TODAY : Monday, 21 April 2025
Code
GSMF
Title
PT. Equity Development Investment Tbk
Address
Head Office:
Address:Wisma Hayam Wuruk 3th Floor
Jl. Hayam Wuruk No.8 - Jakarta Pusat 10120
Phone:(021) 8063 2550
Fax:(021) 231 3285
E-mail:secretary@theequityone.com
Website:www.theequityone.com
Background

The scope of the Company's activities comprises of, among others, services, trading, industries, administration and construction. At present, the Company is only engaged in equity investment activities.


Business cp product

The scope of the Company's activities comprises of, among others, services, trading, industries, administration and construction. At present, the Company is only engaged in equity investment activities.


Subsidiary affiliation
SubsidiariesDomicileBusiness%
PT Equity Life IndonesiaJakartaLife insurance, health insurance and pension fund95.22
PT Equity Finance IndonesiaJakartaFinancial lease, consumer financing and factoring99.47
PT Asuransi Dayin Mitra TbkJakartaCasualty insurance73.33
PT Equity Sekuritas IndonesiaJakartaUnderwriter, broker, investment manager and advisor98.85
PT Ventura Investasi UtamaJakartaVenture capital98.59
PT Datindo EntrycomJakartaStock administration services100
PT Lumbung SariJakartaInsurance broker99.87
PT Lintas Dunia TravelindoJakartaTravel services72.31
Commissioners
President Commissioner: Sujitno Siswowidagdo
Commissioner: Muhamad Zulkifli Abusuki
CommissionerMarcello Theodore Taufik
CommissionerZoee Ho Ziwei
Independent Commissioner: Kamardy Arief
Per 30 Sep 2022
Directors
President Director: Sean Gustav Standish Hughes
DirectorTan Enk Ee
Director: Tetty Lanawati Gozali
Director: Bustomi Usman
Director: Tan Kurniawan Sutandar
Per 30 Sep 2022
Underwriter
PT. Inter-Pasifik Securities
PT. Ficonensia
PT. Mutual International Finance Corporation
Share registrar
PT. Datindo Entrycom
Share holders
ShareholdersShares%
- Equity Global International Ltd971694273168.28
- Public (< 5%)451345697431.72
As of Jun 30, 2023
History stocks

Type of ListingDatePrice## of SharesTotal Listed Shares

IPO @ Rp. 8,50023-Oct-19891000200000010000000

4:10 Bonus Issue12-Jun-19901000400000014000000

1:10 Stock Div.12-Jul-19911000140000015400000

8:5 Bonus Issue21-Jul-199210002464000040040000

3;1 Rights @ Rp. 1,50022-Apr-19941000120120000160160000

7:2 Rights @ Rp. 1,30027-Sep-19961000560560000720720000

Stock Split01-Dec-19975007207200001441440000

Additional Shares07-Mar-200325037848961985226336198

Right Issue 32:15 @Rp11017-Feb-201625019950188667221355064

Additional Shares (HMETD)18-Feb-2016250693097221424373

Additional Shares (HMETD)19-Feb-20162501923707221616743

Additional Shares (HMETD)22-Feb-2016250467221616789

Additional Shares (HMETD)23-Feb-2016250669117221683700

Additional Shares (HMETD)24-Feb-20162502691267221952826

Additional Shares (HMETD)25-Feb-20162502327705117454723337

PUT V Ratio 1:1 @Rp 16502-Dec-2021250--

Exercise PUT V15-Dec-2021250505811721812512840555

Exercise PUT V16-Dec-2021250229220612515132761

Exercise PUT V17-Dec-2021250146060012516593361

Exercise PUT V20-Dec-2021250114259312517735954

Exercise PUT V21-Dec-2021250238454812520120502

Exercise PUT V23-Dec-2021250171027920314230399705

Other infos

Created date
2023-09-21 10:45:16
Revised date
2023-09-21 10:45:16
Finance
 
PT. Equity Development Investment Tbk
 
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
2020-12-31 2020-09-30 2020-06-30 2020-03-31
Dec Dec Dec Dec
12 9 6 3
 
 
19,405,000,000.00 185,832,000.00 179,852,000.00 228,010,000.00
128,679,900,000.00 1,700,651,000.00 1,879,601,000.00 1,120,480,000.00
0.00 0.00 0.00 0.00
0.00 0.00 0.00 0.00
12,601,900,000.00 129,679,000.00 133,263,000.00 135,560,000.00
13,552,900,000.00 184,272,000.00 161,483,000.00 201,179,000.00
0.00 0.00 0.00 0.00
446,080,700,000.00 4,825,423,000.00 4,957,309,000.00 4,829,626,000.00
0.00 0.00 0.00 0.00
0.00 0.00 0.00 0.00
297,886,000,000.00 3,280,192,000.00 3,444,801,000.00 3,313,105,000.00
1,735,689,570.00 17,356,895.70 17,356,895.70 17,356,895.70
188,978,300,000.00 1,889,783,000.00 1,889,783,000.00 1,889,783,000.00
500.00 500.00 500.00 500.00
745,472,334.00 7,454,723.34 7,454,723.34 7,454,723.34
-96,038,000,000.00 -883,982,000.00 -913,453,000.00 -902,737,000.00
136,214,800,000.00 1,432,148,000.00 1,397,462,000.00 1,402,598,000.00
11,979,900,000.00 113,083,000.00 115,046,000.00 113,923,000.00
 
 
115,193,000,000.00 739,192,000.00 460,211,000.00 213,367,000.00
109,412,000,000.00 715,797,000.00 474,288,000.00 222,373,000.00
5,781,000,000.00 23,395,000.00 -14,077,000.00 -9,006,000.00
5,781,000,000.00 23,395,000.00 -14,077,000.00 -9,006,000.00
-1,584,100,000.00 -10,736,000.00 -7,047,000.00 -3,431,000.00
4,196,900,000.00 12,659,000.00 -21,124,000.00 -12,437,000.00
1,508,200,000.00 6,252,000.00 3,788,000.00 2,626,000.00
1,846,200,000.00 4,043,000.00 -25,428,000.00 -14,712,000.00
9,500.00 93.00 125.00 116.00
 
 
248.00 0.72 -6.82 -7.89
18,272.00 192.11 187.46 188.15
 
 
219.00 2.29 2.47 2.36
41.00 0.11 -1.03 -1.22
136.00 0.38 -3.64 -4.20
160.00 0.55 -5.53 -6.90
502.00 3.16 -3.06 -4.22
502.00 3.16 -3.06 -4.22
26.00 0.15 0.09 0.04
 
 
2,583,800,000.00 -17,561,000.00 -32,639,000.00 -7,429,000.00
78,200,000.00 4,355,000.00 5,602,000.00 6,214,000.00
-6,495,700,000.00 -35,526,000.00 -27,553,000.00 -9,265,000.00
-3,918,900,000.00 -47,407,000.00 -53,385,000.00 -5,227,000.00
23,323,900,000.00 233,239,000.00 233,237,000.00 233,237,000.00
19,405,000,000.00 185,832,000.00 179,852,000.00 228,010,000.00