Sekuritas | | PT. HG Asia Indonesia | | PT. Jardine Fleming Nusantara | | PT. Nomura Indonesia | | PT. Usaha Bersama Sekuritas | | | |
Share registrar |
|
Share holders |
Shareholders | Shares | % | | | SCGP Solutions (Singapore) Pte. Ltd. | 1368663916 | 55.23 | | | PT. Intercipta Sempana | 1102069224 | 44.48 | | | Others (< 5%) | 7155647 | 0.29 | | | | | | | | As of Sep 30, 2023 | | | | |
|
History stocks |
Type of ListingDatePrice## of SharesTotal Listed Shares IPO @ Rp. 3,20019-Dec-1994100047000000222000000 C/B12-Sept-199510002647029224647029 C/B03-Nov-19951000615588225262617 1:0.5 Bonus Issue20-Sep-19991000225262617450525234 Stock Split20-Sep-1999500225262617675787851 8:3 Bonus Issue08-Mar-200050018021009362477888787
|
Other infos |
|
Created date |
2023-10-24 11:01:45 |
Revised date |
2023-10-24 11:01:45 |
Finance |
PT. Fajar Surya Wisesa Tbk |
2023,
2022,
2021,
2020,
2019,
2018,
2017,
2016,
2015,
2014,
2013,
Financial Statetment Date |
Fiscal Year Ends |
Months Covered in Income St |
|
Summary Covered in Income St |
Cash and Cash Equivalents |
Receivables |
Inventories |
Current Assets |
Fixed Assets |
Other Assets |
Non Current Assets |
Total Assets |
Current Liabilities |
Longterm Liabilities |
Total Liabilities |
Authorized |
Paid-up Capital |
Par Value |
Paid-up Capital Shares |
Retained Earnings |
Total Equity |
Minority Interest |
|
Summary of Income Statement |
Total Sales |
Cost of Good Sold |
Gross Profit |
Operating Profit |
Other Income |
Earning Before Tax |
Tax |
Net Income |
Close Price |
|
Per Share Data (Rp) |
Eps (annualized) |
Book Value |
|
Financial Ratios |
Debt Equity Ratio (X) |
Roa(%) |
Roe(%) |
Npm(%) |
Opm(%) |
Gross Profit Margin (%) |
Total Assets Turnover |
|
Cash Flow |
CF from Operation Activities |
CF from Investing Activities |
CF from Financing Activities |
Net Increase in Cash & Cash Equivalent |
Cash & Cash Equivalent at Beginning of the Year |
Cash & Cash Equivalent at The End of the Year |
|
|