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Q4 2025

ARCIPT Archi Indonesia Tbk

Laba Rugi

Neraca

Margin Profitabilitas

Return on Assets & Equity

Leverage

Income Statement Flow

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Dupont Ratio

Dupont RatioQ4 2025Q4 2024Q4 2023Q4 2022Q4 2021Q4 2020Q4 2019Q4 2018
Gross Profit Margin42.3%21.0%27.9%27.5%39.5%59.0%0.0%0.0%
Operating Profit Margin41.1%19.7%22.3%22.0%38.9%55.2%0.0%0.0%
Net Profit Margin20.7%3.6%5.9%6.7%21.7%31.4%0.0%0.0%
Other Burdens50.3%18.4%26.5%30.6%55.8%56.8%0.0%0.0%
Total Asset Turnover0.48x0.33x0.31x0.29x0.50x0.68x0.00x0.00x
Equity Multiplier2.83x3.17x3.06x2.90x2.97x6.36x3.53x4.08x
Return on Asset19.6%6.4%6.8%6.3%19.6%37.4%0.0%0.0%
Return on Equity55.4%20.3%20.9%18.3%58.0%237.8%0.0%0.0%
Debt to Equity1.37x1.48x1.54x1.26x1.31x4.21x1.95x2.47x

Ratio

RatioQ4 2025Q4 2024Q4 2023Q4 2022Q4 2021Q4 2020Q4 2019Q4 2018
Cash Ratio15.4%2.5%7.6%5.1%6.1%31.9%45.7%16.6%
Liquidity Ratio106.7%50.3%77.4%43.3%39.3%80.9%163.9%196.9%
Interest Coverage507.0%150.0%178.0%232.0%699.0%874.0%0.0%0.0%
Operating Cash Flow to Investing Cash Flow49.8%98.1%17.4%78.3%105.1%181.5%0.0%0.0%
Quality of Earnings51.9%881.2%145.5%391.5%165.0%122.1%0.0%0.0%
Cash received to Sales101.4%106.1%104.8%105.7%101.9%98.8%0.0%0.0%

Financial

RupiahQ4 2025Q4 2024Q4 2023Q4 2022Q4 2021Q4 2020Q4 2019Q4 2018
Pendapatan8,184,563,813,224,955,7300
Laba Kotor3,460,961,060,891,953,3800
Laba Usaha3,360,90,850,711,933,1600
Laba Bersih1,690,170,230,221,071,800
Aset17,1713,9812,4111,199,858,478,539,21
Ekuitas6,074,414,053,863,321,332,422,25
Liabilitas11,19,578,357,336,537,146,116,95
Operating Cash Flow0,881,450,330,851,772,200
Investing Cash Flow-1,76-1,48-1,89-1,08-1,69-1,2100
Financing Cash Flow1,22-0,051,540,21-0,48-1,100

Financial Growth

Growth %Q4 2025Q4 2024Q4 2023Q4 2022Q4 2021Q4 2020Q4 2019Q4 2018
Pendapatan79.4%19.7%18.2%-35.0%-13.7%000
Laba Kotor260.8%-9.9%20.2%-54.7%-42.2%000
Laba Usaha274.6%5.7%20.0%-63.3%-39.2%000
Laba Bersih923.1%-26.7%4.1%-79.9%-40.2%000
Aset22.8%12.7%10.8%13.7%16.3%-0.7%-7.4%0.0%
Ekuitas37.6%8.8%5.0%16.3%149.6%-44.9%7.2%0.0%
Liabilitas16.0%14.6%14.0%12.3%-8.5%16.8%-12.1%0.0%
Operating Cash Flow-39.8%344.0%-61.3%-52.3%-19.2%000
Investing Cash Flow18.6%-21.5%74.6%-35.9%39.4%000
Financing Cash Flow-2649.5%-103.1%624.0%-144.1%-56.0%000