Profil Perusahaan PT Jaya Real Property, Tbk.

70+

General Performance

Mengenal perusahaan ini lebih dalam

Laporan Keuangan

Breakdown (IDR) 31 Dec 2022 (IDR) 31 Dec 2021 (IDR) 31 Dec 2020 (IDR) 31 Dec 2019 (IDR) 31 Dec 2018
Net Income 860.91 Milyar 0 0 0 1.03 Trilyun
Depresiasi & Amortisasi 0 0 0 0 0
Deferred Income Tax 0 0 0 0 0
Stock Based Kompensasi 0 0 0 0 0
Change in Working Capital 0 0 0 0 0
Account Receivables 0 0 0 0 0
Inventory 0 0 0 0 0
Account Payable 0 0 0 0 0
Other Working Capital 0 0 0 0 0
Other Non Cash Item -860.91 Milyar 0 0 0 -1.03 Trilyun
Net Cash Provider by Operating Activity 860.91 Milyar 858.45 Milyar 629.71 Milyar 437.03 Milyar 1.02 Trilyun
Investment in Property Plan & Equipment -38.86 Milyar -14.88 Milyar -26.96 Milyar -31.42 Milyar -23.42 Milyar
Akuisisi Net -299.55 Milyar -628.89 Milyar 167.69 Milyar -121.77 Milyar -287.47 Milyar
Purchases of Investments 0 0 0 0 0
Sales Maturity of Investment 0 0 0 0 0
Other Investing Activity -166.97 Milyar -167.04 Milyar -123.63 Milyar -104.66 Milyar -21.75 Milyar
Net Cash used for Investing Activity -505.39 Milyar -810.81 Milyar 17.09 Milyar -257.84 Milyar -332.64 Milyar
Debt Repayment -16.05 Milyar -1000 Juta -100.15 Milyar -4.7 Milyar -103.7 Milyar
Common Stock Issued 0 -23.48 Milyar 33.39 Milyar -1.58 Milyar 0
Common Stock Repurchased -126.75 Milyar -140.96 Milyar -62.18 Milyar -3.41 Milyar 0
Dividen Paid -257.76 Milyar -297.99 Milyar -327.72 Milyar -330 Milyar -357.5 Milyar
Other Financing Activity -9.55 Milyar -47.06 Milyar 2.43 Milyar 8.44 Milyar 13.84 Milyar
Net Cash used Provider by financing activity -410.11 Milyar -510.49 Milyar -454.23 Milyar -331.25 Milyar -447.36 Milyar
Effect of Forex Change on Cash 57.77 Juta -110.77 Juta 2.41 Milyar -6.78 Juta 10.72 Juta
Net Change in Cash 75 Milyar -462.96 Milyar 194.98 Milyar -152.07 Milyar 241.95 Milyar
Cash at end of period 621.06 Milyar 546.06 Milyar 1.01 Trilyun 814.04 Milyar 966.11 Milyar
cash at begining of period 546.06 Milyar 1.01 Trilyun 814.04 Milyar 966.11 Milyar 724.16 Milyar
operating cash flow 860.91 Milyar 858.45 Milyar 629.71 Milyar 437.03 Milyar 1.02 Trilyun
capital expenditure -38.86 Milyar -14.88 Milyar -26.96 Milyar -31.42 Milyar -23.42 Milyar
Free Cash Flow 822.05 Milyar 843.57 Milyar 602.75 Milyar 405.61 Milyar 998.52 Milyar

History Pembagian Dividen

Tanggal Nilai Dividen / Lembar Yield
16 Jun 2023 21 4%
01 Jul 2022 19.5 4.05%
29 Jun 2021 22 4.36%
07 Jul 2020 24 5.48%
17 Jun 2019 24 4.21%
22 Jun 2018 26 4.74%
15 Jun 2017 24 4.06%
12 Jul 2016 21 3.58%
11 Jun 2015 17.5 2.67%
19 Jun 2014 13.5 2.11%
03 Jul 2013 53 1.49%
14 Jun 2012 43 2.24%
30 Jun 2011 33 3.18%
18 Jun 2010 24 4.77%
19 Jun 2009 17 4.41%

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