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Q1 2026

FAPAPT FAP Agri Tbk

Laba Rugi

Neraca

Margin Profitabilitas

Return on Assets & Equity

Leverage

Income Statement Flow

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Dupont Ratio

Dupont RatioQ1 2026Q4 2025Q4 2024Q4 2023Q4 2022Q4 2021Q4 2020Q4 2019
Gross Profit Margin29.8%30.1%23.0%16.5%33.5%27.9%15.1%0.0%
Operating Profit Margin22.1%22.8%15.3%7.5%27.0%19.6%5.0%0.0%
Net Profit Margin14.2%14.8%10.0%3.2%15.5%12.0%-4.9%0.0%
Other Burdens64.3%64.9%65.2%42.6%57.4%61.3%-97.6%0.0%
Total Asset Turnover0.77x0.74x0.65x0.59x0.56x0.43x0.34x0.00x
Equity Multiplier2.49x2.64x2.29x2.12x2.21x2.49x2.89x2.33x
Return on Asset17.0%16.8%9.9%4.4%15.1%8.4%1.7%0.0%
Return on Equity42.2%44.4%22.8%9.3%33.5%20.9%4.8%0.0%
Debt to Equity0.95x0.94x0.77x0.66x0.83x1.34x1.60x1.00x

Ratio

RatioQ1 2026Q4 2025Q4 2024Q4 2023Q4 2022Q4 2021Q4 2020Q4 2019
Cash Ratio35.1%32.3%31.7%18.3%24.7%19.5%4.4%1.6%
Liquidity Ratio85.1%82.5%75.5%69.4%88.1%139.0%82.4%54.2%
Interest Coverage509.0%535.0%363.0%168.0%746.0%326.0%56.0%0.0%
Operating Cash Flow to Investing Cash Flow73.1%76.4%312.9%189.0%343.3%326.8%109.2%0.0%
Quality of Earnings181.6%175.5%298.2%637.7%253.0%237.0%-430.6%0.0%
Cash received to Sales93.1%98.0%100.9%101.3%103.4%100.5%101.0%0.0%

Financial

RupiahQ1 2026Q4 2025Q4 2024Q4 2023Q4 2022Q4 2021Q4 2020Q4 2019
Pendapatan7,947,585,745,064,833,392,620
Laba Kotor2,362,281,320,831,620,950,40
Laba Usaha1,751,730,880,381,30,660,130
Laba Bersih1,131,120,570,160,750,41-0,130
Aset10,3410,288,828,638,627,937,87,67
Ekuitas4,153,893,854,063,93,192,73,29
Liabilitas6,196,394,964,574,724,755,14,39
Operating Cash Flow2,051,971,71,031,90,970,550
Investing Cash Flow-2,8-2,58-0,54-0,55-0,55-0,3-0,50
Financing Cash Flow-0,420,34-0,77-0,81-1,43-0,3-0,040

Financial Growth

Growth %Q1 2026Q4 2025Q4 2024Q4 2023Q4 2022Q4 2021Q4 2020Q4 2019
Pendapatan4.7%32.0%13.4%4.8%42.4%29.5%00
Laba Kotor3.5%73.2%58.3%-48.5%70.7%139.5%00
Laba Usaha1.6%97.0%131.1%-70.9%96.4%410.4%00
Laba Bersih0.7%96.2%253.4%-78.4%83.9%-420.7%00
Aset0.6%16.6%2.1%0.1%8.7%1.7%1.7%0.0%
Ekuitas6.8%1.0%-5.2%4.2%22.4%18.1%-17.9%0.0%
Liabilitas-3.1%28.7%8.6%-3.3%-0.5%-6.9%16.3%0.0%
Operating Cash Flow4.2%15.4%65.3%-45.6%96.3%76.5%00
Investing Cash Flow8.9%372.9%-0.2%-1.2%86.9%-41.0%00
Financing Cash Flow-224.7%-144.2%-5.3%-43.0%373.2%663.0%00