| Code |
| SMKM |
| Title |
| PT Sumber Mas Konstruksi Tbk |
| Address |
|
| Background |
The Company is engaged in the construction business general. |
| Business cp product |
The Company is engaged in the construction business general. |
| Subsidiary affiliation |
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| Commissioners |
| President Commissioner | : Intan Magdalena P. | | | Commissioner | : Untung Surono | | | Independent Commissioner | : Monang Tua Sitanggang | | | | | | Per 31 Mar 2023 | | |
|
| Directors |
| President Director | : Budi Aris | | | Director | : Amaldin | | | | | | Per 31 Mar 2023 | | |
|
| Underwriter |
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| Share registrar |
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| Share holders |
| Shareholders | Shares | % | | | | PT Vina Nauli Jordania | 703000000 | 56.11 | | | | PT Zareen Capital Nusantara | 210283200 | 15 | | | | Phillip Securities Pte. Ltd | 153888200 | 12.28 | | | | Public | 185828600 | 14.83 | | | | | | | | | As of Mar 31, 2023 | | | | |
|
| History stocks |
Type of ListingDatePrice## of SharesTotal Listed Shares IPO @ Rp 26409-Mar-20221002500000001253000000
|
| Other infos |
|
| Created date |
| 2023-08-24 12:06:18 |
| Revised date |
| 2023-08-24 12:06:18 |
| Finance |
| PT Sumber Mas Konstruksi 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 |
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