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Q1 2026

WMUUPT Widodo Makmur Unggas 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 Margin-0.4%-1.7%-14.5%-29.9%7.6%13.7%14.0%0.0%
Operating Profit Margin-4.8%-6.1%-25.1%-47.3%2.8%10.4%9.3%0.0%
Net Profit Margin-8.5%-11.2%-32.0%-65.5%-0.4%6.8%6.4%0.0%
Other Burdens176.9%185.1%127.3%138.6%-14.0%65.2%68.6%0.0%
Total Asset Turnover0.36x0.32x0.16x0.14x0.91x1.34x0.81x0.00x
Equity Multiplier3.05x3.00x2.79x2.53x2.26x1.88x2.09x2.88x
Return on Asset-1.7%-1.9%-4.0%-6.4%2.5%13.9%7.6%0.0%
Return on Equity-5.3%-5.8%-11.1%-16.3%5.7%26.1%15.8%0.0%
Debt to Equity1.51x1.48x1.35x1.18x0.97x0.58x0.43x0.92x

Ratio

RatioQ1 2026Q4 2025Q4 2024Q4 2023Q4 2022Q4 2021Q4 2020Q4 2019
Cash Ratio1.7%1.6%0.3%0.4%0.6%14.7%4.3%1.4%
Liquidity Ratio128.6%131.8%34.9%56.9%56.4%172.6%105.5%154.6%
Interest Coverage-129.0%-117.0%-160.0%-259.0%85.0%600.0%847.0%0.0%
Operating Cash Flow to Investing Cash Flow47.5%74.7%-353.4%11.5%21.8%23.3%11.2%0.0%
Quality of Earnings-4.2%-5.3%8.5%-0.9%-1216.9%79.3%57.8%0.0%
Cash received to Sales100.8%101.7%103.4%116.6%101.8%96.0%97.8%0.0%

Financial

RupiahQ1 2026Q4 2025Q4 2024Q4 2023Q4 2022Q4 2021Q4 2020Q4 2019
Pendapatan0,850,740,380,342,463,091,150
Laba Kotor-0-0,01-0,05-0,10,190,420,160
Laba Usaha-0,04-0,05-0,09-0,160,070,320,110
Laba Bersih-0,07-0,08-0,12-0,22-0,010,210,070
Aset2,322,332,392,472,712,311,420,86
Ekuitas0,760,780,860,981,21,230,680,3
Liabilitas1,561,561,541,491,511,080,740,56
Operating Cash Flow00-0,0100,120,170,040
Investing Cash Flow-0,01-0,01-0-0,02-0,54-0,71-0,380
Financing Cash Flow000,010,010,330,60,350

Financial Growth

Growth %Q1 2026Q4 2025Q4 2024Q4 2023Q4 2022Q4 2021Q4 2020Q4 2019
Pendapatan14.3%95.9%12.3%-86.3%-20.5%168.9%00
Laba Kotor-74.1%-76.5%-45.5%-153.8%-56.0%164.4%00
Laba Usaha-10.0%-52.6%-40.3%-331.9%-78.6%200.1%00
Laba Bersih-14.0%-31.1%-45.2%2191.1%-104.6%185.2%00
Aset-0.4%-2.5%-3.1%-8.9%17.2%63.3%63.9%0.0%
Ekuitas-2.0%-9.3%-12.2%-18.4%-2.5%81.5%125.3%0.0%
Liabilitas0.4%1.3%2.9%-1.4%39.5%46.7%31.2%0.0%
Operating Cash Flow-32.3%-143.0%-634.7%-98.4%-29.4%291.2%00
Investing Cash Flow6.3%103.4%-82.6%-96.9%-24.8%88.9%00
Financing Cash Flow67.6%-83.8%5.4%-96.4%-44.8%72.2%00