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(contoh: TLKM)



About
PT Multi Indocitra Tbk produces and distributes baby and health care products, and cosmetics in Indonesia. The company offers baby and healthcare products, including bottle, nipple, breast feeding accs, feeding accs, nursing accs, healthcare accs, teether, pacifier, breast pads and pumps, baby wipes, baby and kids toiletries, baby skin care products, and adult and baby diapers; personal care products, such as face and compact powder, two way cake, facial foam, moisturizer, shower cream, bubble foam shower, handwash, hand and body lotions, shaver and refill cartridges, face and body cleansers, nipple cream and shields, breastmilk storage bags, natural oil skin repair, and breast therapy products; and cosmetics, which includes hand gels, lip care, lipstiks, eyes shadows, and make up products, as well as viva face tonic, milk cleansers, scin foods, air mawar, eye brow pencils, and liquid foundations. It sells its brands under the Pigeon and Lock&Lock brands name. PT Multi Indocitra Tbk was founded in 1990 and is headquartered in Jakarta Barat, Indonesia..

Info Profile
Name Multi Indocitra Tbk.
Sector Consumer Cyclicals
Industry Household Goods
Code E2
Latest Quarterly 9/30/2024

Shareholder Tracker
Name Latest % A Month Ago %
PT. Buana Graha Utama 45.6 45.39
Public < 5% 34.66 34.87
Sukarto Bujung 11.27 11.27
PT. Hoki Investasi Sejati 6.57 6.57
Treasury Shares 1.35 1.35
Anthony Honoris 0.4 0.4
Budiman Gitaloka 0.13 0.13
Hendro Wibowo 0.02 0.02
Shareholder Class
Classification Latest % Previous %
Institution 53.52 53.31
Retail 34.66 34.87
Individual 11.82 11.82
Management 0.0 0.0
Revenue Source 2023 2022
Trading 98.2% 99.0%
Industry 1.6% 0.8%
Services 0.1% 0.2%
Others 0.0% 0.0%

Revenue Region 2023 2022
Indonesia 100.0% 100.0%
Others 0.0% 0.0%



Valuation Ratios Rank
P/S 0.28 # 3 / 13
EV_EBITDA 5.83 # 1 / 13
PER 6.55 # 2 / 13
PBV 0.33 # 2 / 13
DER 0.49 # 6 / 13

Profitability Ratios Rank
NPM % 4.2 # 6 / 13
ROA % 3.4 # 2 / 13
ROE % 5.0 # 1 / 13


Year DPS Yield [%]
2024 10.0 2.0
2023 5.0 0.8
2022 15.0 2.8
2021 4.0 1.0
2020 5.0 1.7

Timeframe Performance
1W % 1.4
1Mo % -2.9
3Mo % 4.8
1Yr % -4.7

Pivot Points
R2 545.0
R1 525.0
S1 480.0
S2 455.0





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Peers Comparison

Stocks PER Market Cap EV Revenue EBITDA Net Profit
WOOD 13.78 1,880 B 4,774 B 2,852 B 383 B 140 B
SCNP 31.30 448 B 373 B 241 B -1 B 16 B
GEMA 56.36 358 B 1,101 B 1,332 B 101 B 6 B
MICE 6.55 303 B 708 B 1,094 B 121 B 46 B
MEJA 53.82 286 B 307 B 43 B 12 B 10 B
CINT 24.18 169 B 290 B 427 B 32 B 7 B