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Q4 2025

BUKAPT Bukalapak.com 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 Margin8.0%16.1%23.7%29.3%76.4%90.9%0.0%0.0%
Operating Profit Margin37.1%-56.3%-48.0%48.6%-91.4%-136.0%0.0%0.0%
Net Profit Margin48.4%-34.7%-31.0%54.7%-89.7%-99.8%0.0%0.0%
Other Burdens130.4%61.6%64.7%112.4%98.0%73.4%0.0%0.0%
Total Asset Turnover0.25x0.18x0.17x0.13x0.07x0.52x0.00x0.00x
Equity Multiplier1.03x1.05x1.03x1.03x1.13x1.61x1.78x1.57x
Return on Asset9.3%-10.1%-8.1%6.4%-6.4%-70.9%0.0%0.0%
Return on Equity9.5%-10.6%-8.4%6.6%-7.3%-114.3%0.0%0.0%
Debt to Equity0.00x0.00x0.00x0.00x0.09x0.00x0.00x0.00x

Ratio

RatioQ4 2025Q4 2024Q4 2023Q4 2022Q4 2021Q4 2020Q4 2019Q4 2018
Cash Ratio2735.9%1094.1%2125.7%2009.8%821.3%168.3%106.4%189.7%
Liquidity Ratio3707.2%1738.2%2813.1%2720.5%859.5%200.7%173.7%231.2%
Interest Coverage24339.0%-53793.0%-38732.0%24860.0%-9338.0%-21500.0%0.0%0.0%
Operating Cash Flow to Investing Cash Flow-5.0%7.5%3.9%-10.5%-213.9%-80327.6%0.0%0.0%
Quality of Earnings9.6%-21.4%-3.0%-31.9%84.1%85.6%0.0%0.0%
Cash received to Sales109.0%112.9%110.0%111.6%110.6%122.0%0.0%0.0%

Financial

RupiahQ4 2025Q4 2024Q4 2023Q4 2022Q4 2021Q4 2020Q4 2019Q4 2018
Pendapatan6,514,464,443,621,871,3500
Laba Kotor0,520,721,051,061,431,2300
Laba Usaha2,42-2,51-2,131,76-1,71-1,8400
Laba Bersih3,15-1,55-1,381,98-1,68-1,3500
Aset26,0324,826,1227,4126,622,592,053,07
Ekuitas25,3123,725,3326,523,51,611,161,96
Liabilitas0,721,090,790,913,120,990,91,11
Operating Cash Flow0,30,330,04-0,63-1,41-1,1500
Investing Cash Flow6,08-4,41-1,04-6,01-0,66-000
Financing Cash Flow-1,56-0,03-0,03-2,0125,271,7500

Financial Growth

Growth %Q4 2025Q4 2024Q4 2023Q4 2022Q4 2021Q4 2020Q4 2019Q4 2018
Pendapatan46.0%0.5%22.7%93.6%38.3%000
Laba Kotor-27.5%-31.8%-0.7%-25.9%16.2%000
Laba Usaha-196.1%18.0%-221.0%-202.9%-7.0%000
Laba Bersih-303.3%12.4%-169.7%-218.0%24.2%000
Aset5.0%-5.1%-4.7%3.0%926.2%26.3%-33.1%0.0%
Ekuitas6.8%-6.4%-4.4%12.8%1361.3%39.2%-41.1%0.0%
Liabilitas-34.4%38.2%-12.8%-70.9%216.5%9.7%-18.9%0.0%
Operating Cash Flow-8.7%714.2%-106.4%-55.2%22.1%000
Investing Cash Flow-237.7%325.1%-82.7%811.7%45756.9%000
Financing Cash Flow5099.9%-8.8%-98.4%-108.0%1346.1%000