TODAY : Monday, 21 April 2025
Code
HALO
Title
PT. Haloni Jane Tbk
Address
Head Office:
Address:Jl. Raya Serang KM.13,8
Kawasan Industri Tristate, Sukadamai, Cikupa, Tangerang, Indonesia
Phone:(021) 596 2435
Fax:-
E-mail:corsec@halonijane.co.id
Website:http://halonijane.co.id/
Background

PT Haloni Jane Tbk (the "Company") domiciled in Tangerang, Indonesia, was established based onthe Notarial Deed No. 2 dated November 07, 2001 by Notary Harsono, S,H., In Tangerang. The Company is controlled by Mr. Hansen Jap.


Business cp product

The Company is principally engaged in manufacturing of latex gloves.


Subsidiary affiliation
Commissioners
President Commissioner: Imelda Lin
Commissioner: Wilfred Schulz
Independent Commissioner: Doktorandus I Dewa Gde Suthapa
Per Jun 05, 2024
Directors
President Director: Louis Hans Laurence
Director: Ester Susiana
Director: Jane Joe Laurence
Director: Juliana
Per Jun 05, 2024
Underwriter
PT. Danatama Makmur Sekuritas
Share registrar
PT. Bima Registra
Share holders
ShareholdersShares%
Hansen453674570080.29
Imelda Lin46180000.08
Juliana563333001.01
Public105231403518.62
As of Jul 01, 2024
History stocks

Type of ListingDatePrice## of SharesTotal Listed Shares

IPO @ Rp 10008-Feb-20231011300000005650000000

Warrant Conversion20-Feb-202410505650009135

Konversi Waran15-Mar-202410505650009385

Konversi Waran21-Mar-202410505650009435

Konversi Waran22-Mar-202410505650009485

Konversi Waran25-Mar-202410505650009535

Konversi Waran26-Mar-202410505650009585

Konversi Waran28-Mar-202410505650009635

Konversi Waran02-Apr-202410505650009685

Other infos



Waran Series I Ratio 2:1, @Rp150, #565,000,000

Created date
2024-04-23 15:18:57
Revised date
2024-07-01 12:46:06
Finance
 
PT. Haloni Jane 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
2022-06-30
Dec
6
 
 
515,823,053.00
12,037,860,904.00
5,298,513,279.00
19,196,669,509.00
12,843,238,308.00
0.00
13,170,378,739.00
32,367,048,248.00
22,630,857,831.00
7,608,945,408.00
30,239,803,239.00
8,000.00
4,520,000,000.00
25,000.00
180,800.00
-10,166,409,924.00
2,127,245,009.00
0.00
 
 
13,968,383,348.00
12,708,783,458.00
1,259,599,890.00
-169,663,984.00
-1,167,469,783.00
-1,337,133,766.00
-116,142,017.00
-1,220,991,749.00
0.00
 
 
-1,350,655.00
1,176,574.00
 
 
1,422.00
-754.00
-11,480.00
-874.00
-121.00
902.00
43.00
 
 
-1,665,719,521.00
3,520,626,145.00
-1,544,119,747.00
310,786,877.00
275,199,879.00
515,823,053.00