TODAY : Monday, 21 April 2025
Code
PURE
Title
PT Trinitan Metals and Minerals Tbk
Address
Head Office:
Address:Jl. Parung Tanjung No. 89 Cicadas
Gunung Putri Bogor 16964
Phone:(021) 867,8999
Fax:(021) 867,0562
E-mail:corporate@trinitanmetals.com
Website:www.trinitanmetals.co.id
Background

The scope of Entitys activities is to engage in metal and mineral processing industry.

Business cp product

The scope of Entitys activities is to engage in metal and mineral processing industry.

Subsidiary affiliation
Commissioners
President Commissioner/Indp: Andri
Commissioner: Hideki Lida
Per 30 Sep 2021
Directors
President Director: Widodo Sucipto
Director: Erkwan Kangdra
Director: Hendrawan Lionardy
Per 30 Sep 2021
Underwriter
PT. Mirae Asset Sekuritas Indonesia
Share registrar
PT. Bima Registra
Share holders
ShareholdersShares%
PT. Trinitan Resourcetama Indonesia48522683035.28
PT Mirae Asset Sekuritas Indonesia16195712711.78
Erkwan Kangdra1000.01
Public72799754852.94
As of Sep 30, 2021
History stocks

Type of ListingDatePrice## of SharesTotal Listed Shares

IPO @ Rp 300, Warrant Ratio 1 : 1 @Rp 360 #333,333,50009-Oct-20191003333335001333333500

Warrant Conversion08-Nov-202010051333333505

Warrant Conversion01-Mar-20211003001333333805

Warrant Conversion18-Mar-202110027680001336101805

Warrant Conversion22-Mar-202110042000001340301805

Warrant Conversion23-Mar-20211007000001341001805

Warrant Conversion24-Mar-202110038500001344851805

Warrant Conversion25-Mar-20211006500001345501805

Warrant Conversion26-Mar-202110045500001350051805

Warrant Conversion30-Mar-202110062750001356326805

Warrant Conversion31-Mar-20211005000001356826805

Warrant Conversion01-Apr-202110055000001362326805

Warrant Conversion05-Apr-202110056375001367964305

Warrant Conversion08-Apr-202110052080001373172305

Warrant Conversion09-Apr-202110020082001375180505

Warrant Conversion12-Apr-202110010001375181505

Other infos

Created date
2022-01-31 11:09:30
Revised date
2022-01-31 11:09:30
Finance
 
PT Trinitan Metals and Minerals 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
2019-12-31 2019-03-31
Dec Dec
12 3
 
 
63,248,193.18 3,656,667.82
52,359,123.26 213,642,916.90
124,580,540.26 170,509,697.48
653,035,097.90 451,579,470.20
104,418,203.88 163,464,731.19
41,668,311.99 0.00
189,579,570.79 201,636,980.78
842,614,668.69 653,216,450.98
644,361,821.29 508,247,510.99
24,739,509.31 29,583,981.06
669,101,330.60 537,831,492.05
4,000,000.00 4,000.00
133,333,350.00 100,000,000.00
100.00 100,000.00
1,333,333.50 1,000.00
-23,562,606.39 15,974,839.85
173,513,338.09 115,384,958.92
0.00 0.00
 
 
452,121,667.98 139,831,981.40
452,589,993.99 123,197,550.15
-468,326.01 16,634,431.25
-20,335,967.09 11,011,867.78
-14,308,293.58 -1,587,912.06
-34,644,260.68 9,423,955.73
-7,277,827.52 2,252,942.65
-27,366,433.16 7,171,013.08
270.00 0.00
 
 
-20.52 28,684.05
130.13 115,384.96
 
 
3.86 4.66
-3.25 4.39
-15.77 24.86
-6.05 5.13
-4.50 7.88
-0.10 11.90
0.54 0.21
 
 
-43,887,306.42 -27,322,399.41
-11,862,031.71 -12,498,843.52
91,479,774.05 19,262,609.94
35,730,435.92 -20,558,632.99
24,150,155.48 24,150,155.48
63,248,193.18 3,656,667.82