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Q4 2025

TUGUPT Asuransi Tugu Pratama 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 2018Q4 2017
Gross Profit Margin0.0%0.0%0.0%0.0%0.0%0.0%0.0%0.0%0.0%
Operating Profit Margin6.8%5.3%15.9%12.7%13.6%11.3%27.3%19.9%0.0%
Net Profit Margin5.5%4.6%36.3%12.8%11.6%11.1%17.3%8.0%0.0%
Other Burdens81.0%87.2%228.5%100.9%85.4%98.2%63.4%40.3%0.0%
Total Asset Turnover0.50x0.41x0.14x0.14x0.14x0.13x0.14x0.15x0.00x
Equity Multiplier2.72x2.26x2.45x2.35x2.30x2.30x2.51x2.35x2.29x
Return on Asset3.4%2.2%2.3%1.8%1.9%1.4%3.8%2.9%0.0%
Return on Equity9.3%4.9%5.5%4.3%4.4%3.3%9.6%6.9%0.0%
Debt to Equity0.00x0.00x0.00x0.00x0.00x0.00x0.00x0.00x0.00x

Ratio

RatioQ4 2025Q4 2024Q4 2023Q4 2022Q4 2021Q4 2020Q4 2019Q4 2018Q4 2017
Cash Ratio0.0%0.0%0.0%0.0%0.0%0.0%0.0%0.0%0.0%
Liquidity Ratio0.0%0.0%0.0%0.0%0.0%0.0%0.0%0.0%0.0%
Interest Coverage0.0%0.0%0.0%0.0%0.0%0.0%0.0%0.0%0.0%
Operating Cash Flow to Investing Cash Flow216.4%123.5%101.6%130.2%-68.5%-0.6%123.0%11.1%0.0%
Quality of Earnings157.2%98.1%163.5%216.6%54.0%0.7%55.1%32.7%0.0%
Cash received to Sales0.0%0.0%0.0%0.0%0.0%0.0%0.0%0.0%0.0%

Financial

RupiahQ4 2025Q4 2024Q4 2023Q4 2022Q4 2021Q4 2020Q4 2019Q4 2018Q4 2017
Pendapatan13,869,173,593,092,822,462,922,560
Laba Kotor000000000
Laba Usaha0,940,480,570,390,380,280,80,510
Laba Bersih0,760,421,30,40,330,270,510,210
Aset27,7122,3525,1421,5820,1919,4620,7317,4414,79
Ekuitas10,179,8810,289,178,798,468,287,436,46
Liabilitas17,5412,4614,8612,4111,41112,4610,018,33
Operating Cash Flow1,20,412,130,860,1800,280,070
Investing Cash Flow-0,55-0,34-2,09-0,660,260,34-0,23-0,610
Financing Cash Flow-0,26-0,25-0,1-0,16-0,2-0,290,050,60

Financial Growth

Growth %Q4 2025Q4 2024Q4 2023Q4 2022Q4 2021Q4 2020Q4 2019Q4 2018Q4 2017
Pendapatan51.2%155.2%16.1%9.9%14.4%-15.7%14.2%00
Laba Kotor000000000
Laba Usaha94.5%-15.1%45.5%2.2%38.4%-65.3%56.4%00
Laba Bersih80.6%-67.6%229.6%20.7%20.3%-46.2%146.0%00
Aset24.0%-11.1%16.5%6.9%3.7%-6.1%18.9%17.9%0.0%
Ekuitas3.0%-3.9%12.1%4.4%3.9%2.2%11.4%15.0%0.0%
Liabilitas40.7%-16.1%19.7%8.9%3.6%-11.7%24.4%20.1%0.0%
Operating Cash Flow189.5%-80.5%148.7%384.8%9208.0%-99.3%313.8%00
Investing Cash Flow65.3%-84.0%218.6%-355.2%-25.1%-251.9%-62.6%00
Financing Cash Flow2.8%151.0%-35.8%-21.0%-30.1%-690.5%-91.9%00